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Boston Partners

13F
Boston Partners
Last update 2025-02-11 707 Stocks (70 new)
Value $82.21 Bil Turnover 13 %
Countries:

Boston Partners Profile

Boston Partners is a privately owned investment manager that is a part of Robeco Group, which is intern largely owned by ORIX Corporation. The firm was founded in 1995 and currently employees 136 people, with 42 of them being investment professionals. Within the company, the business operations are done under a “flat management structure that empowers our analysts and portfolio managers to research and construct their investment recommendations and portfolios within a specific and well-defined set of investment principles.” The firm has three main direct divisions that conduct its investment managing business. Boston Partners holds approximately $75 billion in client assets under management, split between the three main divisions with Boston Partners having $72.6 billion, WPG Partners having $1.3 billion, and Redwood having over $600 million. Boston Partners, the largest of the three divisions, handles the company’s core offerings of value equities. To select its securities, the division utilizes bottom up fundamental research with quantitative analysis, focusing on the valuation, fundamentals, and momentum of the businesses. WPG Partners specializes in small and micro-cap investing and is led by Richard Shuster and Greg Weiss. To select its investments, the division focuses on consistent track records and methodologies, knowledge of pricing within segments, and the capability of companies to change positively. Redwood, the smallest and most recently acquired division, develops its “absolute return strategy that seeks to combine fundamental security analysis with management of equity volatility to produce performance with stability.” The division focuses on investments in companies that can produce 6-9% market cycle returns and have half the volatility of the broad equity market according to the S&P 500 Index, focusing on its capabilities to deliver downside protection. Some of the company’s mutual funds include its All-Cap Value Fund, Long and Short Equity Fund, Long and Short Research Fund, and Global Long and Short Fund.
Boston Partners Top Holdings of 2024-12-31 View Full List
Ticker
Company
Shares
Value ($1000)
Shares Change %
Weighting %
Trade Impact %
% of Shares outstanding
3M Change %
YTD Change %
Market Cap $Mil
Industry
JPM
JPMorgan Chase & Co
8,362,997
2,012,972.4
-3.42%
2.450
-0.07%
0.300
-7.67%
+3.21%
679,823.4
Banks
LPLA
LPL Financial Holdings Inc
3,905,541
1,278,454.2
+25.99%
1.560
+0.32%
5.230
-11.71%
-2.11%
25,537.2
Capital Markets
GOOGL
Alphabet Inc
6,084,302
1,154,177.5
-8.73%
1.400
-0.11%
0.050
-17.94%
-15.30%
1,953,873.9
Interactive Media
COR
Cencora Inc
5,007,100
1,128,058.0
+2.57%
1.370
+0.03%
2.580
+13.63%
+29.44%
56,209.6
Medical Distribution
AZO
AutoZone Inc
344,331
1,103,600.4
-3.63%
1.340
-0.05%
2.050
+11.80%
+15.71%
61,978.8
Vehicles & Parts
ORCL
Oracle Corp
6,303,760
1,055,082.4
-14.16%
1.280
-0.21%
0.230
-12.79%
-15.00%
394,808.1
Software
ABBV
AbbVie Inc
5,687,472
1,008,867.1
+35.95%
1.230
+0.33%
0.320
+11.43%
+10.94%
342,315.0
Drug Manufacturers
FLEX
Flex Ltd
26,114,574
1,006,435.7
+2.23%
1.220
+0.03%
6.820
-15.97%
-9.14%
13,362.6
Hardware
HBAN
Huntington Bancshares Inc
60,789,536
989,992.1
-7.84%
1.200
-0.09%
4.180
-13.84%
-9.07%
21,327.7
Banks
FIS
Fidelity National Information Services Inc
11,999,052
968,325.5
+3.87%
1.180
+0.04%
2.230
-1.94%
-2.10%
41,345.1
Software

Boston Partners's Historical Top Holdings Breakdowns

Boston Partners's Top Stock Picks View Full List
Ticker
Company
Date
Action
Impact %
Price Range
Price
Price Change from Avrg%
Comment
Current Shares
Share Change
CNC
Centene Corp2024-12-31Reduce
-0.67%
â—Ź
56.71 ($62.18) 72.9
$59.26
-4.70%
Reduce -83.3%
1,528,323
-7,624,593
SYY
Sysco Corp2024-12-31Add
+0.67%
â—Ź
73.63 ($76.53) 81.77
$70.24
-8.22%
Add 143.71%
12,184,114
7,184,754
WMT
Walmart Inc2024-12-31Reduce
-0.63%
â—Ź
79.1 ($86.86) 95.7
$96.04
10.57%
Reduce -98.81%
79,842
-6,642,542
ICLR
Icon PLC2024-12-31Reduce
-0.56%
â—Ź
187.22 ($232.71) 297.72
$149.31
-35.84%
Reduce -72.36%
631,562
-1,653,122
AMD
Advanced Micro Devices Inc2024-12-31Reduce
-0.49%
â—Ź
118.88 ($143.64) 172.8
$96.06
-33.12%
Reduce -99.82%
4,588
-2,545,049
UBER
Uber Technologies Inc2024-12-31New Buy
+0.46%
â—Ź
59.93 ($71.36) 86.34
$79.42
11.29%
New holding
6,281,761
6,281,761
CI
The Cigna Group2024-12-31Reduce
-0.44%
â—Ź
265.59 ($318.3) 358.58
$337.21
5.94%
Reduce -62.69%
643,307
-1,080,728
DIS
The Walt Disney Co2024-12-31New Buy
+0.43%
â—Ź
92.39 ($105.22) 117.6
$91.17
-13.35%
New holding
3,153,307
3,153,307
DAL
Delta Air Lines Inc2024-12-31New Buy
+0.40%
â—Ź
47.46 ($59.19) 65.77
$42.08
-28.91%
New holding
5,392,592
5,392,592
AVTR
Avantor Inc2024-12-31Reduce
-0.39%
â—Ź
19.72 ($22.44) 25.54
$12.69
-43.45%
Reduce -66.42%
6,422,468
-12,704,887

Boston Partners Total Holding History ($B)

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Boston Partners's Asset Allocation

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Boston Partners Past Portfolios

Portfolio Date Number of Stocks New Stocks Total Value ($Mil) Q/Q Turnover

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Boston Partners's Hypothetical Growth since 2024-12-31

Boston Partners's Yearly Returns

Year Portfolio % % Excess Gain %

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