Joel Greenblatt

Joel Greenblatt

Gotham Asset Management, LLC
Last update 2018-11-14 919 Stocks (216 new)
Value $7.24 Bil Turnover 29 %
Top Holdings: WMT(1.17%) AAPL(1.15%) VZ(1.09%) HD(1.02%) AMZN(1%)
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Stocks with highest dividend yield in Joel Greenblatt's Portfolio

FTR
Frontier Communications Corp
20.98%
117,067
760
0.01%
-7.03%
OSB
Norbord Inc
19.53%
28,341
940
0.01%
-13.30%
OMI
Owens & Minor Inc
14.59%
79,195
1,308
0.02%
-87.52%
VGR
Vector Group Ltd
13.97%
207,872
2,864
0.04%
+628.89%
CTL
CenturyLink Inc
12.71%
919,955
19,503
0.27%
New Holding
NEWM
New Media Investment Group Inc
11.90%
Not Rated
25,343
398
0.01%
+13.57%
SFL
Ship Finance International Ltd
11.52%
134,768
1,873
0.03%
-55.32%
PBI
Pitney Bowes Inc
10.68%
252,344
1,787
0.02%
+6.79%
CATO
Cato Corp
9.31%
34,872
733
0.01%
+31.02%
AUO
AU Optronics Corp
9.09%
130,444
549
0.01%
-3.51%
QUAD
Quad/Graphics Inc
8.69%
Not Rated
27,602
575
0.01%
-57.68%
NBR
Nabors Industries Ltd
8.34%
669,548
4,124
0.06%
New Holding
GEO
The GEO Group Inc
8.23%
17,186
432
0.01%
-6.73%
TUP
Tupperware Brands Corp
7.80%
51,912
1,736
0.02%
-82.09%
GE
General Electric Co
7.10%
412,809
4,661
0.06%
-51.51%
JHG
Janus Henderson Group PLC
6.98%
Not Rated
8,483
229
-%
New Holding
IVZ
Invesco Ltd
6.85%
59,692
1,366
0.02%
-33.44%
CVI
CVR Energy Inc
6.80%
182,898
7,356
0.10%
+130.63%
ENB
Enbridge Inc
6.55%
6,891
223
-%
-69.08%
DF
Dean Foods Co
6.51%
441,441
3,134
0.04%
+3.50%
CVA
Covanta Holding Corp
6.46%
79,703
1,295
0.02%
-16.94%
STX
Seagate Technology PLC
6.36%
743,632
35,211
0.49%
+2%
GCI
Gannett Co Inc
6.30%
Not Rated
463,702
4,642
0.06%
-25.66%
BGS
B&G Foods Inc
6.29%
82,382
2,261
0.03%
+23.87%
CMP
Compass Minerals International Inc
6.18%
8,007
538
0.01%
+0.15%
KRO
Kronos Worldwide Inc
5.94%
132,719
2,157
0.03%
+135.31%
CHS
Chico's FAS Inc
5.92%
97,026
841
0.01%
-73.47%
ADNT
Adient PLC
5.80%
Not Rated
395,973
15,566
0.21%
New Holding
GSK
GlaxoSmithKline PLC
5.73%
8,273
332
-%
-%
BCE
BCE Inc
5.51%
189,585
7,682
0.11%
+5.04%
OKE
ONEOK Inc
5.51%
126,959
8,607
0.12%
New Holding
ETM
Entercom Communications Corp
5.50%
88,026
695
0.01%
New Holding
WMB
Williams Companies Inc
5.50%
209,836
5,705
0.08%
New Holding
LVS
Las Vegas Sands Corp
5.49%
71,457
4,240
0.06%
+14.18%
WDR
Waddell & Reed Financial Inc
5.46%
15,215
322
-%
+12.66%
PPL
PPL Corp
5.39%
169,889
4,971
0.07%
+956.13%
NLSN
Nielsen Holdings PLC
5.34%
Not Rated
40,190
1,112
0.02%
New Holding
BKE
Buckle Inc
5.33%
34,706
800
0.01%
+40.03%
MO
Altria Group Inc
5.31%
798,298
48,145
0.66%
-17.51%
AMC
AMC Entertainment Holdings Inc
5.28%
Not Rated
225,521
4,623
0.06%
-59.01%