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Pzena Investment Management (Richard Pzena) - FilingSpy
Pzena Investment Management
Richard Pzena
$18.38B
13F
2019 Q3
26 of 53 quarters
Overview
Activity
Holdings
Buys
BMY
NEW
Bristol-Myers Squibb Co.
$130.72M
+2.58M shares
SLB
NEW
Slb Ltd
$30.82M
+902.0K shares
TCF
NEW
Tcf Financial Corporation
$25.43M
+667.9K shares
SYKE
NEW
Sykes Enterprises, Incorporated
$23.55M
+768.4K shares
GL
NEW
Globe Life Inc.
$22.61M
+236.1K shares
SVC
NEW
Service Properties Trust
$15.39M
+596.9K shares
APO
NEW
Apollo Global Management, Inc.
$8.83M
+233.6K shares
CS
NEW
Credit Suisse Group AG
$7.19M
+588.5K shares
ACWI
NEW
iShares Trust
$6.76M
+91.7K shares
VER
NEW
Vereit Inc
$898.0K
+91.8K shares
WU
NEW
The Western Union Company
$876.0K
+37.8K shares
AES
NEW
Aes Corp
$854.0K
+52.3K shares
UNH
NEW
UnitedHealth Group Incorporated
$659.0K
+3.0K shares
BRX
NEW
Brixmor Property Group Inc
$647.0K
+31.9K shares
GILD
NEW
Gilead Sciences, Inc.
$480.0K
+7.6K shares
HOFT
NEW
Hooker Furnishings Corporation
$452.0K
+21.1K shares
STWD
NEW
Starwood Property Trust, Inc.
$335.0K
+13.8K shares
ABBV
NEW
Abbvie Inc.
$241.0K
+3.2K shares
HNHPF
NEW
Hon Hai Precision Industry Co., Ltd.
$93.0K
+19.5K shares
AMKBY
NEW
A.p. Moller - Maersk A/s
$79.0K
+14.0K shares
Show all 76 buys (56 more)
Sells
APO
EXIT
Apollo Global Management, Inc.
$7.83M
- $7.83M
=
Closed
-228.3K shares (100%)
AAPL
EXIT
Apple Inc
$429.0K
- $429.0K
=
Closed
-2.2K shares (100%)
EXEL
EXIT
Exelixis Inc
$316.0K
- $316.0K
=
Closed
-14.8K shares (100%)
EXPE
EXIT
Expedia Group Inc.
$535.0K
- $535.0K
=
Closed
-4.0K shares (100%)
BEN
EXIT
Franklin Resources Inc.
$74.16M
- $74.16M
=
Closed
-2.13M shares (100%)
HPT
EXIT
Hospitality Properties Trust
$14.92M
- $14.92M
=
Closed
-596.9K shares (100%)
JLL
EXIT
Jones Lang Lasalle Incorporated
$425.0K
- $425.0K
=
Closed
-3.0K shares (100%)
LLL
EXIT
L3 Technologies Inc
$21.61M
- $21.61M
=
Closed
-88.2K shares (100%)
LDOS
EXIT
Leidos Holdings Inc
$506.0K
- $506.0K
=
Closed
-6.3K shares (100%)
MSFT
EXIT
Microsoft Corporation
$42.71M
- $42.71M
=
Closed
-318.8K shares (100%)
NCI
EXIT
Navigant Consulting Inc
$12.75M
- $12.75M
=
Closed
-549.7K shares (100%)
OHI
EXIT
Omega Healthcare Investors, Inc.
$842.0K
- $842.0K
=
Closed
-22.9K shares (100%)
PK
EXIT
Park Hotels & Resorts Inc.
$263.0K
- $263.0K
=
Closed
-9.6K shares (100%)
QRVO
EXIT
Qorvo Inc
$326.0K
- $326.0K
=
Closed
-4.9K shares (100%)
TCF
EXIT
Tcf Financial Corporation
$26.80M
- $26.80M
=
Closed
-1.29M shares (100%)
TMK
EXIT
Torchmark Corp
$21.12M
- $21.12M
=
Closed
-236.1K shares (100%)
ESV
EXIT
Ensco Rowan Plc
$5.84M
- $5.84M
=
Closed
-685.2K shares (100%)
AIG
American International Group Inc
$580.47M
+ $2.79M
=
$583.26M
10.47M left
-423.2K (-3.88%)
C
Citigroup Inc
$546.06M
- $19.44M
=
$526.62M
7.62M left
-174.1K (-2.23%)
HPE
Hewlett Packard Enterprise Company
$500.58M
+ $3.69M
=
$504.27M
33.24M left
-242.3K (-0.72%)
Show all 86 sells (66 more)