Richard Pzena
Richard Pzena
Pzena Investment Management LLC
Last update 2018-09-17 161 Stocks (15 new)
Value $19.89 Bil Turnover 10 %
Top Holdings: MYL (3.84%) OMC (2.8%) C (2.66%) ORCL (2.53%) CTSH (2.52%)
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Price change from average %
Market Cap

Stocks with highest dividend yield in Richard Pzena's Portfolio

VIV
Telefonica Brasil SA
11.33 %
1
5,498,838
65,271
0.33 %
+13.98 %
SRC
Spirit Realty Capital Inc
8.42 %
1
12,328
99
-
New Holding
OHI
Omega Healthcare Investors Inc
7.98 %
1
16,911
524
-
+26.81 %
HPT
Hospitality Properties Trust
7.91 %
1
590,723
16,901
0.08 %
-
F
Ford Motor Co
7.06 %
1
42,656,575
472,208
2.37 %
-4.82 %
APO
Apollo Global Management LLC
6.31 %
Not Rated
346,032
11,028
0.06 %
+6 %
T
AT&T Inc
6.08 %
1
847,883
27,226
0.14 %
+2.56 %
RDS.A
Royal Dutch Shell PLC
5.74 %
1
6,006,566
415,835
2.09 %
-8.41 %
HCP
HCP Inc
5.61 %
1
29,591
764
-
New Holding
NWL
Newell Brands Inc
5.43 %
1
16,582,214
427,655
2.15 %
New Holding
BP
BP PLC
5.49 %
1
5,231,617
238,876
1.20 %
-3.26 %
IVZ
Invesco Ltd
5.37 %
1
2,620,054
69,589
0.35 %
+0.49 %
MFGP
Micro Focus International PLC
5.37 %
4.5
4,247,315
73,351
0.37 %
-3.58 %
SO
Southern Co
5.24 %
1
10,846
502
-
-34.34 %
DBD
Diebold Nixdorf Inc
4.85 %
1
3,420,967
40,881
0.21 %
+21.11 %
LUKOY
PJSC Lukoil
4.96 %
4.5
8,519
587
-
-47.90 %
DRH
Diamondrock Hospitality Co
4.77 %
1
1,072,425
13,169
0.07 %
+6.69 %
LAMR
Lamar Advertising Co
4.73 %
1
10,061
687
-
-91.47 %
UBS
UBS Group AG
4.69 %
1
10,777,590
165,328
0.83 %
+0.83 %
ESND
Essendant Inc
4.37 %
1
4,940,224
65,310
0.33 %
+1.51 %
CHL
China Mobile Ltd
4.38 %
1
20,500
910
-
-
LM
Legg Mason Inc
4.25 %
1
639,775
22,219
0.11 %
-0.02 %
ETR
Entergy Corp
4.23 %
1
380,920
30,775
0.15 %
+2.03 %
EWY
iShares Inc MSCI South Korea
4.07 %
1
88,787
6,012
0.03 %
New Holding
XOM
Exxon Mobil Corp
3.88 %
1
4,512,607
373,328
1.88 %
+2 %
GE
General Electric Co
3.82 %
1
17,048,137
232,025
1.17 %
+334.54 %
UVV
Universal Corp
3.80 %
1
644,690
42,582
0.21 %
-8.65 %
MET
MetLife Inc
3.74 %
1
8,314,788
362,525
1.82 %
+39.32 %
HOPE
Hope Bancorp Inc
3.68 %
1
3,018,616
53,822
0.27 %
+4.55 %
QCOM
Qualcomm Inc
3.64 %
1
711,742
39,943
0.20 %
+1.53 %
CAH
Cardinal Health Inc
3.53 %
4
2,932,134
143,176
0.72 %
+2.04 %
AGR
Avangrid Inc
3.57 %
1
1,768,747
93,620
0.47 %
+2.10 %
TSM
Taiwan Semiconductor Manufacturing Co Ltd
3.50 %
4.5
623,501
22,795
0.11 %
-
EIX
Edison International
3.44 %
1
7,836,404
495,809
2.49 %
+43.13 %
SHG
Shinhan Financial Group Co Ltd
3.51 %
1
83,124
3,199
0.02 %
+2.66 %
IPG
The Interpublic Group of Companies Inc
3.29 %
3
16,630,916
389,829
1.96 %
-5.62 %
KSS
Kohl's Corp
3.34 %
3.5
346,078
25,229
0.13 %
-
BEN
Franklin Resources Inc
3.09 %
1
10,531,839
337,545
1.70 %
-1.17 %
SCS
Steelcase Inc
3.17 %
1
3,393,731
45,815
0.23 %
+14 %
R
Ryder System Inc
3.13 %
4
2,086,223
149,916
0.75 %
+25.77 %