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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.
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Large
Value
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Growth
24
8
5
0
5
0
7
2
3
BOYAR ASSET MANAGEMENT INC

Time Period2018-12-31

Total Holdings70

Total Value ($x1000)121,383
Activities
New4

Increased16

Unchanged9

Decreased41

Sold Out6

Top 10 Stock Holdingstotal 45.11%
MSFT6.49

HD6.35

JPM5.31

PFE4.99

MSG4.82

 
TRV4.56

BAC3.72

DIS3.03

BK2.93

CMCSA2.91

-- hover over a symbol below for details --
SEC 13F
Filing
Detail
Sort:
MSFT
6.49%
COM
HD
6.35%
COM
JPM
5.31%
COM
PFE
4.99%
COM
MSG
4.82%
CL A
TRV
4.56%
COM
BAC
3.72%
COM
DIS
3.03%
COM DISNEY
BK
2.93%
COM
CMCSA
2.91%
CL A
MSGN
2.9%
CL A
AMP
2.63%
COM
INTC
2.4%
COM
MDLZ
2.34%
CL A
JNJ
2.22%
COM
MAR
2.05%
CL A
CSCO
1.87%
COM
UPS
1.87%
CL B
TRCO
1.85%
CL A
KSS
1.82%
COM
BMY
1.69%
COM
CLX
1.58%
COM
DISCK
1.52%
COM SER C
CCL
1.44%
PAIRED CTF
TGT
1.4%
COM
NWL
1.37%
COM
SMG
1.37%
CL A
TPR
1.32%
COM
SYY
1.31%
COM
C
1.29%
COM NEW
HBI
1.21%
COM
WEN
1.18%
COM
CNDT
1.13%
COM
MCD
1.06%
COM
KHC
1.02%
COM
BR
0.9%
COM
ENR
0.84%
COM
CPB
0.68%
COM
ISCA
0.65%
CL A
EPC
0.63%
COM
WU
0.61%
COM
CVS
0.6%
COM
MGM
0.58%
COM
WM
0.55%
COM
VZ
0.52%
COM
AXP
0.5%
COM
AMCX
0.46%
CL A
BEN
0.41%
COM
NDAQ
0.41%
COM
ELY
0.4%
COM
QRTEA
0.39%
COM SER A
BATRK
0.39%
COM C BRAVES GRP
PYPL
0.32%
COM
OI
0.28%
COM NEW
LM
0.25%
COM
HHC
0.25%
COM
LH
0.24%
COM NEW
AXTA
0.22%
COM
KMB
0.21%
COM
GOLF
0.21%
COM
TPHS
0.21%
COM
HOG
0.21%
COM
MO
0.2%
COM
GLW
0.2%
COM
TWNK
0.17%
CL A
NWSA
0.17%
CL A
HMTV
0.12%
CL A
COWN
0.11%
CL A NEW
STKL
0.11%
COM
TSQ
0.08%
CL A
REIS
0.49%
COM
XOXO
0.22%
COM
AAPL
0.19%
COM
VAC
0.18%
COM
GE
0.17%
COM
IBM
0.15%
COM