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Stock Style
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Stock Style shows hedge fund manager's main investment focus in Value or Growth. It is determined based on analysis of portfolio holdings that are part of about 3000 US Stocks.
Style
Market Cap
Large
Value
Mid
Blend
Small
Growth
11
8
10
0
4
0
9
3
6
AMERICAN FINANCIAL GROUP INC

Time Period2019-03-31

Total Holdings133

Total Value ($x1000)1,132,454
Activities
New6

Increased11

Unchanged96

Decreased20

Sold Out8

Top 10 Stock Holdingstotal 31.46%
AAPL4.06

C3.93

GM3.57

PDVW3.31

NXST3.22

 
SBGI3.1

WTTR3

TYG2.51

EFC2.48

SPB2.28

-- hover over a symbol below for details --
SEC 13F
Filing
Detail
Sort:
(NOTE)
4.43%
PRN
AAPL
4.06%
COM
C
3.93%
COM NEW
GM
3.57%
COM
PDVW
3.31%
COM
NXST
3.22%
CL A
SBGI
3.1%
CL A
WTTR
3%
CL A COM
TYG
2.51%
COM
EFC
2.48%
COM
SPB
2.28%
COM
VRSK
2.19%
CL A
ETE
2.09%
COM UT LTD PTN
IVZ
2.01%
SHS
(NOTE)
2%
PRN
RC
1.92%
COM
AJX
1.91%
COM
TWO
1.9%
COM NEW
(NOTE)
1.79%
PRN
(NOTE)
1.78%
PRN
CLNY
1.75%
CL A COM
VIAB
1.72%
CL B
CCS
1.7%
COM
PRU
1.53%
COM
CG
1.4%
COM UTS LTD PTN
KYN
1.39%
COM
GTN
1.38%
COM
SIC
1.34%
CL A
CB
1.31%
COM
BX
1.21%
COM UNIT LTD
AGNC
1.12%
COM
TPR
1.1%
COM
CLPR
1.1%
COM
PSEC
1.08%
PRN
CUBI
1.08%
COM
AI
0.99%
CL A NEW
CFG
0.9%
COM
(NOTE)
0.89%
PRN
WRB
0.88%
COM
(NOTE)
0.85%
PRN
URI
0.81%
COM
AMWD
0.78%
COM
CASH
0.76%
COM
CMCSA
0.73%
CL A
GILD
0.69%
COM
KKR
0.69%
CL A
BEN
0.67%
COM
MCC
0.62%
COM
RDS/B
0.62%
SPON ADR B
CVS
0.62%
COM
ARI
0.6%
COM
ETM
0.59%
CL A
LM
0.54%
COM
OMER
0.52%
COM
WFC
0.52%
COM
ANH
0.51%
COM
SKIS
0.5%
COM
MYL
0.5%
SHS EURO
CELG
0.5%
COM
MET
0.47%
COM
LILAK
0.43%
COM CL C
NYCB
0.36%
COM
FLXN
0.35%
COM
DAL
0.35%
COM NEW
LEGH
0.35%
COM
GPMT
0.34%
COM
BP
0.32%
SPONSORED ADR
KHC
0.32%
COM
RCII
0.29%
COM
M
0.29%
COM
IVR
0.28%
COM
HBMD
0.27%
COM
BCS
0.26%
ADR
MT
0.24%
NY REGISTRY SH
HBI
0.24%
COM
NRE
0.23%
COM
NTG
0.23%
COM
HCHC
0.22%
COM
K
0.2%
COM
SSP
0.19%
CL A NEW
USAC
0.18%
COMUNIT LTDPAR
BLDR
0.18%
COM
MDLY
0.18%
COM
MNK
0.17%
SHS
DISH
0.17%
CL A
LCNB
0.17%
COM
ENDP
0.16%
SHS
TIVO
0.15%
COM
PBPB
0.15%
COM
BIIB
0.15%
COM
TAP
0.13%
CL B
AGN
0.13%
SHS
TEVA
0.12%
ADR
DB
0.12%
NAMEN AKT
LEN
0.11%
CL A
EPD
0.1%
COM
IIIN
0.09%
COM
MMP
0.07%
COM UNIT RP LP
TRGP
0.07%
COM
MPLX
0.06%
COM UNIT REP LTD
EQM
0.06%
UNIT LTD PARTN
WES
0.06%
COM UNIT LP INT
NLY
0.06%
COM
STWD
0.06%
COM
EVRI
0.06%
COM
PSXP
0.06%
COM UNIT REP INT
ENB
0.05%
COM
NBLX
0.05%
COM UNIT REPST
CFFN
0.04%
COM
ALLY
0.04%
COM
COP
0.04%
COM
EVA
0.04%
COM UNIT
BHF
0.04%
COM
PJT
0.04%
COM CL A
RDS/A
0.04%
SPONS ADR A
HESM
0.03%
UNIT LTD PR INT
IOVA
0.03%
COM
RVLT
0.03%
COM NEW
MFA
0.03%
COM
GEL
0.03%
UNIT LTD PARTN
SHLX
0.03%
UNIT LTD INT
BPMP
0.03%
UNIT LTD PTNR
JEF
0.03%
COM
AM
0.03%
COM
CNXM
0.03%
UNIT REPST
SIG
0.02%
SHS
DPM
0.02%
COM UT LTD PTN
ONVO
0.02%
COM
INVH
0.02%
COM
AXON
0.01%
COM
FLL
0.01%
COM
NIHD
< 0.01%
COM PAR $0.001
INFI
< 0.01%
COM
EFC
2.7%
COM
FOXA
0.45%
CL A
VZ
0.28%
COM
OAK
0.19%
UNIT 99/99/9999
PSEC
0.09%
PRN
WES
0.05%
COM UNIT LP IN
NRG
0.03%
COM NEW
TLP
0.02%
COM UNIT L P