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LSV ASSET MANAGEMENT

13F
LSV ASSET MANAGEMENT
Last update 2021-02-08 861 Stocks (26 new)
Value $45.64 Bil Turnover 5 %
Countries:
Portfolio Report

LSV ASSET MANAGEMENT Profile

LSV Asset Management is a “quantitative value manager providing active management for institutional investors through the application of proprietary investment models” and was founded in 1994. The name came from the three original founding partners: Josef Lakonishok, formerly a professor of finance at UIUC; Andrei Shleifer, a professor of economics at Harvard University; and Robert Vishny, a distinguished finance professor at the University of Chicago. Josef Lakonishok is the only one of the three original founders still active in the firm, serving as the leader of the company, while the others have retired and taken to academics. The firm has evolved from its original structure to 24 equity partners who are all actively involved in LSV Asset Management, with current and former employees holding the majority stock in the firm. The firm was founded on grounded financial research, which all three of the founders were known for, consisting of a totaled three decades experience and over 200 research papers. Their investment philosophy is still grounded in behavioral finance, maintaining that “superior long-term results can be achieved by systematically exploiting the judgmental biases and behavioral weaknesses that influence the decisions of many investors.” LSV Asset Management takes care to avoid overuse of the past to extrapolate the future, incorrectly correlate a good company with a good investment, and employing qualitative opinions rather than hard statistical evidence. The company utilizes a focused quantitative model to operate its investments, looking for undervalued stocks that have a good potential for near term appreciation. Portfolios are fully invested, keeping company cash levels below 2%, and have a “deep value orientation relative to the indices.” The company currently has approximately $90 billion in value equity portfolios from 350 clients. LSV Asset Management’s mutual funds include its Value Equity, Conservative Value Equity, Small Cap Value, Global Value, U.S. Managed Volatility, and Global Managed Volatility funds.
LSV ASSET MANAGEMENT Top Holdings of 2024-06-30 View Full List
Ticker
Company
Shares
Value ($1000)
Shares Change %
Weighting %
Trade Impact %
% of Shares outstanding
3M Change %
YTD Change %
Market Cap $Mil
Industry
MRK
Merck & Co Inc
6,356,770
786970.000
-9.03%
1.720
-0.17%
0.250
-16.23%
-2.56%
264203.175
Drug Manufacturers
XOM
Exxon Mobil Corp
5,185,050
596900.000
-3.89%
1.310
-0.05%
0.120
+2.15%
+21.98%
528252.080
Oil & Gas
CMCSA
Comcast Corp
14,902,956
583600.000
-2.37%
1.280
-0.03%
0.380
+6.26%
-1.67%
162102.918
Telecommunication Services
T
AT&T Inc
30,092,610
575070.000
+1.06%
1.260
+0.01%
0.420
+17.80%
+39.91%
158617.140
Telecommunication Services
VZ
Verizon Communications Inc
13,357,170
550850.000
-0.98%
1.210
-0.01%
0.320
+5.44%
+17.75%
175204.645
Telecommunication Services
QCOM
Qualcomm Inc
2,513,570
500650.000
-8.55%
1.100
-0.08%
0.230
-3.85%
+20.79%
191853.080
Semiconductors
WFC
Wells Fargo & Co
8,289,200
492300.000
-5.20%
1.080
-0.05%
0.240
+9.47%
+36.04%
223321.366
Banks
CSCO
Cisco Systems Inc
10,271,904
488020.000
-3.65%
1.070
-0.04%
0.250
+16.38%
+13.02%
220426.792
Hardware
DELL
Dell Technologies Inc
3,507,920
483780.000
-30.78%
1.060
-0.37%
0.500
+6.63%
+60.17%
84702.890
Hardware
HIG
The Hartford Financial Services Group Inc
4,654,236
467940.000
-2.75%
1.030
-0.03%
1.590
+3.85%
+42.99%
32870.740
Insurance

LSV ASSET MANAGEMENT's Historical Top Holdings Breakdowns

LSV ASSET MANAGEMENT's Top Stock Picks View Full List
Ticker
Company
Date
Action
Impact %
Price Range
Price
Price Change from Avrg%
Comment
Current Shares
Share Change
VST
Vistra Corp2024-06-30Reduce
-0.57%
â—Ź
65.66 ($83.69) 106.2
$127.78
52.68%
Reduce -52%
3,670,450
-3,975,749
DELL
Dell Technologies Inc2024-06-30Reduce
-0.37%
â—Ź
114.87 ($134.06) 179.21
$120.66
-10.00%
Reduce -30.78%
3,507,920
-1,559,778
AMGN
Amgen Inc2024-06-30Reduce
-0.35%
â—Ź
262.75 ($293.78) 319.31
$317.17
7.96%
Reduce -43.67%
766,190
-593,924
BAX
Baxter International Inc2024-06-30New Buy
+0.31%
â—Ź
32.87 ($36.86) 43.55
$36.01
-2.31%
New holding
4,194,200
4,194,200
UTHR
United Therapeutics Corp2024-06-30Add
+0.30%
â—Ź
228.26 ($264.67) 319.04
$349.71
32.13%
Add 82.5%
966,370
436,851
WIRE Encore Wire Corp2024-06-30Sold Out
-0.29%
â—Ź
258.3 ($281.67) 291.23
$289.84
2.90%
Sold Out
0
-534,316
JNJ
Johnson & Johnson2024-06-30Add
+0.27%
â—Ź
144.38 ($148.72) 157.78
$161.60
8.66%
Add 39.39%
2,977,570
841,400
SFM
Sprouts Farmers Market Inc2024-06-30Reduce
-0.24%
â—Ź
62.29 ($72.86) 83.66
$120.18
64.95%
Reduce -56.6%
1,387,968
-1,810,040
CPB
Campbell Soup Co2024-06-30Add
+0.24%
â—Ź
42.31 ($44.57) 46.71
$47.63
6.87%
Add 5022.48%
2,438,300
2,390,700
STT
State Street Corporation2024-06-30Add
+0.20%
â—Ź
70.91 ($74.53) 78.01
$92.98
24.76%
Add 30.62%
5,282,386
1,238,251

LSV ASSET MANAGEMENT Total Holding History ($B)

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LSV ASSET MANAGEMENT's Asset Allocation

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LSV ASSET MANAGEMENT Past Portfolios

Portfolio Date Number of Stocks New Stocks Total Value ($Mil) Q/Q Turnover

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LSV ASSET MANAGEMENT's Hypothetical Growth since 2024-06-30

LSV ASSET MANAGEMENT's Yearly Returns

Year Portfolio % % Excess Gain %

LSV ASSET MANAGEMENT's Holdings Heat Map

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LSV ASSET MANAGEMENT's Holdings Bubble Chart

LSV ASSET MANAGEMENT News

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