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Latest Olstein Capital Management, L.P. Stock Portfolio

$611Million

Equity Portfolio Value
Last Reported on: 19 Apr, 2024

About Olstein Capital Management, L.P. and it’s 13F Hedge Fund Stock Holdings

Olstein Capital Management, L.P. is a hedge fund based in Purchase, NY. On 29-Mar-2023, the fund reported that it had an AUM (Regulated Assets under Management) of $790.3 Millions. In it's latest 13F Holdings report, Olstein Capital Management, L.P. reported an equity portfolio of $593.1 Millions as of 31 Dec, 2023.

The top stock holdings of Olstein Capital Management, L.P. are ST, DIS, WBD. The fund has invested 2.2% of it's portfolio in SENSATA TECHNOLOGIES HLDNG P and 2.1% of portfolio in DISNEY WALT CO.

The fund managers got completely rid off WESTROCK CO (WRK), INTEL CORP (INTC) and KONTOOR BRANDS INC (KTB) stocks. They significantly reduced their stock positions in PROSPERITY BANCSHARES INC (PB), MARSH & MCLENNAN COS INC (MMC) and MCDONALDS CORP (MCD). Olstein Capital Management, L.P. opened new stock positions in VONTIER CORPORATION (VNT). The fund showed a lot of confidence in some stocks as they added substantially to FIRST ADVANTAGE (FA), SHYFT GROUP INC (SHYF) and FEDEX CORP (FDX).

New Buys

Ticker$ Bought
MIDDLEBY CORP6,110,000
APTIV PLC3,345,000
GENERAL DYNAMICS3,107,000
DOUGLAS DYNAMIC INC1,061,000

New stocks bought by Olstein Capital Management, L.P.

Additions to existing portfolio by Olstein Capital Management, L.P.

Reductions

Ticker% Reduced
META PLATFORMS INC-48.00
AMERICAN EXPRESS CO-40.32
UNIVERSAL HLTH SVCS INC-38.46
BLUE BIRD CORP-35.92
GENERAL MTRS CO-35.73
GRAHAM CORP-35.01
MICROSOFT CORP-33.33
TARGET CORP-32.79

Olstein Capital Management, L.P. reduced stake in above stock

Sold off

Ticker$ Sold
MARSH & MCLENNAN COS INC-1,137,000
MCDONALDS CORP-1,186,000

Olstein Capital Management, L.P. got rid off the above stocks

Current Stock Holdings of Olstein Capital Management, L.P.

