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Latest NEW SOUTH CAPITAL MANAGEMENT INC Stock Portfolio

$2.29Billion

Equity Portfolio Value
Last Reported on: 06 Feb, 2024

About NEW SOUTH CAPITAL MANAGEMENT INC and it’s 13F Hedge Fund Stock Holdings

NEW SOUTH CAPITAL MANAGEMENT INC is a hedge fund based in Memphis, TN. On 26-Jun-2023, the fund reported that it had an AUM (Regulated Assets under Management) of $2.3 Billions. In it's latest 13F Holdings report, NEW SOUTH CAPITAL MANAGEMENT INC reported an equity portfolio of $2.3 Billions as of 31 Dec, 2023.

The top stock holdings of NEW SOUTH CAPITAL MANAGEMENT INC are VRT, AZO, WCC. The fund has invested 10.8% of it's portfolio in VERTIV HOLDINGS LLC and 6.4% of portfolio in AUTOZONE INC.

They significantly reduced their stock positions in FMC CORP. (FMC), VERTIV HOLDINGS LLC (VRT) and FIDELITY NATL INFO SERVICES (FIS). NEW SOUTH CAPITAL MANAGEMENT INC opened new stock positions in ISHARES - RUSSELL 2000 (AGG). The fund showed a lot of confidence in some stocks as they added substantially to LIBERTY SIRIUSXM GROUP (BATRA), TREEHOUSE FOODS INC. (THS) and MARRIOTT VACATIONS WORLDWIDE C (VAC).

New Buys

Ticker$ Bought
ISHARES - RUSSELL 20002,709,580
ISHARES - RUSSELL 3000589,910

New stocks bought by NEW SOUTH CAPITAL MANAGEMENT INC

Additions

Ticker% Inc.
LIBERTY SIRIUSXM GROUP141
TREEHOUSE FOODS INC.77.95
MARRIOTT VACATIONS WORLDWIDE C42.06
GARRETT MOTION INC.28.71
AMN HEALTHCARE SERVICES15.37
WARNER BROS. DISCOVERY INC.14.75
ZEBRA TECHNOLOGIES CORP. CL A6.67
DIGITALBRIDGE GROUP INC.4.3

Additions to existing portfolio by NEW SOUTH CAPITAL MANAGEMENT INC

Reductions

Ticker% Reduced
FMC CORP.-22.1
VERTIV HOLDINGS LLC-17.32
FIDELITY NATL INFO SERVICES-15.3
SHOE CARNIVAL INC.-14.83
ENERSYS INC.-12.69
CGI INC.-12.28
ISHARES - RUSSELL 2000 VALUE-11.49
BROOKFIELD RENEWABLE CORP.-8.34

