Fund HoldingsKEMPNER CAPITAL MANAGEMENT INC.

Total Portfolio Value
$105.83M
Total Bought
$42.73M
Total Sold
$60.91M
Net Transaction
-$18.18M
Filing Period:
Securities
SharesValue ($K)
Q3 2025
Q4 2025
Change
Q3 2025
Q4 2025
Weight (%)
Change
BLACKSTONEMNLS LP(BSM)0439,295+439,29506,1945.85%+6,194
TAIWAN SEMICONDUCTOR(TSM)018,898+18,89805,4385.14%+5,438
ALPHABET INC(GOOG)014,712+14,71204,5514.30%+4,551
SENSATATECHHLDGSPLC
SHS
0102,473+102,47303,5303.34%+3,530
SHELL PLC(SHEL)041,694+41,69403,0122.85%+3,012
CITIGROUP INC(C)026,008+26,00802,9342.77%+2,934
TYSON FOODS INC(TSN)044,273+44,27302,6362.49%+2,636
EASTERLY GOVERN REIT(DEA)095,457+95,45702,1402.02%+2,140
CHUBB LIMITED
COM
05,909+5,90901,8471.75%+1,847
AMCOR PLC(AMCR)0198,643+198,64301,6391.55%+1,639
BP PLC ADS(BP)042,273+42,27301,4901.41%+1,490
EOS ENERGY ENTRP INC(EOSE)0102,500+102,50001,3971.32%+1,397
ISRA VANECK ETF TR
ISRAEL ETF
022,500+22,50001,3311.26%+1,331
RIO TINTO PLC(RIO)016,758+16,75801,2711.20%+1,271
SONOCO PRODUCTS CO(SON)24,86152,891+28,0301,0712,2712.15%+1,200
EVEREST GROUP LTD(EG)03,040+3,04009990.94%+999
TERADYNE INCORP(TER)24,71022,534-2,1763,4014,3874.15%+986
ELI LILLY & CO(LLY)2,5202,327-1931,9232,4722.34%+549
BHPGROUPLMT ADR07,408+7,40804380.41%+438
SBI WESTERN ASSET INTERM MUNI047,800+47,80003710.35%+371
MERCK & CO. INC.(MRK)36,62133,776-2,8453,0743,3863.20%+312
SLB LIMITED(SLB)07,972+7,97203100.29%+310
CISCO SYSTEMS INC(CSCO)41,75737,803-3,9542,8572,9582.79%+101
CITIZENS FINANCIAL GRP(CFG)62,57557,049-5,5263,3263,3343.15%+8
PARK HOTELS&RESORTSINC(PK)22,00022,00002442420.23%-2
AWPAX AB SUST INTL THEMATIC A24,54024,539-15255200.49%-5
KENVUE INC(KVUE)133,214125,211-8,0032,1622,1552.04%-7
DIAMONDBACKENRGYINC(FANG)5,1664,705-4617397250.69%-14
TRUIST FIN'L CORP(TFC)56,81251,784-5,0282,5972,5762.43%-21
KMI KINDER MORGAN INC(KMI)28,20028,20007987540.71%-44
INT'L FLAVORS&FRGRNCS(IFF)34,81732,167-2,6502,1432,0641.95%-79
LINCOLN NATIONAL CORP.(LNC)81,77571,088-10,6873,2983,2133.04%-85
CULLEN FROST BANKERS(CFR)34,36132,932-1,4294,3564,2624.03%-94
SERVICE PPTYS TR(SVC)47,4500-47,4501290-129
EXXONMOBIL CRP XOM27,27624,803-2,4733,0752,9212.76%-154
WARNER BROS DISCOVERY INC(WBD)11,1750-11,1752180-218
MICRON TECH INC(MU)49,37233,792-15,5808,2618,0267.58%-235
REALTYINCOMEINC REIT(O)30,07326,943-3,1301,8281,5651.48%-263
UNITEDHEALTH GROUP INC(UNH)8,0307,305-7252,7732,4922.35%-281
EQUITABLE HOLDINGS INC.50,50546,026-4,4792,5652,2232.10%-342
GLOBAL PAYMENTS INC(GPN)41,80037,989-3,8113,4733,1012.93%-372
WESTERN ASSET INTER MUNI FD47,8000-47,8003780-378
ZIMMERBIOMETHLDGSINC(ZBH)31,40128,548-2,8533,0932,6392.49%-454
BHP GROUP LTD8,1520-8,1524540-454
DISNEY (WALT) COMPANY(DIS)32,87729,685-3,1923,7643,2803.10%-484
BANK OF AMERICA CORP.64,33644,962-19,3743,3192,4882.35%-831
EVEREST GROUP LTD(EG)3,3490-3,3491,1730-1,173
RIO TINTO PLC(RIO)18,3040-18,3041,2080-1,208
VANECK ETF TRUST
ISRAEL ETF
22,5000-22,5001,2280-1,228
LYONDELLBASELL INDUSTRIES N
SHS - A -
25,7220-25,7221,2610-1,261
BAXTER INTL INC62,3700-62,3701,4200-1,420
BP PLC(BP)48,0520-48,0521,6560-1,656
AMCOR PLC(AMCR)207,1210-207,1211,6940-1,694
CHUBB LIMITED
COM
6,4020-6,4021,8070-1,807
SCHLUMBERGER LTD(SLB)56,5230-56,5231,9430-1,943
EOS ENERGY ENTERPRISES INC(EOSE)175,0000-175,0001,9930-1,993
CONMED CORP(CNMD)49,5546,258-43,2962,3312520.24%-2,079
EASTERLY GOVT PPTYS INC(DEA)105,7120-105,7122,4240-2,424
FMC CORP(FMC)73,2860-73,2862,4650-2,465
TYSON FOODS INC(TSN)48,5330-48,5332,6350-2,635
CITIGROUP INC(C)30,9050-30,9053,1370-3,137
SHELL PLC(SHEL)46,1020-46,1023,2980-3,298
SENSATA TECHNOLOGIES HLDG PL
SHS
110,9790-110,9793,3900-3,390
ALPHABET INC(GOOG)15,9600-15,9603,8870-3,887
BLACK STONE MINERALS L P(BSM)582,1280-582,1287,6490-7,649
TAIWAN SEMICONDUCTOR MFG LTD(TSM)27,5920-27,5927,7060-7,706
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