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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
53
10
9
2
5
0
36
3
6
AUXIER ASSET MANAGEMENT

Time Period2018-09-30

Total Holdings153

Total Value ($x1000)530,296
Activities
New5

Increased21

Unchanged56

Decreased71

Sold Out4

Top 10 Stock Holdingstotal 28.79%
UNH4.6

MSFT3.36

PM3.2

MDT2.92

BK2.59

 
JNJ2.58

ANTM2.56

PEP2.42

MA2.38

KR2.18

-- hover over a symbol below for details --
SEC 13F
Filing
Detail
Sort:
UNH
4.6%
COM
MSFT
3.36%
COM
PM
3.2%
COM
MDT
2.92%
SHS
BK
2.59%
COM
JNJ
2.58%
COM
ANTM
2.56%
COM
PEP
2.42%
COM
MA
2.38%
CL A
KR
2.18%
COM
ZMH
2.14%
COM
DWDP
2.1%
COM
MRK
2.05%
COM
BP
1.88%
SPONSORED ADR
BIIB
1.88%
COM
BAC
1.87%
COM
TRV
1.74%
COM
MO
1.71%
COM
ESRX
1.52%
COM
ABT
1.4%
COM
LYB
1.4%
SHS - A -
GLW
1.39%
COM
VLO
1.37%
COM
DISCA
1.3%
COM SER A
TAP
1.25%
CL B
V
1.25%
COM CL A
AFL
1.17%
COM
ORCL
1.14%
COM
CERN
1.11%
COM
KO
1.09%
COM
HD
1.08%
COM
AMX
1.07%
SPON ADR L SHS
AIG
1.07%
COM NEW
C
1.07%
COM NEW
WMT
1.06%
COM
UN
1.05%
N Y SHS NEW
BDX
1.04%
COM
CVS
1.03%
COM
BRK.B
0.99%
CL B NEW
BA
0.88%
COM
BEN
0.8%
COM
DGX
0.8%
COM
LOW
0.79%
COM
CMCSA
0.74%
CL A
CE
0.65%
COM SER A
PG
0.64%
COM
TEF
0.64%
SPONSORED ADR
PFE
0.63%
COM
PAYX
0.63%
COM
CS
0.62%
SPONSORED ADR
HRB
0.6%
COM
GOOGL
0.6%
CAP STK CL A
CVX
0.59%
COM
MMC
0.59%
COM
UPS
0.58%
CL B
CTSH
0.56%
CL A
UNM
0.56%
COM
MOS
0.53%
COM
FDX
0.52%
COM
CPF
0.51%
COM NEW
RTN
0.49%
COM NEW
ABBV
0.48%
COM
GSK
0.47%
SPONSORED ADR
COP
0.45%
COM
COST
0.43%
COM
MCD
0.43%
COM
LW
0.42%
COM
BTI
0.42%
SPONSORED ADR
SBH
0.4%
COM
MNTX
0.4%
COM
CSCO
0.39%
COM
MNST
0.38%
COM
DEO
0.37%
SPON ADR NEW
AGN
0.37%
SHS
VZ
0.36%
COM
PSX
0.36%
COM
FOXA
0.35%
CL A
UNP
0.35%
COM
FB
0.34%
CL A
AAPL
0.33%
COM
MDLZ
0.33%
CL A
WFC
0.31%
COM
INTC
0.29%
COM
WAFD
0.29%
COM
ADP
0.28%
COM
AET
0.28%
COM
NKE
0.26%
CL B
SJM
0.25%
COM NEW
RDS/A
0.24%
SPONS ADR A
AMGN
0.24%
COM
YUM
0.23%
COM
XOM
0.22%
COM
T
0.22%
COM
ALKS
0.22%
SHS
GM
0.22%
COM
TGH
0.22%
SHS
CAG
0.22%
COM
WTW
0.21%
COM
CTL
0.21%
COM
DHI
0.21%
COM
DIS
0.21%
COM DISNEY
ARCO
0.2%
SHS CLASS -A -
IR
0.2%
SHS
WU
0.2%
COM
AXP
0.18%
COM
GILD
0.17%
COM
ALK
0.17%
COM
VIAB
0.16%
CL B
DAL
0.15%
COM NEW
KHC
0.14%
COM
USB
0.13%
COM NEW
SBUX
0.13%
COM
FSV
0.12%
SUB VTG SH
CAT
0.12%
COM
TPR
0.11%
COM
KDP
0.11%
COM
CIGI
0.1%
SUB VTG SHS
WDR
0.1%
CL A
LINC
0.09%
COM
LM
0.09%
COM
YUMC
0.09%
COM
WM
0.09%
COM
BMY
0.09%
COM
AMP
0.08%
COM
MAN
0.08%
COM
WY
0.08%
COM
HPQ
0.07%
COM
PYX
0.07%
COM
APA
0.06%
COM
ALLE
0.06%
ORD SHS
DNKN
0.06%
COM
BRK.A
0.06%
CL A
CMP
0.06%
COM
AGCO
0.05%
COM
GIS
0.05%
COM
LH
0.05%
COM NEW
GOOG
0.05%
CAP STK CL C
SKM
0.05%
SPONSORED ADR
CDK
0.05%
COM
ADBE
0.05%
COM
DISCK
0.05%
COM SER C
GE
0.05%
COM
HPE
0.05%
COM
AMZN
0.05%
COM
TSM
0.05%
SPONSORED ADR
IPG
0.05%
COM
GBL
0.04%
COM
JWN
0.04%
COM
ANDE
0.04%
COM
TM
0.04%
SP ADR REP2COM
LYG
0.02%
SPONSORED ADR
NOK
0.01%
SPONSORED ADR
ISR
< 0.01%
COM
DPS
0.61%
COM
AOI
0.05%
COM NEW
ENB
0.04%
COM
GVA
0.04%
COM