NEW SOUTH CAPITAL MANAGEMENT INC reduced stake in above stock

Sold off

None of the stocks were completely sold off by NEW SOUTH CAPITAL MANAGEMENT INC

Current Stock Holdings of NEW SOUTH CAPITAL MANAGEMENT INC

Last Reported on: 06 Feb, 2024
TickerNamesorted ascending% PortfolioShares Held$ ValueType% ChangeOptions
AAXJISHARES SHORT-TERM CORPORATE B0.1565,9033,379,180UNCHANGED0.00
AGGISHARES - RUSSELL 2000 VALUE0.4972,86111,317,500REDUCED-11.49
AGGISHARES - RUSSELL 20000.1213,5002,709,580NEW
AGGISHARES - RUSSELL MID CAP0.1030,1702,345,110REDUCED-5.3
AGGISHARES - DOW JONES SELECT DIV0.0815,6801,838,010REDUCED-3.8
AGGISHARES - BARCLAYS 1-3 YR US T0.039,405771,586UNCHANGED0.00
AGGISHARES - RUSSELL 30000.032,155589,910NEW
AMNAMN HEALTHCARE SERVICES1.52464,40134,774,300ADDED15.37
AMSFAMERISAFE INC.0.44214,33410,026,500REDUCED-4.01
ASGNASGN INC.1.30309,05029,721,300REDUCED-3.97
AVTRAVANTOR INC.1.411,415,13032,307,500REDUCED-6.2
AZOAUTOZONE INC.6.4457,161147,796,000REDUCED-6.94
BAMBROOKFIELD ASSET MANAGEMENT LT0.1798,2843,948,070REDUCED-1.01
BATRALIBERTY SIRIUSXM GROUP2.882,295,19066,055,500ADDED141
BATRALIBERTY SIRIUSXM GROUP0.0435,6001,023,140UNCHANGED0.00
BEPCBROOKFIELD RENEWABLE CORP.0.49391,54411,272,600REDUCED-8.34
BIPBROOKFIELD INFRAST PARTNERS LP0.017,750244,048UNCHANGED0.00
BMYBRISTOL-MYERS SQUIBB CO.0.027,189368,868UNCHANGED0.00
DBRGDIGITALBRIDGE GROUP INC.2.232,910,93051,057,700ADDED4.3
DOXAMDOCS LTD0.1641,3283,632,320REDUCED-0.04
EEFTEURONET WORLDWIDE INC.1.96442,14144,872,900REDUCED-4.73
ENSENERSYS INC.2.63596,86460,259,400REDUCED-12.69
ESIELEMENT SOLUTIONS INC.1.981,963,39045,432,800REDUCED-2.73
FCFSFIRSTCASH HOLDINGS INC.0.98206,28522,359,200REDUCED-2.89
FDXFEDEX CORP.1.96177,58744,924,200REDUCED-4.8
FHNFIRST HORIZON CORP.0.0110,117143,257UNCHANGED0.00
FISFIDELITY NATL INFO SERVICES0.36135,8788,162,190REDUCED-15.3
FMCFMC CORP.1.27460,94629,062,600REDUCED-22.1
GIBCGI INC.3.02646,67669,330,100REDUCED-12.28
GTXGARRETT MOTION INC.1.032,434,35023,540,200ADDED28.71
HBIHANESBRANDS INC.1.487,619,31033,982,100REDUCED-6.75
HOLXHOLOGIC INC.0.60193,76913,844,800REDUCED-5.25
IBMINTERNATIONAL BUSINESS MACHINE0.011,500245,325UNCHANGED0.00
KFRCKFORCE INC.1.60544,84036,809,400REDUCED-2.86
KMPRKEMPER CORP.2.03955,31246,495,000ADDED2.23
LKQLKQ CORP.2.511,203,12057,497,100REDUCED-3.89
MSMMSC INDUSTRIAL DIRECT CO-A3.31749,83575,928,300REDUCED-6.89
NVEENV5 GLOBAL INC.0.62127,93314,215,900REDUCED-2.87
OSWONESPAWORLD HOLDINGS LTD1.482,400,83033,851,700REDUCED-2.28
OTEXOPEN TEXT CORP.4.902,675,220112,413,000REDUCED-3.01
RUSHARUSH ENTERPRISES INC. CLASS A1.25568,02028,571,400REDUCED-2.87
SCVLSHOE CARNIVAL INC.0.99753,02622,748,900REDUCED-14.83
SIRISIRIUS XM HOLDINGS INC.0.21885,1784,841,920UNCHANGED0.00
SSNCSS&C TECHNOLOGIES HLDGS1.40523,69332,002,900REDUCED-4.48
SWKSTANLEY BLACK & DECKER1.03240,59323,602,200REDUCED-5.75
THRTHERMON GROUP HOLDING INC.0.94664,51921,643,400REDUCED-2.85
THSTREEHOUSE FOODS INC.1.57868,26335,989,500ADDED77.95
TMOTHERMO FISHER SCIENTIFIC INC.3.79163,89586,993,800REDUCED-2.92
UNFUNIFIRST CORP.0.4556,32910,303,100REDUCED-2.86
UPLDUPLAND SOFTWARE INC.0.281,523,2906,443,510REDUCED-4.09
VACMARRIOTT VACATIONS WORLDWIDE C1.29349,89029,702,200ADDED42.06
VRTVERTIV HOLDINGS LLC10.815,159,940247,832,000REDUCED-17.32
WBDWARNER BROS. DISCOVERY INC.2.334,684,50053,309,700ADDED14.75
WCCWESCO INTL INC.5.73755,801131,419,000REDUCED-3.51
WEXWEX INC.0.7487,08716,942,800REDUCED-2.72
WTWWILLIS TOWERS WATSON PLC1.26120,14428,978,700REDUCED-3.91
ZBRAZEBRA TECHNOLOGIES CORP. CL A5.67475,599129,995,000ADDED6.67
FISERV INC.3.66632,49784,020,900REDUCED-5.5
HOWARD HUGHES HOLDINGS INC.2.30616,42252,734,900REDUCED-4.21
BROOKFIELD CORP.1.881,076,48043,188,500REDUCED-4.73
ARES CAPITAL CORP.0.51588,28211,783,300REDUCED-2.6
INVESCO FLOATING RATE ESG FUND0.07247,0521,679,960ADDED2.45