Fund HoldingsRiver Road Asset Management, LLC

Total Portfolio Value
$9.00B
Total Bought
$1.25B
Total Sold
$1.67B
Net Transaction
-$427.20M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
StandardAero, Inc.(SARO)06,581,400+6,581,4000196,8502.19%+196,850
Meta Platforms Inc Class A(META)697173,418+172,72139997,6851.09%+97,286
A. O. Smith Corporation(AOS)01,346,882+1,346,882084,4760.94%+84,476
Chemed Corporation(CHE)71,768237,927+166,15927,110110,8121.23%+83,702
Spire Inc.(SR)0993,125+993,125077,5530.86%+77,553
Armstrong World Industries, In(AWI)0694,210+694,2100111,3651.24%+111,365
Rayonier Inc.(RYN)02,529,591+2,529,591053,8300.60%+53,830
Amrize Ltd(AMRZ)03,331,674+3,331,6740177,5781.97%+177,578
CoreCivic, Inc.(CXW)9,011,3967,246,570-1,764,826170,405220,1512.45%+49,745
Trinity Industries, Inc.(TRN)01,388,599+1,388,599048,0180.53%+48,018
Pursuit Attractions and Hospit(PRSU)2,074,2221,992,504-81,71875,979111,5201.24%+35,542
Lithia Motors, Inc.(LAD)0682,689+682,6890198,3142.20%+198,314
UGI Corporation(UGI)778,6911,720,788+942,09728,36059,4360.66%+31,076
Labcorp Holdings Inc.(LH)504,932589,085+84,153134,721164,9441.83%+30,223
Genuine Parts Company(GPC)160,171394,336+234,16516,93846,5240.52%+29,586
Sprouts Farmers Market, Inc.(SFM)698,689985,375+286,68653,89083,3430.93%+29,453
WillScot Holdings Corporation(WSC)02,783,533+2,783,533080,3330.89%+80,333
Avantis U.S. Large Cap Value E0293,193+293,193026,7420.30%+26,742
Cal-Maine Foods, Inc.(CALM)1,369,5221,655,409+285,887108,398133,3601.48%+24,962
American Express Company(AXP)379,197404,116+24,919114,700136,6921.52%+21,993
Haemonetics Corporation(HAE)01,285,602+1,285,602096,4201.07%+96,420
Amazon.com, Inc.(AMZN)326,682375,949+49,26768,03889,6041.00%+21,566
AptarGroup, Inc.1,177,0031,350,700+173,697148,326169,1081.88%+20,782
Caci International Inc Class A(CACI)0217,801+217,8010100,8981.12%+100,898
FedEx Freight Holding Company,0122,304+122,304018,4680.21%+18,468
Otis Worldwide Corporation(OTIS)0255,913+255,913018,3230.20%+18,323
LGI Homes, Inc.(LGIH)0798,542+798,542050,8510.57%+50,851
Carnival Corporation Ltd.
COMMON SHARES
0601,912+601,912017,1970.19%+17,197
International Flavors & Fragra(IFF)1,259,6531,364,943+105,29091,388108,1311.20%+16,743
Walt Disney Company(DIS)975,9051,147,993+172,08894,058110,4941.23%+16,437
Alamo Group Inc.40,709134,777+94,0686,71622,1690.25%+15,454
Owens Corning(OC)358,408340,103-18,30538,78754,0630.60%+15,276
Constellation Energy Corporati(CEG)287,191376,043+88,85280,19893,3981.04%+13,200
Independence Realty Trust, Inc(IRT)1,079,3841,751,510+672,12616,07229,2330.32%+13,161
Microsoft Corporation(MSFT)6,91740,790+33,8732,56015,2150.17%+12,655
Genworth Financial, Inc.(GNW)014,472,015+14,472,0150137,0501.52%+137,050
Mid-America Apartment Communit(MAA)1,428,0791,324,380-103,699174,397184,0092.05%+9,612
ePlus inc.(PLUS)01,582,148+1,582,1480131,6821.46%+131,682
McGrath RentCorp(MGRC)2,160,8372,046,345-114,492238,297247,6692.75%+9,372
Icon PLC(ICLR)0285,137+285,137049,5310.55%+49,531
ICU Medical, Inc.(ICUI)0626,290+626,290091,8141.02%+91,814
Titan America SA
COMMON SHARES
02,961,634+2,961,634055,2640.61%+55,264
H2O America(HTO)0126,659+126,65907,6970.09%+7,697
Celsius Holdings, Inc.(CELH)0253,447+253,44707,4210.08%+7,421
Progyny, Inc.0635,023+635,023018,3080.20%+18,308
Progressive Corporation(PGR)0467,075+467,0750102,0331.13%+102,033
Texas Instruments Incorporated(TXN)61,06058,643-2,41711,85417,4800.19%+5,626
TE Connectivity plc(TEL)026,915+26,91505,4260.06%+5,426
