COOKE & BIELER LP Q1 2018 Filing

Filed May 14, 2018

Portfolio Value

$5.3T

Holdings

99

Report Date

Q1 2018

Filing Type

13F-HR

All Holdings (99 positions)

#StockSharesValue% PortfolioType
1
GILGildan Activewear
5,667,789$163.7B3.06%
2
Allergan plc
781,910$131.6B2.46%
3
AERAerCap Holdings N.V.
2,435,140$123.5B2.31%
4
OMCOmnicom Group
1,609,625$117.0B2.19%
5
ARWArrow Electronics
1,504,201$115.9B2.17%
6
BACVerizon Communications
2,400,857$114.8B2.15%
7
CCKCrown Holdings
2,241,374$113.7B2.13%
8
STTState Street
1,124,672$112.2B2.10%
9
WHRWhirlpool Corp.
720,194$110.3B2.06%
10
ICEIntercontinental Exchange, Inc
1,512,020$109.7B2.05%
11
SNASnap-on Incorporated
714,920$105.5B1.97%
12
HN9Hanesbrands Inc
5,662,158$104.3B1.95%
13
RNRRenaissanceRe
751,983$104.2B1.95%
14
WFCWells Fargo
1,903,133$99.7B1.87%
15
JCIJohnson Controls
2,815,823$99.2B1.86%
16
JPMJP Morgan Chase
895,038$98.4B1.84%
17
Laboratory Corp. of America
595,359$96.3B1.80%
18
Twenty-First Century Fox (non
2,601,911$95.5B1.79%
19
XOMExxon Mobil
1,261,039$94.1B1.76%
20
FNFFNF Group
2,330,065$93.3B1.74%
21
BAMBrookfield Asset Management In
2,346,652$91.5B1.71%
22
UPSUnited Parcel Service
865,745$90.6B1.70%
23
BALLBall Corporation
2,245,387$89.2B1.67%
24
BRK/BBerkshire Hathaway Cl B
446,381$89.0B1.67%
25
CBChubb Limited
622,816$85.2B1.59%
26
ETNEaton PLC
1,043,392$83.4B1.56%
27
SYFSynchrony Financial
2,413,347$80.9B1.51%
28
CCLCarnival
1,191,838$78.2B1.46%
29
CAHCardinal Health
1,245,210$78.0B1.46%
30
FirstCash Inc
921,108$74.8B1.40%
31
PGRProgressive
1,226,316$74.7B1.40%
32
AMEAmetek Inc
982,249$74.6B1.40%
33
ABTAbbott Laboratories
1,175,165$70.4B1.32%
34
MATVSchweitzer Mauduit
1,774,966$69.5B1.30%
35
BFHAlliance Data Systems Corp.
317,214$67.5B1.26%
36
CBRECBRE Group, Inc. Cl A
1,365,614$64.5B1.21%
37
WKCWorld Fuel Svcs
2,613,086$64.2B1.20%
38
BDXBecton, Dickinson and Company
293,721$63.6B1.19%
39
HELEHelen of Troy
713,297$62.1B1.16%
40
DOXAmdocs Limited
914,733$61.0B1.14%
41
GJBSteelcase Cl A
4,387,074$59.7B1.12%
42
TCF Financial
2,582,433$58.9B1.10%
43
SLBSchlumberger
908,004$58.8B1.10%
44
JNJJohnson & Johnson
452,835$58.0B1.09%
45
EATBrinker International
1,551,302$56.0B1.05%
46
MKLMarkel Corporation
47,012$55.0B1.03%
47
UNHUnitedHealth Group
252,981$54.1B1.01%
48
DEODiageo plc ADR
392,368$53.1B0.99%
49
PNCPNC Financial Services
337,621$51.1B0.96%
50
8INSyneos Health Inc
1,345,440$47.8B0.89%
51
PRAAPRA Group
1,226,088$46.6B0.87%
52
NXQuanex Building Products
2,553,515$44.4B0.83%
53
4I1Philip Morris Int'l
442,600$44.0B0.82%
54
AXTAAxalta Coating Systems Ltd.
1,454,652$43.9B0.82%
55
TEN1Tenneco Inc
739,711$40.6B0.76%
56
ADIAnalog Devices Inc
442,865$40.4B0.76%
57
TELTE Connectivity
392,328$39.2B0.73%
58
ACNAccenture Ltd Cl A
250,837$38.5B0.72%
59
UNUSDUnilever NV
677,092$38.2B0.71%
60
ENOVColfax Corporation
1,170,720$37.3B0.70%
61
WWDWoodward
513,349$36.8B0.69%
62
CBSHCommerce Bancshares
553,053$33.1B0.62%
63
WGOWinnebago
806,083$30.3B0.57%
64
UMPQUSDUmpqua Holdings
1,373,180$29.4B0.55%
65
DCIDonaldson
648,535$29.2B0.55%
66
RSReliance Steel & Aluminum
338,540$29.0B0.54%
67
PGTIUSDPGT Innovations, Inc.
1,412,190$26.3B0.49%
68
ALAir Lease Corp
588,900$25.1B0.47%
69
NLSUSDNautilus, Inc.
1,863,370$25.1B0.47%
70
COHUCOHU
1,077,278$24.6B0.46%
71
JNJJohnson & Johnson
184,300$23.6B0.44%
72
HRCHill Rom Holdings
268,636$23.4B0.44%
73
DNOWNOW Inc.
2,253,630$23.0B0.43%
74
4I1Philip Morris Int'l
222,900$22.2B0.41%
75
UNFIUnited Natural Foods
503,697$21.6B0.40%
76
FULH.B. Fuller Company
413,580$20.6B0.38%
77
TTEKTetra Tech
413,790$20.3B0.38%
78
NWLINational Western Life Grp Cl A
60,567$18.5B0.35%
79
Actuant Corporation
709,630$16.5B0.31%
80
PLXSPlexus Corp
267,430$16.0B0.30%
81
VREXVarex Imaging Corporation
438,531$15.7B0.29%
82
MDMednax
267,495$14.9B0.28%
83
FOXFFox Factory Holding Corp
412,700$14.4B0.27%
84
WSMWilliams-Sonoma Inc
268,630$14.2B0.27%
85
MBUUMalibu Boats Inc
420,990$14.0B0.26%
86
MTS Systems Corporation
256,355$13.2B0.25%
87
GGenpact Ltd
377,294$12.1B0.23%
88
RUSHARush Enterprises
280,187$11.9B0.22%
89
PAGPenske Auto Group
224,207$9.9B0.19%
90
GRCGorman Rupp Co
324,569$9.5B0.18%
91
ITWIllinois Tool Works
51,414$8.1B0.15%
92
CTSHCognizant Technology Solutions
98,051$7.9B0.15%
93
PRGOPerrigo Co PLC
85,123$7.1B0.13%
94
HFF Inc CL A
118,810$5.9B0.11%
95
KMBKimberly Clark
36,500$4.0B0.08%
96
ULUnilever PLC ADR
48,100$2.7B0.05%
97
TMKTorchmark
29,950$2.5B0.05%
98
EMREmerson Electric
10,200$697.0M0.01%
99
CVXChevron
2,650$302.0M0.01%
100
GISGeneral Mills
5,000$225.0M0.00%
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