Ticker | $ Bought |
---|---|
sanmina corporation | 12,599,700 |
molson coors beverage co | 12,460,500 |
reliance inc | 12,376,500 |
wesco intl inc | 12,297,700 |
ziff davis inc | 11,912,700 |
ishares tr | 8,066,820 |
vanguard index fds | 3,802,020 |
deutsche bank a g | 3,445,450 |
Ticker | % Inc. |
---|---|
spectrum brands hldgs inc ne | 4,672 |
columbia sportswear co | 4,022 |
tenet healthcare corp | 2,891 |
site ctrs corp | 366 |
cambria etf tr | 292 |
office pptys income tr | 145 |
suncoke energy inc | 142 |
tegna inc | 142 |
Ticker | % Reduced |
---|---|
helmerich & payne inc | -98.02 |
mr cooper group inc | -69.26 |
cambria etf tr | -68.58 |
liberty energy inc | -54.66 |
patrick inds inc | -49.94 |
mueller inds inc | -49.32 |
vistra corp | -46.78 |
robinhood mkts inc | -44.8 |
Ticker | $ Sold |
---|---|
cleveland-cliffs inc new | -10,568,400 |
marathon oil corp | -11,420,500 |
sm energy co | -10,115,400 |
devon energy corp new | -9,560,460 |
consol energy inc new | -16,082,000 |
arrow electrs inc | -13,677,000 |
conocophillips | -10,063,600 |
alpha metallurgical resour i | -9,802,650 |
Cambria Investment Management, L.P. has about 22% of it's holdings in Others sector.
Sector | % |
---|---|
Others | 22 |
Consumer Cyclical | 15.7 |
Financial Services | 14.3 |
Industrials | 11 |
Basic Materials | 8.7 |
Energy | 8.4 |
Consumer Defensive | 4.8 |
Communication Services | 4.5 |
Technology | 4.2 |
Healthcare | 3.9 |
Real Estate | 1.5 |
Cambria Investment Management, L.P. has about 29.6% of it's portfolio invested in the large-cap and mega-cap stocks.
Category | % |
---|---|
MID-CAP | 39.3 |
LARGE-CAP | 29.6 |
UNALLOCATED | 22 |
SMALL-CAP | 7.9 |
About 51% of the stocks held by Cambria Investment Management, L.P. either belong to S&P 500 or RUSSELL 2000 index.
Index | % |
---|---|
Others | 48.9 |
S&P 500 | 27.4 |
RUSSELL 2000 | 23.6 |
This heatmap illustrates the top 50 positions within the fund's portfolio.
Cambria Investment Management, L.P. has 392 stocks in it's portfolio. About 11.5% of the portfolio is in top 10 stocks. LEN proved to be the most loss making stock for the portfolio. SYF was the most profitable stock for Cambria Investment Management, L.P. last quarter.
Last Reported on: 14 Feb, 2025Ticker | Namesorted descending | % Portfolio | Shares Held | $ Value | Type | % Change | Options | |
---|---|---|---|---|---|---|---|---|
ATGE | adtalem global ed inc | 1.34 | 241,771 | 21,964,900 | reduced | -1.89 | ||
Historical Trend of ADTALEM GLOBAL ED INC Position Held By Cambria Investment Management, L.P.What % of Portfolio is ATGE?:Number of ATGE shares held:Change in No. of Shares Held: | ||||||||
CNX | cnx res corp | 1.31 | 587,229 | 21,533,700 | added | 5.49 | ||
VCTR | victory cap hldgs inc | 1.21 | 304,872 | 19,956,900 | added | 3.51 | ||
BLDG | cambria etf tr | 1.18 | 746,498 | 19,394,000 | reduced | -1.69 | ||
FOX | fox corp | 1.17 | 394,100 | 19,145,400 | reduced | -2.63 | ||
SYF | synchrony financial | 1.16 | 293,179 | 19,056,600 | added | 1.3 | ||
BLDG | cambria etf tr | 1.06 | 555,336 | 17,387,600 | reduced | -32.21 | ||
BLDG | cambria etf tr | 1.05 | 684,647 | 17,281,100 | added | 87.4 | ||
PYPL | paypal hldgs inc | 1.04 | 200,160 | 17,083,700 | reduced | -1.45 | ||
PRG | prog holdings inc | 1.03 | 399,953 | 16,902,000 | added | 7.35 | ||
T | at&t inc | 1.01 | 727,277 | 16,560,100 | added | 2.82 | ||
SKYW | skywest inc | 1.00 | 164,918 | 16,513,200 | added | 2.08 | ||
R | ryder sys inc | 1.00 | 104,951 | 16,462,600 | added | 3.44 | ||
AFL | aflac inc | 0.97 | 154,643 | 15,996,300 | added | 3.58 | ||
SLM | slm corp | 0.97 | 579,081 | 15,971,100 | reduced | -1.79 | ||
BRC | brady corp | 0.97 | 215,316 | 15,901,100 | reduced | -1.12 | ||
SNX | td synnex corporation | 0.96 | 134,788 | 15,807,900 | added | 4.13 | ||
AMP | ameriprise finl inc | 0.94 | 28,907 | 15,391,000 | added | 1.19 | ||
UGI | ugi corp new | 0.93 | 541,335 | 15,281,900 | added | 3.12 | ||
MATX | matson inc | 0.89 | 108,903 | 14,684,500 | added | 0.33 | ||