COOKE & BIELER LP - Q1 2020 holdings

$6.21 Billion is the total value of COOKE & BIELER LP's 146 reported holdings in Q1 2020. The portfolio turnover from Q4 2019 to Q1 2020 was 14.0% .

 Value Shares↓ Weighting
CFX BuyColfax Corporation$186,371,000
-23.4%
9,412,665
+40.7%
3.00%
+14.8%
ARW SellArrow Electronics$164,938,000
-39.4%
3,179,846
-1.0%
2.66%
-9.2%
PGR SellProgressive$146,906,000
-9.3%
1,989,522
-11.1%
2.37%
+36.0%
STT BuyState Street$140,852,000
-31.1%
2,644,128
+2.4%
2.27%
+3.3%
HELE SellHelen of Troy$140,448,000
-20.6%
975,128
-0.9%
2.26%
+19.1%
TEL BuyTE Connectivity$134,298,000
-24.0%
2,132,386
+15.7%
2.16%
+14.0%
DOX SellAmdocs Limited$130,837,000
-34.6%
2,380,159
-14.1%
2.11%
-2.0%
ETN SellEaton PLC$126,444,000
-38.3%
1,627,555
-24.8%
2.04%
-7.5%
OMC BuyOmnicom Group$126,367,000
-22.7%
2,301,762
+14.1%
2.04%
+15.9%
HRC BuyHill Rom Holdings$121,135,000
+15.0%
1,204,129
+29.8%
1.95%
+72.3%
GIL BuyGildan Activewear$120,258,000
-50.8%
9,424,625
+13.9%
1.94%
-26.2%
RS SellReliance Steel & Aluminum$119,561,000
-35.8%
1,365,007
-12.2%
1.93%
-3.7%
AER BuyAerCap Holdings N.V.$111,976,000
-51.4%
4,913,382
+31.1%
1.80%
-27.1%
FCFS SellFirstCash Inc$109,240,000
-25.5%
1,522,719
-16.3%
1.76%
+11.7%
SNA SellSnap-on Incorporated$107,348,000
-37.0%
986,470
-1.9%
1.73%
-5.5%
AME SellAmetek Inc$107,192,000
-30.8%
1,488,366
-4.1%
1.73%
+3.8%
TCF BuyTCF Financial Corporation$106,626,000
-49.2%
4,705,491
+4.8%
1.72%
-23.9%
SYF BuySynchrony Financial$105,245,000
-46.1%
6,540,976
+20.7%
1.70%
-19.2%
IART BuyIntegra Lifesciences$99,590,000
-2.7%
2,229,465
+27.0%
1.60%
+46.0%
LH SellLaboratory Corp. of America$97,874,000
-26.1%
774,377
-1.1%
1.58%
+10.8%
HXL BuyHexcel Corporation$93,019,000
-28.3%
2,501,181
+41.3%
1.50%
+7.5%
AEO SellAmerican Eagle Outfitters$92,885,000
-48.0%
11,683,689
-3.9%
1.50%
-22.1%
ESNT BuyEssent Group Ltd$91,038,000
+337.4%
3,456,265
+763.4%
1.47%
+554.9%
AXTA BuyAxalta Coating Systems Ltd.$90,818,000
-24.1%
5,258,739
+33.6%
1.46%
+13.9%
SYNH SellSyneos Health Inc$88,032,000
-49.6%
2,233,178
-24.0%
1.42%
-24.5%
WWD BuyWoodward$87,192,000
-25.7%
1,466,894
+48.1%
1.40%
+11.5%
CBRE SellCBRE Group Inc. Cl A$85,352,000
-44.2%
2,263,380
-9.3%
1.38%
-16.3%
BAM SellBrookfield Asset Management In$85,334,000
-26.8%
1,928,452
-4.4%
1.38%
+9.8%
CB BuyChubb Limited$84,837,000
-22.2%
759,577
+8.4%
1.37%
+16.6%
UNH SellUnitedHealth Group$83,911,000
-17.1%
336,479
-2.3%
1.35%
+24.4%
WHR BuyWhirlpool Corp.$83,767,000
-37.3%
976,297
+7.9%
1.35%
-5.9%
SCHW BuyCharles Schwab Corporation$82,779,000
+4.5%
2,462,204
+47.8%
1.33%
+56.8%
BWXT SellBWX Technologies Inc$82,520,000
-23.9%
1,694,118
-3.0%
1.33%
+14.1%
ACGL SellArch Capital$81,195,000
-48.3%
2,852,941
-22.1%
1.31%
-22.6%
JNJ BuyJohnson & Johnson$80,900,000
-9.9%
616,948
+0.2%
1.30%
+35.0%
SWM SellSchweitzer Mauduit$79,480,000
-35.5%
2,856,926
-2.6%
1.28%
-3.3%
HBI SellHanesbrands Inc$75,910,000
-49.1%
9,645,528
-4.0%
1.22%
-23.7%
AYI SellAcuity Brands Inc$75,858,000
-40.4%
885,575
-4.0%
1.22%
-10.7%
BRKB SellBerkshire Hathaway Cl B$74,239,000
-23.5%
406,054
-5.2%
1.20%
+14.7%
PRGO SellPerrigo Co PLC$71,633,000
-12.5%
1,489,570
-6.0%
1.15%
+31.3%
ATVI SellActivision Blizzard Inc$70,292,000
-58.3%
1,181,787
-58.4%
1.13%
-37.5%
Y NewAlleghany Corp$70,014,000126,757
+100.0%
1.13%
UPS SellUnited Parcel Service$69,790,000
-32.5%
747,057
-15.4%
1.12%
+1.3%
JPM SellJP Morgan Chase$68,501,000
-36.0%
760,873
-0.9%
1.10%
-4.0%
GL BuyGlobe Life Inc$67,099,000
-20.2%
932,320
+16.7%
1.08%
+19.6%
JCI SellJohnson Controls$66,468,000
-37.6%
2,465,427
-5.8%
1.07%
-6.4%
MMM Sell3M Company$65,857,000
-23.5%
482,435
-1.1%
1.06%
+14.7%
VZ SellVerizon Communications$65,620,000
