Filer Name: PZENA INVESTMENT MANAGEMENT LLC
CIK: 1027796
Period: 2024-12-31
Filed At: 2025-02-07
Number of Holdings: 152
Portfolio Value: $29.39B

Pzena Investment Management Llc Top Holdings

Ticker Exchange Security Shares Value % of Portfolio Position Change Put/Call
MGA US MAGNA INTERNATIONAL INC 27,005,596 $1,622M 5.52% 2.6% -
CTSH US COGNIZANT TECH SOLUTIONS-A 17,666,002 $1,359M 4.62% -5.1% -
COF US CAPITAL ONE FINANCIAL CORP 6,167,716 $1,100M 3.74% -11.1% -
BAX US BAXTER INTERNATIONAL INC 33,638,296 $981M 3.34% 4.4% -
WFC US WELLS FARGO & CO 13,824,242 $971M 3.30% -11.5% -
C US CITIGROUP INC 13,734,181 $967M 3.29% -9.2% -
CHTR US CHARTER COMMUNICATIONS INC-A 2,806,973 $962M 3.27% -6.8% -
GPN US GLOBAL PAYMENTS INC 8,298,846 $930M 3.16% 25.0% -
HUM US HUMANA INC 3,609,382 $916M 3.12% 44.0% -
DG US DOLLAR GENERAL CORP 11,767,336 $892M 3.04% 14.9% -
CVS US CVS HEALTH CORP 19,610,579 $880M 3.00% 49.3% -
SSNC US SS&C TECHNOLOGIES HOLDINGS 11,559,007 $876M 2.98% -8.7% -
UBS US UBS GROUP AG-REG 29,590,323 $821M 2.79% -3.9% -
DOW US DOW INC 18,792,963 $754M 2.57% -0.8% -
BMY US BRISTOL-MYERS SQUIBB CO 13,301,299 $752M 2.56% -6.3% -
BAC US BANK OF AMERICA CORP 16,612,322 $730M 2.48% -14.7% -
LEA US LEAR CORP 7,679,092 $727M 2.47% -0.5% -
MET US METLIFE INC 8,803,671 $721M 2.45% -8.6% -
TSN US TYSON FOODS INC-CL A 11,992,302 $689M 2.34% -4.4% -
MDT US MEDTRONIC PLC 8,215,017 $656M 2.23% -4.3% -
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