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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
29
6
29
1
3
3
10
10
12
RIVER ROAD ASSET MANAGEMENT LLC

Time Period2019-06-30

Total Holdings163

Total Value ($x1000)5,143,580
Activities
New20

Increased74

Unchanged4

Decreased65

Sold Out16

Top 10 Stock Holdingstotal 20.48%
PINC2.44

CMCSA2.34

BBT2.29

KMI2.26

USB2.18

 
TWNK2.05

AXS1.82

GLIBA1.77

BRK.B1.68

STAY1.65

-- hover over a symbol below for details --
SEC 13F
Filing
Detail
Sort:
PINC
2.44%
CL A
CMCSA
2.34%
CL A
BBT
2.29%
COM
KMI
2.26%
COM
USB
2.18%
COM NEW
TWNK
2.05%
CL A
AXS
1.82%
SHS
GLIBA
1.77%
COM CLASS A
BRK.B
1.68%
CL B NEW
STAY
1.65%
UNIT 99/99/9999B
CNNE
1.63%
COM
LBRDK
1.61%
COM SER C
NCR
1.47%
COM
TGT
1.37%
COM
SABR
1.32%
COM
GLW
1.31%
COM
MSM
1.3%
CL A
LKQ
1.27%
COM
WTM
1.26%
COM
DISCK
1.26%
COM SER C
WBA
1.22%
COM
ATSG
1.21%
COM
KMB
1.2%
COM
INT
1.2%
COM
BAM
1.19%
CL A LTD VT SH
CSCO
1.19%
COM
UNF
1.17%
COM
FAST
1.17%
COM
MPC
1.1%
COM
IRM
1.1%
COM
CDK
1.06%
COM
LILAK
1.05%
COM CL C
AMGN
1.02%
COM
LEXEA
1.02%
COM
FNF
1.02%
COM
PNC
0.99%
COM
VZ
0.97%
COM
OMC
0.96%
COM
UPS
0.95%
CL B
PEP
0.93%
COM
VTR
0.92%
COM
D
0.92%
COM
WMB
0.89%
COM
UL
0.89%
SPON ADR NEW
LYB
0.86%
SHS - A -
FG
0.86%
ORD SHS
CNK
0.84%
COM
ITW
0.81%
COM
XOM
0.79%
COM
MCK
0.78%
COM
IPG
0.77%
COM
CSGS
0.76%
COM
EXPE
0.74%
COM NEW
EPD
0.73%
COM
RPM
0.72%
COM
QCOM
0.7%
COM
AYR
0.69%
COM
TECD
0.68%
COM
JPM
0.68%
COM
AWI
0.68%
COM
MMP
0.66%
COM UNIT RP LP
WMT
0.66%
COM
AGN
0.66%
SHS
MUSA
0.65%
COM
BMY
0.65%
COM
CNA
0.64%
COM
WFC
0.63%
COM
VVI
0.63%
COM NEW
LAZ
0.62%
SHS A
SIX
0.61%
COM
LIN
0.6%
COM
RHP
0.6%
COM
CVX
0.6%
COM
IAA
0.6%
COM
IMKTA
0.59%
CL A
CUB
0.58%
COM
TRI
0.57%
COM NEW
EMR
0.57%
COM
WAGE
0.57%
COM
MSGN
0.55%
CL A
LSXMK
0.54%
COM C SIRIUSXM
VLO
0.54%
COM
AVYA
0.53%
COM
REZI
0.51%
COM
SBRA
0.48%
COM
MDP
0.48%
COM
CFX
0.47%
COM
NLSN
0.47%
SHS EUR
AGX
0.46%
COM
INTC
0.45%
COM
PBF
0.44%
CL A
CPSI
0.43%
COM
OCSL
0.42%
COM
CNDT
0.4%
COM
ATKR
0.39%
COM
ARMK
0.39%
COM
KAR
0.38%
COM
WSBC
0.38%
COM
SNBR
0.37%
COM
SBUX
0.36%
COM
FWRD
0.35%
COM
MPAA
0.34%
COM
FUN
0.34%
DEPOSITRY UNIT
VG
0.3%
COM
RECN
0.3%
COM
KSU
0.29%
COM NEW
ITRN
0.27%
SHS
EAF
0.27%
COM
PICO
0.24%
COM NEW
JAX
0.23%
COM
HIIQ
0.23%
COM CL A
VRRM
0.22%
COM
PDCO
0.21%
COM
BBSI
0.19%
COM
ANAT
0.17%
COM
FCNCA
0.17%
CL A
ACIW
0.17%
COM
NMRK
0.17%
CL A
AXE
0.17%
COM
APU
0.16%
UNIT L P INT
SYBT
0.16%
COM
SP
0.16%
COM
ETM
0.15%
CL A
SYKE
0.15%
COM
LILA
0.14%
COM CL A
WBS
0.13%
COM
PETS
0.12%
COM
GNW
0.11%
COM CL A
EPM
0.11%
COM
CWH
0.1%
CL A
KELYA
0.09%
CL A
HSC
0.09%
COM
ABG
0.09%
COM
ADS
0.09%
COM
TTGT
0.09%
COM
AFI
0.07%
COM
AAP
0.07%
COM
BH/A
0.06%
CL A
CARS
0.06%
COM
QEP
0.06%
COM
BH
0.05%
CL B
GTE
0.05%
COM
GOOG
0.02%
CAP STK CL C
TAP
0.01%
CL B
LBTYK
0.01%
SHS CL C
ABEV
0.01%
SPONSORED ADR
BPY
0.01%
UNIT LTD PARTN
FDX
0.01%
COM
SEB
0.01%
COM
DIS
0.01%
COM DISNEY
BLACKSTO...
0.01%
COM
TPL
0.01%
SUB CTF PROP I T
LB
0.01%
COM
GE
0.01%
COM
TIGO
0.01%
COM STK
ALEX
0.01%
COM
OXY
0.01%
COM
IR
0.01%
SHS
DEO
0.01%
SPON ADR NEW
SAP
< 0.01%
SPON ADR
NVS
< 0.01%
SPONSORED ADR
MLCO
< 0.01%
ADR
SMFG
< 0.01%
SPONSORED ADR
NFG
0.61%
COM
AAPL
0.38%
COM
MET
0.37%
COM
PII
0.36%
COM
CSWC
0.28%
COM
OSIS
0.2%
COM
JEF
0.13%
COM
CASY
0.11%
COM
HAIN
0.07%
COM
EEX
0.04%
COM
DLTR
0.02%
COM
BX
0.01%
COM UNIT LTD
DWDP
0.01%
COM
CZR
0.01%
COM
YUMC
< 0.01%
COM
NTR
< 0.01%
COM