-38.0%
1,221,285
-29.1%
1.06%
-7.0%
CBSH SellCommerce Bancshares$65,459,000
-47.8%
1,300,083
-29.6%
1.06%
-21.7%
MDT BuyMedtronic PLC$64,918,000
-9.6%
719,872
+13.8%
1.05%
+35.7%
BDX SellBecton Dickinson and Company$64,842,000
-16.7%
282,202
-1.4%
1.04%
+25.0%
WFC BuyWells Fargo$64,019,000
-33.6%
2,230,640
+24.4%
1.03%
-0.6%
PM SellPhilip Morris Int'l$61,899,000
-22.8%
848,396
-10.0%
1.00%
+15.7%
LDOS SellLeidos Holdings Inc$58,377,000
-15.1%
636,959
-9.4%
0.94%
+27.2%
USB NewUS Bancorp$57,699,0001,674,869
+100.0%
0.93%
MKSI SellMKS Instruments Inc.$57,210,000
-41.2%
702,396
-20.6%
0.92%
-11.9%
ICE BuyIntercontinental Exchange, Inc$54,797,000
+9.6%
678,605
+25.6%
0.88%
+64.4%
FNF SellFNF Group$50,936,000
-67.5%
2,047,288
-40.7%
0.82%
-51.2%
WGO SellWinnebago$50,455,000
-52.0%
1,814,278
-8.6%
0.81%
-28.1%
HCA BuyHCA Healthcare Inc.$49,941,000
-31.7%
555,825
+12.4%
0.80%
+2.5%
GTES BuyGates Industrial Corporation P$48,049,000
-37.5%
6,510,683
+16.5%
0.77%
-6.3%
DCI SellDonaldson$47,289,000
-39.1%
1,224,155
-9.2%
0.76%
-8.7%
SCS SellSteelcase Cl A$46,796,000
-51.8%
4,741,282
-0.1%
0.75%
-27.7%
PNC BuyPNC Financial Services$46,707,000
-31.6%
487,954
+14.0%
0.75%
+2.5%
XOM BuyExxon Mobil$42,592,000
-44.8%
1,121,710
+1.5%
0.69%
-17.2%
HII NewHuntington Ingalls Industries$37,499,000205,800
+100.0%
0.60%
CCL BuyCarnival$37,150,000
-69.6%
2,820,826
+17.1%
0.60%
-54.5%
GBCI BuyGlacier Bancorp Inc$36,706,000
-15.5%
1,079,424
+14.3%
0.59%
+26.6%
PGTI BuyPGT Innovations Inc$36,013,000
-41.3%
4,292,375
+4.2%
0.58%
-12.1%
UMPQ SellUmpqua Holdings$33,011,000
-39.5%
3,028,495
-1.7%
0.53%
-9.2%
VREX BuyVarex Imaging Corporation$29,403,000
-10.8%
1,294,735
+17.1%
0.47%
+33.9%
STAY SellExtended Stay America$25,687,000
-51.0%
3,513,993
-0.4%
0.41%
-26.5%
SLB BuySchlumberger$25,294,000
-56.2%
1,875,047
+30.5%
0.41%
-34.5%
NCLH NewNorwegian Cruise Line$25,061,0002,286,600
+100.0%
0.40%
FUL BuyH.B. Fuller Company$24,848,000
-40.3%
889,646
+10.3%
0.40%
-10.5%
AL BuyAir Lease Corp$23,988,000
-6.6%
1,083,462
+100.4%
0.39%
+39.9%
PLXS SellPlexus Corp$22,378,000
-48.0%
410,148
-26.7%
0.36%
-21.9%
MBUU SellMalibu Boats Inc$22,273,000
-32.4%
773,654
-3.8%
0.36%
+1.4%
KAI SellKadant$20,932,000
-43.5%
280,402
-20.3%
0.34%
-15.3%
AMWD BuyAmerican Woodmark$20,251,000
-43.6%
444,390
+29.4%
0.33%
-15.5%
DNOW BuyNOW Inc.$18,552,000
-42.9%
3,595,310
+24.5%
0.30%
-14.3%
COHU SellCOHU$16,707,000
-60.0%
1,349,550
-26.1%
0.27%
-40.0%
NWLI BuyNational Western Life Grp Cl A$14,914,000
-29.6%
86,707
+19.1%
0.24%
+5.3%
SRI BuyStoneridge Inc$14,418,000
+332.8%
860,794
+657.6%
0.23%
+544.4%
EPAC SellEnerpac Tool Group$14,027,000
-49.1%
847,540
-20.0%
0.23%
-23.6%
RUSHA SellRush Enterprises$13,575,000
-36.8%
425,294
-8.0%
0.22%
-5.2%
NVEE NewNv5 Global Inc$12,691,000307,361
+100.0%
0.20%
PRAA SellPRA Group$10,419,000
-65.6%
375,854
-54.9%
0.17%
-48.3%
ENTG SellEntegris$7,068,000
-38.5%
157,870
-31.2%
0.11%
-8.1%
ITW  Illinois Tool Works$6,896,000
-20.9%
48,5240.0%0.11%
+18.1%
GRC SellGorman Rupp Co$5,548,000
-28.3%
177,763
-13.8%
0.09%
+7.2%
EMR  Emerson Electric$486,000
-37.5%
10,2000.0%0.01%0.0%
GIS BuyGeneral Mills$351,000
+31.0%
6,650
+33.0%
0.01%
+100.0%
CCK SellCrown Holdings$400,000
-99.5%
6,900
-99.4%
0.01%
-99.4%
UL NewUnilever PLC ADRadr$311,0006,150
+100.0%
0.01%
MSFT NewMicrosoft$284,0001,800
+100.0%
0.01%
PG NewProcter & Gamble$230,0002,094
+100.0%
0.00%
PFE NewPfizer$206,0006,300
+100.0%
0.00%
RNR ExitRenaissanceRe$0-76,906
-100.0%
-0.16%
AGN ExitAllergan plc$0-214,190
-100.0%
-0.44%
WSM ExitWilliams-Sonoma Inc$0-685,108
-100.0%
-0.54%
ADS ExitAlliance Data Systems Corp.$0-479,671
-100.0%
-0.58%
Original filings

