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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
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Small
Growth
26
8
4
0
4
0
8
2
4
BOYAR ASSET MANAGEMENT INC

Time Period2018-09-30

Total Holdings72

Total Value ($x1000)146,826
Activities
New7

Increased18

Unchanged34

Decreased13

Sold Out0

Top 10 Stock Holdingstotal 44.63%
HD6.66

MSFT6.48

JPM5.32

MSG4.68

PFE4.52

 
TRV4.25

BAC3.84

AMP3.34

BK2.78

DIS2.76

-- hover over a symbol below for details --
SEC 13F
Filing
Detail
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HD
6.66%
COM
MSFT
6.48%
COM
JPM
5.32%
COM
MSG
4.68%
CL A
PFE
4.52%
COM
TRV
4.25%
COM
BAC
3.84%
COM
AMP
3.34%
COM
BK
2.78%
COM
DIS
2.76%
COM DISNEY
MSGN
2.71%
CL A
CMCSA
2.58%
CL A
MAR
2.23%
CL A
MDLZ
2.15%
CL A
INTC
2.14%
COM
JNJ
2.08%
COM
CNDT
1.96%
COM
UPS
1.88%
CL B
KSS
1.82%
COM
CSCO
1.81%
COM
DISCK
1.71%
COM SER C
BMY
1.7%
COM
TPR
1.7%
COM
CCL
1.56%
PAIRED CTF
C
1.56%
COM NEW
TGT
1.54%
COM
HBI
1.52%
COM
SMG
1.44%
CL A
SYY
1.34%
COM
CLX
1.34%
COM
TRCO
1.32%
CL A
KHC
1.14%
COM
WEN
1.13%
COM
NWL
1.07%
COM
BR
1.02%
COM
ENR
0.92%
COM
MCD
0.86%
COM
EPC
0.73%
COM
CPB
0.66%
COM
ISCA
0.61%
CL A
WU
0.59%
COM
CVS
0.59%
COM
ELY
0.56%
COM
MGM
0.55%
COM
AMCX
0.49%
CL A
REIS
0.49%
COM
WM
0.46%
COM
AXP
0.46%
COM
VZ
0.42%
COM
NDAQ
0.36%
COM
QRTEA
0.36%
COM SER A
PYPL
0.29%
COM
LH
0.27%
COM NEW
TPHS
0.23%
COM
LM
0.22%
COM
XOXO
0.22%
COM
KMB
0.21%
COM
MO
0.2%
COM
HHC
0.2%
COM
GLW
0.19%
COM
AAPL
0.19%
COM
GOLF
0.18%
COM
VAC
0.18%
COM
AXTA
0.18%
COM
BEN
0.17%
COM
GE
0.17%
COM
IBM
0.15%
COM
NWSA
0.15%
CL A
TWNK
0.12%
CL A
HMTV
0.12%
CL A
TSQ
0.09%
CL A
STKL
0.06%
COM