United Natural Foods, Inc.(UNFI)224,438337,888+113,45010,11315,4310.17%+5,318
Cannae Holdings, Inc.01,915,746+1,915,746027,5870.31%+27,587
Limbach Holdings, Inc.061,247+61,24704,7160.05%+4,716
Micron Technology, Inc.(MU)08,018+8,01809,2550.10%+9,255
Qualcomm Incorporated(QCOM)20,69736,450+15,7532,6656,7360.07%+4,070
Science Applications Internati(SAIC)0450,948+450,948049,7890.55%+49,789
Radian Group Inc.(RDN)1,127,6231,081,337-46,28637,30240,7340.45%+3,432
DNOW Inc.(DNOW)4,009,2253,936,101-73,12447,75051,0510.57%+3,301
TFI International Inc.(TFII)77,54081,655+4,1158,42311,7230.13%+3,300
Ingram Micro Holding Corporati(INGM)1,758,0621,611,151-146,91140,98044,1940.49%+3,213
Atlanta Braves Holdings Inc Cl316,644319,128+2,48413,52116,5630.18%+3,042
Commerce Bancshares, Inc.(CBSH)339,850339,962+11216,72119,6330.22%+2,912
Howard Hughes Holdings Inc.(HHH)0492,052+492,052035,1770.39%+35,177
Vail Resorts, Inc.(MTN)0494,437+494,437067,3180.75%+67,318
WESCO International, Inc.(WCC)070,019+70,019024,1870.27%+24,187
Oracle Corporation Depositary(ORCL)134,481181,877+47,3966,0538,1750.09%+2,122
Royalty Pharma Plc Class A(RPRX)407,369383,839-23,53019,54121,5220.24%+1,980
PNC Financial Services Group,(PNC)080,848+80,848019,9060.22%+19,906
Lennar Corporation Class B(LEN)58,92073,583+14,6634,9566,5280.07%+1,571
Cisco Systems, Inc.(CSCO)41,46838,894-2,5743,2184,5680.05%+1,351
GEO Group Inc(GEO)622,614395,087-227,52710,46611,6750.13%+1,209
BlueLinx Holdings Inc.0232,918+232,918014,4130.16%+14,413
Estee Lauder Companies Inc. Cl(EL)0149,826+149,826011,8290.13%+11,829
Janus International Group, Inc04,360,798+4,360,798024,2020.27%+24,202
Ridgepost Capital, Inc. Class(RPC)03,250,951+3,250,951025,5850.28%+25,585
Hewlett Packard Enterprise Co.(HPE)101,57164,344-37,2276,5527,4420.08%+890
Cooper Companies, Inc.(COO)1,974,6061,980,875+6,269141,184142,0491.58%+864
NMI Holdings, Inc.(NMIH)369,962358,330-11,63213,87714,7240.16%+847
Starbucks Corporation(SBUX)0118,919+118,919012,1520.14%+12,152
Wells Fargo & Company(WFC)709,410693,210-16,20056,47657,2870.64%+811
Asbury Automotive Group, Inc.250,400247,190-3,21048,93149,7050.55%+774
ACI Worldwide, Inc.0231,193+231,193011,6270.13%+11,627
Duke Energy Corporation(DUK)41,56847,430+5,8625,4436,0040.07%+561
AbbVie, Inc.(ABBV)31,36129,235-2,1266,8217,3570.08%+536
Api Group Corporation(APG)210,118211,761+1,6438,5148,9680.10%+454
Uber Technologies, Inc.(UBER)05,380+5,38003880.00%+388
RPM International Inc.(RPM)72,65668,458-4,1987,2227,6090.08%+387
Energy Transfer LP(ET)105,635126,622+20,9872,0392,4210.03%+382
Paycom Software, Inc.(PAYC)539,223522,119-17,10465,53765,6200.73%+83
CNA Financial Corporation(CNA)0802,360+802,360039,0030.43%+39,003
St. Joe Company(JOE)145,599146,741+1,1429,1449,1900.10%+47
News Corporation Class A(NWS)420,822424,146+3,32410,49110,5320.12%+40
Expeditors International Of Wa(EXPD)116,762102,766-13,99616,72416,7490.19%+25
Marsh & McLennan Companies, In(MRSH)1,4371,290-1472492150.00%-34
Brown & Brown, Inc.(BRO)157,107158,234+1,12710,24510,1510.11%-94
Enterprise Products Partners L(EPD)87,51087,467-433,3113,2150.04%-96
Tennant Company(TNC)0203,677+203,677017,8300.20%+17,830
Johnson & Johnson(JNJ)023,792+23,79206,0420.07%+6,042
Canadian National Railway Comp(CNI)4,0722,276-1,7964182710.00%-147
Oracle Corporation(ORCL)020,345+20,34502,9820.03%+2,982
Amgen Inc.(AMGN)20,69319,385-1,3087,2817,0200.08%-261
CNH Industrial NV
SHS
02,015,546+2,015,546022,6350.25%+22,635
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