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Latest SKBA CAPITAL MANAGEMENT LLC Stock Portfolio

$593Million

Equity Portfolio Value
Last Reported on: 12 Feb, 2024

About SKBA CAPITAL MANAGEMENT LLC and it’s 13F Hedge Fund Stock Holdings

SKBA CAPITAL MANAGEMENT LLC is a hedge fund based in San Francisco, CA. On 07-Jun-2023, the fund reported that it had an AUM (Regulated Assets under Management) of $590.9 Millions. In it's latest 13F Holdings report, SKBA CAPITAL MANAGEMENT LLC reported an equity portfolio of $593.7 Millions as of 31 Dec, 2023.

The top stock holdings of SKBA CAPITAL MANAGEMENT LLC are COP, RTX, KTB. The fund has invested 3.5% of it's portfolio in CONOCOPHILLIPS and 3.4% of portfolio in RTX CORPORATION.

The fund managers got completely rid off NUTRIEN LTD (NTR), ASTRAZENECA PLC (AZN) and OGE ENERGY CORP (OGE) stocks. They significantly reduced their stock positions in ABBVIE INC (ABBV), VERIZON COMMUNICATIONS INC (VZ) and AMGEN INC (AMGN). SKBA CAPITAL MANAGEMENT LLC opened new stock positions in KENVUE INC, PFIZER INC (PFE) and L3HARRIS TECHNOLOGIES INC (LHX). The fund showed a lot of confidence in some stocks as they added substantially to PINNACLE WEST CAP CORP (PNW), MEDTRONIC PLC (MDT) and KINDER MORGAN INC DEL (KMI).

New Buys

Ticker$ Bought
KENVUE INC8,507,800
PFIZER INC8,481,530
L3HARRIS TECHNOLOGIES INC5,861,130
HASBRO INC5,542,560
FORTREA HLDGS INC205,212
COHERENT CORP200,673

New stocks bought by SKBA CAPITAL MANAGEMENT LLC

Additions to existing portfolio by SKBA CAPITAL MANAGEMENT LLC

Reductions

Ticker% Reduced
ABBVIE INC-83.69
VERIZON COMMUNICATIONS INC-48.48
AMGEN INC-47.5
CUMMINS INC-38.62
KRAFT HEINZ CO-23.09
UNITED PARCEL SERVICE INC-21.57
CARDINAL HEALTH INC-19.3
MORGAN STANLEY-18.07

SKBA CAPITAL MANAGEMENT LLC reduced stake in above stock

Sold off

Ticker$ Sold
CORNING INC-4,628,240
OGE ENERGY CORP-4,791,520
NUTRIEN LTD-5,270,600
ASTRAZENECA PLC-4,979,790
BRISTOL-MYERS SQUIBB CO-214,748
SCHLUMBERGER LTD-203,467

