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Pzena Investment Management (Richard Pzena) - FilingSpy
Pzena Investment Management
Richard Pzena
$28.64B
13F
2025 Q1
4 of 53 quarters
Overview
Activity
Holdings
Buys
PPG
NEW
Ppg Industries, Inc.
$105.35M
+963.4K shares
LKQ
NEW
Lkq Corporation
$42.79M
+1.01M shares
HCA
NEW
HCA Healthcare, Inc.
$39.44M
+114.2K shares
TGT
NEW
Target Corp
$36.02M
+345.1K shares
GPC
NEW
Genuine Parts Co
$35.86M
+301.0K shares
SNY
NEW
Sanofi SA
$298.7K
+5.4K shares
INTC
NEW
Intel Corporation
$279.9K
+12.3K shares
EBAY
NEW
Ebay Inc
$261.4K
+3.9K shares
DFS
NEW
Discover Financial Services
$249.1K
+1.5K shares
EQNR
NEW
Equinor Asa
$246.0K
+9.3K shares
CRUS
NEW
Cirrus Logic Inc
$231.9K
+2.3K shares
MGA
Magna International Inc
$1.62B
- $230.96M
=
$1.39B
27.01M
+1.45M (+5.35%)
BAX
Baxter International Inc.
$980.89M
+ $277.83M
=
$1.26B
33.64M
+3.13M (+9.32%)
DG
Dollar General Corp.
$892.20M
+ $230.71M
=
$1.12B
11.77M
+1.00M (+8.53%)
HUM
Humana Inc
$915.74M
+ $97.40M
=
$1.01B
3.61M
+219.5K (+6.08%)
DOW
Dow Inc.
$754.16M
+ $117.34M
=
$871.50M
18.79M
+6.16M (+32.80%)
TSN
Tyson Foods, Inc.
$688.84M
+ $157.54M
=
$846.38M
11.99M
+1.27M (+10.60%)
BMY
Bristol-Myers Squibb Co.
$752.32M
+ $68.53M
=
$820.85M
13.30M
+157.5K (+1.18%)
GPN
Global Payments Inc
$929.97M
- $113.89M
=
$816.07M
8.30M
+35.3K (+0.42%)
MDT
Medtronic Plc
$656.22M
+ $97.37M
=
$753.59M
8.22M
+171.2K (+2.08%)
Show all 70 buys (50 more)
Sells
ABBV
EXIT
Abbvie Inc.
$296.8K
- $296.8K
=
Closed
-1.7K shares (100%)
AMGN
EXIT
Amgen Inc
$209.3K
- $209.3K
=
Closed
-803 shares (100%)
BDC
EXIT
Belden Inc
$493.0K
- $493.0K
=
Closed
-4.4K shares (100%)
DLTR
EXIT
Dollar Tree Inc
$520.0K
- $520.0K
=
Closed
-6.9K shares (100%)
DBX
EXIT
Dropbox Inc
$291.9K
- $291.9K
=
Closed
-9.7K shares (100%)
EIX
EXIT
Edison International
$429.09M
- $429.09M
=
Closed
-5.37M shares (100%)
ETR
EXIT
Entergy Corporation
$274.1K
- $274.1K
=
Closed
-3.6K shares (100%)
TILE
EXIT
Interface, Inc.
$269.0K
- $269.0K
=
Closed
-11.0K shares (100%)
LPLA
EXIT
Lpl Financial Holdings Inc
$293.9K
- $293.9K
=
Closed
-900 shares (100%)
MCK
EXIT
Mckesson Corporation
$38.23M
- $38.23M
=
Closed
-67.1K shares (100%)
MRK
EXIT
Merck & Co Inc
$288.3K
- $288.3K
=
Closed
-2.9K shares (100%)
QRVO
EXIT
Qorvo Inc
$208.2K
- $208.2K
=
Closed
-3.0K shares (100%)
SSL
EXIT
Sasol Ltd
$1.61M
- $1.61M
=
Closed
-352.6K shares (100%)
TPR
EXIT
Tapestry Inc
$18.74M
- $18.74M
=
Closed
-286.8K shares (100%)
ULTA
EXIT
Ulta Beauty Inc
$228.3K
- $228.3K
=
Closed
-525 shares (100%)
AXS
EXIT
Axis Cap Holdings Ltd
$19.96M
- $19.96M
=
Closed
-225.2K shares (100%)
IVZ
EXIT
Invesco Ltd
$15.50M
- $15.50M
=
Closed
-886.9K shares (100%)
CTSH
Cognizant Technology Solutions Corp
$1.36B
- $52.27M
=
$1.31B
17.08M left
-590.9K (-3.35%)
CVS
CVS Health Corporation
$880.32M
+ $317.66M
=
$1.20B
17.68M left
-1.93M (-9.83%)
CHTR
Charter Communications, Inc.
$962.15M
+ $63.64M
=
$1.03B
2.78M left
-23.5K (-0.84%)
Show all 84 sells (64 more)