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Latest Kiltearn Partners LLP Stock Portfolio

$1.08Billion

Equity Portfolio Value
Last Reported on: 15 May, 2024

About Kiltearn Partners LLP and it’s 13F Hedge Fund Stock Holdings

In it's latest 13F Holdings report, Kiltearn Partners LLP reported an equity portfolio of $1.1 Billions as of 31 Mar, 2024.

The top stock holdings of Kiltearn Partners LLP are AMG, CMCSA, CVS. The fund has invested 10.3% of it's portfolio in AFFILIATED MANAGERS GROUP IN and 6.9% of portfolio in COMCAST CORP NEW.

The fund managers got completely rid off MOHAWK INDS INC (MHK), AUTOLIV INC (ALV) and QURATE RETAIL INC (QRTEA) stocks. They significantly reduced their stock positions in WELLS FARGO CO NEW (WFC), KT CORP (KT) and AMERICAN EXPRESS CO (AXP). The fund showed a lot of confidence in some stocks as they added substantially to AMBEV SA (ABEV), TENARIS S A (TS) and STANLEY BLACK & DECKER INC (SWK).

New Buys

No new stocks were added by Kiltearn Partners LLP

Additions

Ticker% Inc.
AMBEV SA73.28
TENARIS S A49.87
STANLEY BLACK & DECKER INC32.97
SYSCO CORP7.76

Additions to existing portfolio by Kiltearn Partners LLP

Reductions

Ticker% Reduced
WELLS FARGO CO NEW-64.6
KT CORP-56.7
AMERICAN EXPRESS CO-56.11
MICRON TECHNOLOGY INC-47.06
EBAY INC.-43.84
WALGREENS BOOTS ALLIANCE INC-30.35
EXXON MOBIL CORP-27.41
SOUTHWEST AIRLS CO-26.17

Kiltearn Partners LLP reduced stake in above stock

Sold off

Ticker$ Sold
QURATE RETAIL INC -4,368,840
MOHAWK INDS INC-28,245,200
AUTOLIV INC-16,131,800

Kiltearn Partners LLP got rid off the above stocks

Current Stock Holdings of Kiltearn Partners LLP

Last Reported on: 15 May, 2024
TickerNamesorted ascending% PortfolioShares Held$ ValueType% ChangeOptions
ABEVAMBEV SA2.2710,168,10024,606,800ADDED73.28
ALVAUTOLIV INC0.000.000.00SOLD OFF-100
AMGAFFILIATED MANAGERS GROUP IN10.35675,214112,011,000REDUCED-16.00
AXPAMERICAN EXPRESS CO1.0650,52311,499,500REDUCED-56.11
CHKPCHECK POINT SOFTWARE TECH LT4.56300,30049,333,300REDUCED-15.98
CICIGNA CORP NEW5.09151,30055,085,300REDUCED-8.58
CMCSACOMCAST CORP NEW6.921,770,86074,872,000REDUCED-5.41
CVSCVS HEALTH CORP6.33861,16868,514,500REDUCED-12.82
DOWDOW INC1.67310,40018,083,900REDUCED-15.88
EBAYEBAY INC.3.38699,79436,578,200REDUCED-43.84
FDXFEDEX CORP1.4154,60015,295,100REDUCED-15.09
GOOGALPHABET INC2.98207,10032,202,000REDUCED-16.09
HCAHCA HEALTHCARE INC4.27140,00046,215,400REDUCED-18.75
HOGHARLEY DAVIDSON INC2.55633,21327,576,400REDUCED-15.91
KMXCARMAX INC5.81731,70062,882,300REDUCED-15.99
KTKT CORP1.631,275,81017,606,200REDUCED-56.7
LILALIBERTY GLOBAL PLC 3.082,009,34033,355,000REDUCED-3.98
LUVSOUTHWEST AIRLS CO4.921,822,88053,191,700REDUCED-26.17
LYBLYONDELLBASELL INDUSTRIES N4.61488,90049,902,000REDUCED-15.95
MDTMEDTRONIC PLC2.68333,86129,052,600REDUCED-15.7
MHKMOHAWK INDS INC0.000.000.00SOLD OFF-100
MUMICRON TECHNOLOGY INC3.45300,36037,334,700REDUCED-47.06
NOVNOV INC1.891,037,70020,442,700REDUCED-0.46
QRTEAQURATE RETAIL INC 0.000.000.00SOLD OFF-100
SEESEALED AIR CORP NEW1.33391,90014,445,400REDUCED-15.47
STTSTATE STR CORP2.46344,60026,620,400REDUCED-15.62
SWKSTANLEY BLACK & DECKER INC2.51284,30027,139,300ADDED32.97
SYYSYSCO CORP1.89254,20020,480,900ADDED7.76
TSTENARIS S A2.71743,95929,378,900ADDED49.87
VALEVALE S A2.211,973,90023,903,900REDUCED-0.65
WBAWALGREENS BOOTS ALLIANCE INC2.321,285,60025,120,600REDUCED-30.35
WFCWELLS FARGO CO NEW1.84345,49919,898,400REDUCED-64.6
XOMEXXON MOBIL CORP1.79165,28319,336,500REDUCED-27.41