SKBA CAPITAL MANAGEMENT LLC got rid off the above stocks

Current Stock Holdings of SKBA CAPITAL MANAGEMENT LLC

Last Reported on: 12 Feb, 2024
TickerNamesorted ascending% PortfolioShares Held$ ValueType% ChangeOptions
ABBVABBVIE INC0.165,924918,042REDUCED-83.69
AIGAMERICAN INTL GROUP INC2.13186,68512,647,900REDUCED-1.22
ALAIR LEASE CORP1.45205,2658,608,810REDUCED-0.24
AMGNAMGEN INC1.0521,6616,238,720REDUCED-47.5
AMPAMERIPRISE FINL INC0.182,8451,080,620REDUCED-1.73
APTVAPTIV PLC0.042,495223,851REDUCED-3.85
AXPAMERICAN EXPRESS CO0.051,650309,111UNCHANGED0.00
AZNASTRAZENECA PLC0.000.000.00SOLD OFF-100
BACBANK AMERICA CORP0.047,450250,842REDUCED-7.57
BAMBROOKFIELD ASSET MANAGMT LTD0.98144,7245,813,560REDUCED-1.72
BDXBECTON DICKINSON & CO0.041,030251,145UNCHANGED0.00
BMYBRISTOL-MYERS SQUIBB CO0.000.000.00SOLD OFF-100
CCITIGROUP INC1.75202,50010,416,600REDUCED-1.36
CAHCARDINAL HEALTH INC1.83107,85010,871,300REDUCED-19.3
CFCF INDS HLDGS INC0.043,100246,450REDUCED-1.59
CMCSACOMCAST CORP NEW2.22300,06613,157,900REDUCED-0.2
CMECME GROUP INC2.5973,01015,375,900ADDED0.3
CMICUMMINS INC0.04890213,217REDUCED-38.62
COHRCOHERENT CORP0.034,610200,673NEW
COPCONOCOPHILLIPS3.55181,72521,092,800REDUCED-1.12
CRBGCOREBRIDGE FINL INC2.49683,69014,808,700ADDED5.33
CSCOCISCO SYS INC1.74203,98010,305,100UNCHANGED0.00
CVXCHEVRON CORP NEW1.2850,8257,581,060REDUCED-1.02
DRIDARDEN RESTAURANTS INC2.86103,37016,983,700REDUCED-0.52
EQNREQUINOR ASA0.92173,1005,476,880REDUCED-1.42
FDXFEDEX CORP1.6839,3209,946,780UNCHANGED0.00
GLWCORNING INC0.000.000.00SOLD OFF-100
GOOGALPHABET INC0.062,420338,050UNCHANGED0.00
GPCGENUINE PARTS CO1.2151,9007,188,150ADDED7.43
HASHASBRO INC0.93108,5505,542,560NEW
IBMINTERNATIONAL BUSINESS MACHS2.95107,25017,540,700REDUCED-13.44
INGRINGREDION INC2.48135,72514,730,200REDUCED-0.44
JPMJPMORGAN CHASE & CO0.165,612954,601REDUCED-2.09
KHCKRAFT HEINZ CO1.52243,5409,006,110REDUCED-23.09
KMIKINDER MORGAN INC DEL2.35790,32013,941,200ADDED26.83
KTBKONTOOR BRANDS INC3.31315,15419,671,900REDUCED-7.61
LEALEAR CORP1.8376,99010,871,800ADDED3.63
LHLABORATORY CORP AMER HLDGS0.051,290293,204REDUCED-7.19
LHXL3HARRIS TECHNOLOGIES INC0.9927,8285,861,130NEW
LOWLOWES COS INC1.0427,6806,160,180ADDED13.91
MDLZMONDELEZ INTL INC0.053,850278,856REDUCED-2.53
MDTMEDTRONIC PLC2.44175,52914,460,100ADDED28.00
METMETLIFE INC2.07185,90012,293,600REDUCED-1.33
MRKMERCK & CO INC3.26177,63519,365,800ADDED7.44
MSMORGAN STANLEY0.053,400317,050REDUCED-18.07
NTAPNETAPP INC2.07139,25012,276,300REDUCED-8.9
NTRNUTRIEN LTD0.000.000.00SOLD OFF-100
NVTNVENT ELECTRIC PLC0.1111,410674,217UNCHANGED0.00
NXPINXP SEMICONDUCTORS N V2.6969,59515,984,600REDUCED-0.57
OREALTY INCOME CORP1.56161,6329,280,910REDUCED-1.07
OGEOGE ENERGY CORP0.000.000.00SOLD OFF-100
PEPPEPSICO INC0.8931,0455,272,680REDUCED-1.27
PFEPFIZER INC1.43294,6008,481,530NEW
PHPARKER-HANNIFIN CORP1.7822,95010,573,100REDUCED-0.43
PHGKONINKLIJKE PHILIPS N V3.06778,06618,152,300REDUCED-1.07
PKGPACKAGING CORP AMER1.5355,8959,105,850REDUCED-1.06
PNWPINNACLE WEST CAP CORP1.82150,25010,794,000ADDED41.21
PSXPHILLIPS 662.0490,93512,107,100REDUCED-12.17
RDNRADIAN GROUP INC1.95406,10011,594,200REDUCED-0.61
REGNREGENERON PHARMACEUTICALS0.11750658,718REDUCED-5.66
RIORIO TINTO PLC1.71135,95010,122,800REDUCED-1.7
RTXRTX CORPORATION3.43241,83220,347,700ADDED19.04
SCHWSCHWAB CHARLES CORP1.84158,96010,936,400REDUCED-1.37
SLBSCHLUMBERGER LTD0.000.000.00SOLD OFF-100
TAT&T INC2.75971,65016,304,300ADDED0.88
TAPMOLSON COORS BEVERAGE CO1.64159,4109,757,490REDUCED-0.31
TELTE CONNECTIVITY LTD0.052,052288,306UNCHANGED0.00
TGTTARGET CORP1.1447,5556,772,780ADDED14.44
TPLTEXAS PACIFIC LAND CORPORATI0.13506795,660UNCHANGED0.00
TXNTEXAS INSTRS INC1.5553,8509,179,270ADDED14.21
UNPUNION PAC CORP1.3231,8957,834,050ADDED1.92
UPSUNITED PARCEL SERVICE INC0.052,000314,460REDUCED-21.57
VICIVICI PPTYS INC1.81336,60010,730,800REDUCED-0.68
VZVERIZON COMMUNICATIONS INC0.4977,3542,916,250REDUCED-48.48
WBDWARNER BROS DISCOVERY INC0.0630,694349,298ADDED4.05
WFCWELLS FARGO CO NEW1.85223,15010,983,400REDUCED-1.41
WRBBERKLEY W R CORP0.064,845342,638ADDED17.31
WYWEYERHAEUSER CO MTN BE1.59270,8309,416,760ADDED5.25
KENVUE INC1.43395,1608,507,800NEW
BERKSHIRE HATHAWAY INC DEL0.091,429509,667UNCHANGED0.00
BROOKFIELD CORP0.068,185328,362REDUCED-9.19
FORTREA HLDGS INC0.045,880205,212NEW