Last Reported on: 19 Apr, 2024
TickerNamesorted ascending% PortfolioShares Held$ ValueType% ChangeOptions
AAPLAPPLE INC0.4114,5002,486,000UNCHANGED0.00
ABMABM INDS INC2.12289,95312,938,000ADDED18.35
APTVAPTIV PLC0.5542,0003,345,000NEW
AVTRAVANTOR INC1.23294,1847,522,000REDUCED-6.61
AXPAMERICAN EXPRESS CO0.6918,5004,212,000REDUCED-40.32
AXTAAXALTA COATING SYS LTD0.78139,1054,784,000UNCHANGED0.00
BAXBAXTER INTL INC1.55222,0009,488,000REDUCED-10.84
BDXBECTON DICKINSON & CO1.0927,0006,681,000UNCHANGED0.00
BLBDBLUE BIRD CORP0.5892,0003,527,000REDUCED-35.92
BRCBRADY CORP0.3637,0002,193,000REDUCED-7.5
CARRCARRIER GLOBAL CORPORATION0.6973,0004,243,000REDUCED-1.35
CBRECBRE GROUP INC1.2780,0007,779,000UNCHANGED0.00
CBRLCRACKER BARREL OLD CTRY STOR1.0185,0006,182,000REDUCED-5.92
CENTCENTRAL GARDEN & PET CO0.5083,0003,064,000REDUCED-10.96
CFGCITIZENS FINL GROUP INC1.94326,00011,831,000REDUCED-5.51
CMCSACOMCAST CORP NEW0.6490,0003,902,000REDUCED-15.89
CMICUMMINS INC1.1323,5006,924,000REDUCED-24.19
CSCOCISCO SYS INC1.44176,0008,784,000UNCHANGED0.00
CTVACORTEVA INC1.48157,0009,054,000REDUCED-21.5
CVSCVS HEALTH CORP1.68129,00010,289,000REDUCED-9.15
CWKCUSHMAN WAKEFIELD PLC0.40233,0002,437,000REDUCED-7.17
DALDELTA AIR LINES INC DEL1.31168,0008,042,000REDUCED-30.00
DEDEERE & CO1.3820,5008,420,000ADDED7.89
DENNDENNYS CORP1.20815,8137,310,000REDUCED-2.51
DGXQUEST DIAGNOSTICS INC1.4667,0008,918,000ADDED15.52
DINDINE BRANDS GLOBAL INC1.72226,00010,504,000ADDED5.12
DISDISNEY WALT CO2.38119,00014,561,000REDUCED-14.39
DOVDOVER CORP0.9031,0005,493,000UNCHANGED0.00
EBAYEBAY INC0.96111,7845,900,000REDUCED-31.84
EFXEQUIFAX INC0.4410,0002,675,000REDUCED-25.93
EMNEASTMAN CHEM CO0.8854,0005,412,000REDUCED-1.82
FAFIRST ADVANTAGE0.1557,000925,000UNCHANGED0.00
FDXFEDEX CORP1.2827,0007,823,000ADDED20.00
FHBFIRST HAWAIIAN INC0.3598,0002,152,000UNCHANGED0.00
FISFIDELITY NATL INFORMATION SV1.2099,0007,344,000REDUCED-6.6
FITBFIFTH THIRD BANCORP1.47242,0009,005,000REDUCED-5.84
FTVFORTIVE CORP0.6949,0594,220,000UNCHANGED0.00
GDGENERAL DYNAMICS0.5111,0003,107,000NEW
GHMGRAHAM CORP0.2148,0001,309,000REDUCED-35.01
GLWCORNING INC1.39257,0008,471,000UNCHANGED0.00
GMGENERAL MTRS CO1.34180,6078,191,000REDUCED-35.73
GOOGALPHABET INC0.9538,0005,786,000REDUCED-19.15
GSGOLDMAN SACHS GROUP INC1.0916,0006,683,000REDUCED-8.57
GTESGATES INDUSTRIAL CORPRATIN P0.59204,0003,613,000REDUCED-13.56
HOLXHOLOGIC INC1.1792,0007,172,000UNCHANGED0.00
HOMBHOME BANCSHARES INC0.3587,0002,138,000UNCHANGED0.00
HRLHORMEL FOODS CORP0.4884,0002,931,000UNCHANGED0.00
IARTINTEGRA LIFESCIENCES HLDGS0.58100,0003,545,000ADDED35.14
IFFINTERNATIONAL FLAVORS&FRAGRANCE1.52108,0009,287,000REDUCED-12.9
IVZINVESCO LTD1.40514,9468,543,000REDUCED-3.38