The following EDGAR filing(s) were analyzed to create this report:

  • View 13F-HR filed 2020-05-06
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
Gildan Activewear42Q3 20233.5%
State Street42Q3 20233.3%
Omnicom Group42Q3 20233.5%
AerCap Holdings N.V.42Q3 20233.5%
JP Morgan Chase42Q3 20232.9%
Johnson & Johnson42Q3 20232.6%
Berkshire Hathaway Cl B42Q3 20232.0%
Becton, Dickinson and Company42Q3 20232.4%
UnitedHealth Group42Q3 20232.4%
Philip Morris Int'l42Q3 20232.0%

View COOKE & BIELER LP's complete holdings history.

Latest significant ownerships (13-D/G)
COOKE & BIELER LP Q1 2020 significant holdings filed using form 13D/G when ownership exceeds 5% of a company's total stock issue.
FiledShares Percentage
FirstCash Holdings, Inc.February 14, 2023656,9581.4%
Mativ Holdings, Inc.Sold outFebruary 14, 202300.0%
AMERICAN EAGLE OUTFITTERS INCFebruary 11, 20225,890,6403.5%
STEELCASE INCFebruary 11, 20223,657,2564.2%
Colfax CORPFebruary 16, 20215,573,0334.7%
NAUTILUS, INC.Sold outFebruary 14, 202000.0%
Quanex Building Products CORPSold outFebruary 14, 202000.0%
STEELCASE INCFebruary 15, 20112,653,9983.1%

View COOKE & BIELER LP's complete significant-ownership history.

Latest filings
TypeFiled
SC 13G/A2024-02-13
SC 13G/A2024-02-13
SC 13G/A2024-02-13
SC 13G/A2024-02-13
SC 13G/A2024-02-13
SC 13G/A2024-02-13
SC 13G/A2024-02-13
SC 13G/A2024-02-13
SC 13G2024-02-13
SC 13G2024-02-13

View COOKE & BIELER LP's complete filings history.

Compare quarters

Issues

The following issues were detected while analyzing the report:

  • The reported total value is incorrect (6207414000.0 != 6207408000.0)

Export COOKE & BIELER LP's holdings