Yacktman Fund

Yacktman Fund | YACKX

Mutual Fund
Yacktman Fund
Last update 2024-04-15 59 Stocks (2 new)
Value $7.97 Bil Turnover 1 %
Countries:
Portfolio Report

Yacktman Fund Profile

The Yacktman Fund, under Yacktman Asset Management, seeks long-term capital appreciation and, to a lesser extent, current income. The Fund is non-diversified and mainly invests in common stocks of United States companies of any size, with some that pay dividends. The investment team aims to be objective, patient and diligent, and makes investment decisions based on the merits of individual securities rather than trying to forecast the market.

Yacktman Fund Investing Philosophy

Yacktman employs a disciplined investment strategy, buying growth companies at what it believes to be low prices. Yacktman believes this approach combines the best features of "growth" and "value" investing. When they purchase stocks, they generally search for companies they believe to possess one or more of the following three attributes: be a good business, have shareholder-orientated management, and a low purchase price.

Yacktman Fund's Portfolio

Yacktman Fund Current Holdings

Add To Portfolio
Ticker
Company
Shares
Value ($1000)
Shares Change %
Weighting %
Trade Impact %
% of Shares outstanding
3M Change %
YTD Change %
Market Cap $Mil
Industry
K
Kellanova Co
1,200,000
68748
New Holding
0.86
+0.86%
0.35
+9.26%
+10.28%
20868.578
Consumer Packaged Goods
DAR
Darling Ingredients Inc
1,005,000
46742.55
New Holding
0.59
+0.59%
0.63
-3.59%
-18.14%
6519.006
Consumer Packaged Goods
EAF
GrafTech International Ltd
8,000,000
11040
+14.29%
0.14
+0.02%
3.11
+31.85%
-18.72%
457.757
Industrial Products
XKRX:005935
Samsung Electronics Co Ltd
11,050,000
551529.83
0%
6.92
0%
0.16
-1.21%
+0.22%
504207759.615
Hardware
SCHW
Charles Schwab Corp
3,400,000
245956
0%
3.09
0%
0.19
+12.52%
+5.81%
132122.207
Capital Markets
FANG
Diamondback Energy Inc
800,000
158536
0%
1.99
0%
0.45
+12.66%
+28.12%
34502.379
Oil & Gas
STT
State Street Corporation
1,900,000
146908
0%
1.84
0%
0.63
+3.39%
-1.79%
22711.906
Asset Management
BRK.B
Berkshire Hathaway Inc
340,000
142976.8
0%
1.79
0%
0.02
-2.35%
+14.23%
880739.085
Insurance
INGR
Ingredion Inc
1,150,000
134377.5
0%
1.69
0%
1.75
+3.06%
+9.17%
7726.709
Consumer Packaged Goods
OLN
Olin Corp
2,205,000
129654
0%
1.63
0%
1.84
+4.19%
+1.56%
6496.504
Chemicals
EOG
EOG Resources Inc
955,000
122087.2
0%
1.53
0%
0.17
+10.95%
+3.42%
70844.577
Oil & Gas
JNJ
Johnson & Johnson
767,682
121439.62
0%
1.52
0%
0.03
-8.45%
-4.76%
353709.64
Drug Manufacturers
COP
ConocoPhillips
890,000
113279.2
0%
1.42
0%
0.08
+5.82%
+2.38%
137127.859
Oil & Gas
DIS
The Walt Disney Co
900,000
110124
0%
1.38
0%
0.05
-5.55%
+12.70%
185512.858
Media - Diversified
NOC
Northrop Grumman Corp
225,000
107698.5
0%
1.35
0%
0.15
+1.61%
+0.49%
69026.961
Aerospace & Defense
XKRX:012330
Hyundai Mobis Co Ltd
550,000
106775.76
0%
1.34
0%
0.61
-9.13%
-5.29%
19936914.425
Vehicles & Parts
XKRX:033780
KT&G Corp
1,452,810
101116.91
0%
1.27
0%
1.29
-7.10%
-0.58%
9747306.115
Tobacco Products
AWI
Armstrong World Industries Inc
735,000
91301.7
0%
1.15
0%
1.68
-4.14%
+19.30%
5108.776
Construction
FOX
Fox Corp
3,100,000
88722
0%
1.11
0%
0.65
+13.58%
+13.70%
15102.593
Media - Diversified
LMT
Lockheed Martin Corp
195,000
88699.65
0%
1.11
0%
0.08
+9.20%
+3.87%
112135.092
Aerospace & Defense
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Total 60

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