JLLJONES LANG LASALLE INC1.5247,6369,293,000REDUCED-0.42
JNJJOHNSON & JOHNSON1.5560,0009,491,000UNCHANGED0.00
JOUTJOHNSON OUTDOORS INC0.3851,0002,352,000ADDED15.91
KFYKORN FERRY1.30121,0007,957,000REDUCED-25.31
KLICKULICKE & SOFFA INDS INC1.65201,00010,112,000ADDED15.91
KMBKIMBERLY CLARK CORP1.0248,0006,209,000UNCHANGED0.00
LHXL3HARRIS TECHNOLOGIES INC1.3940,0008,524,000REDUCED-3.61
LKQLKQ CORP1.29147,6197,884,000UNCHANGED0.00
LUVSOUTHWEST AIRLS CO1.29270,0007,881,000ADDED4.65
MAMASTERCARD INC0.405,0932,453,000REDUCED-21.65
MCDMCDONALDS CORP0.000.000.00SOLD OFF-100
MCOMOODYS CORP0.426,5002,555,000REDUCED-7.14
MDTMEDTRONIC PLC1.45102,0008,889,000UNCHANGED0.00
METAMETA PLATFORMS INC0.526,5003,156,000REDUCED-48.00
MHKMOHAWK INDS INC1.7682,00010,733,000REDUCED-24.77
MIDDMIDDLEBY CORP1.0038,0006,110,000NEW
MLRMILLER INDS INC TENN0.3239,0001,954,000REDUCED-11.36
MMCMARSH & MCLENNAN COS INC0.000.000.00SOLD OFF-100
MSFTMICROSOFT CORP0.487,0002,945,000REDUCED-33.33
OMCOMNICOM GROUP INC1.4290,0008,708,000REDUCED-8.16
PBPROSPERITY BANCSHARES INC0.3028,0001,842,000UNCHANGED0.00
PBHPRESTIGE CONSMR HEALTHCARE0.4639,0002,830,000REDUCED-9.3
PLOWDOUGLAS DYNAMIC INC0.1744,0001,061,000NEW
REYNREYNOLDS CONSUMER PRODS INC1.40299,0008,539,000REDUCED-11.28
RTXRTX CORP1.4490,0008,778,000REDUCED-6.25
SHYFSHYFT GROUP INC0.58285,0003,540,000ADDED16.33
SLBSCHLUMBERGER LTD1.34149,0008,167,000ADDED10.37
SPGIS&P GLOBAL INC0.456,5002,765,000REDUCED-7.14
SSNCSS&C TECHNOLOGIES HLDGS INC1.64155,48310,008,000REDUCED-1.59
STSENSATA TECHNOLOGIES HLDNG P2.27377,00013,851,000ADDED10.56
SWKSTANLEY BLACK & DECKER INC1.1572,0007,051,000ADDED5.88
TGTTARGET CORP1.1941,0007,266,000REDUCED-32.79
TKRTIMKEN CO0.2417,0001,486,000UNCHANGED0.00
TRVTRAVELERS COMPANIES INC1.1731,0007,134,000REDUCED-24.39
TXNTEXAS INSTRS INC0.7626,5004,617,000UNCHANGED0.00
UHSUNIVERSAL HLTH SVCS INC0.3612,0002,190,000REDUCED-38.46
UNHUNITEDHEALTH GROUP INC1.1714,5007,173,000ADDED93.33
UPSUNITED PARCEL SERVICE INC1.4158,0008,621,000ADDED20.83
USBUS BANCORP DEL1.58215,6609,640,000UNCHANGED0.00
VVISA INC0.4810,5002,930,000REDUCED-16.00
VNTVONTIER CORPORATION1.09146,5006,645,000ADDED38.21
VSHVISHAY INTERTECHNOLOGY INC0.39104,0002,359,000ADDED26.83
WBDWARNER BROS DISCOVERY INC1.461,024,2008,941,000UNCHANGED0.00
WCCWESCO INTL INC1.8265,00011,133,000ADDED85.71
WFCWELLS FARGO CO NEW1.23130,0007,535,000REDUCED-18.75
WGOWINNEBAGO INDS INC0.6957,0004,218,000UNCHANGED0.00
WNCWABASH NATL CORP0.1938,0001,138,000REDUCED-20.83
WTWWILLIS TOWERS WATSON PLC LTD1.1926,5007,288,000UNCHANGED0.00
ZBHZIMMER BIOMET HOLDINGS INC1.4065,0008,579,000REDUCED-2.45
BERKSHIRE HATHAWAY INC DEL0.9313,5005,677,000REDUCED-20.59