DIAMOND HILL CAPITAL MANAGEMENT INC Q2 2017 Filing

Filed July 26, 2017

Portfolio Value

$18.5T

Holdings

165

Report Date

Q2 2017

Filing Type

13F-HR

All Holdings (165 positions)

#StockSharesValue% PortfolioType
1
TRVCCitigroup, Inc.
9,184,967$614.3B3.31%
2
ABTAbbott Laboratories
11,964,081$581.6B3.14%
3
GOOGLAlphabet, Inc. (Cl. A)
466,073$433.3B2.34%
4
UTXZUnited Technologies Corp.
3,517,626$429.5B2.32%
5
JPMJPMorgan Chase & Co.
4,668,366$426.7B2.30%
6
METMetLife, Inc.
7,033,812$386.4B2.08%
7
XECEURCimarex Energy Co.
4,063,310$382.0B2.06%
8
PFEPfizer, Inc.
11,331,723$380.6B2.05%
9
MSFTMicrosoft Corp.
5,422,264$373.8B2.02%
10
DWDMorgan Stanley
8,161,624$363.7B1.96%
11
BWABorgwarner, Inc.
8,486,663$359.5B1.94%
12
AAPLApple, Inc.
2,392,603$344.6B1.86%
13
WHRWhirlpool Corp.
1,715,328$328.7B1.77%
14
HIGHartford Financial Services Gr
6,161,222$323.9B1.75%
15
AXTAAxalta Coating Systems Ltd.
9,984,150$319.9B1.73%
16
COFCapital One Financial Corp.
3,871,056$319.8B1.73%
17
JNPJuniper Networks, Inc.
11,378,124$317.2B1.71%
18
TJXTJX Cos., Inc.
4,313,558$311.3B1.68%
19
PGProcter & Gamble Co.
3,226,403$281.2B1.52%
20
CMCSAComcast Corp. (Cl A)
7,222,447$281.1B1.52%
21
Vantiv, Inc.
4,404,876$279.0B1.51%
22
KMBKimberly-Clark Corp.
2,054,367$265.2B1.43%
23
PHParker Hannifin Corp.
1,648,387$263.4B1.42%
24
BKUBankUnited, Inc.
7,666,132$258.4B1.39%
25
DISWalt Disney Co.
2,367,039$251.5B1.36%
26
Aetna, Inc.
1,630,235$247.5B1.34%
27
MDTMedtronic PLC
2,679,692$237.8B1.28%
28
HN9Hanesbrands, Inc.
10,113,900$234.2B1.26%
29
MRSHMarsh & McLennan Cos., Inc.
2,934,162$228.7B1.23%
30
GTGoodyear Tire & Rubber Co.
6,528,543$228.2B1.23%
31
TAPMolson Coors Brewing Co. (Cl B
2,627,608$226.9B1.22%
32
DFSEURDiscover Financial Services
3,559,909$221.4B1.19%
33
LLoews Corp.
4,627,523$216.6B1.17%
34
BRK/BBerkshire Hathaway, Inc. (Cl B
1,274,666$215.9B1.16%
35
VFCV.F. Corp.
3,584,032$206.4B1.11%
36
PEPPepsiCo, Inc.
1,735,826$200.5B1.08%
37
PNCPNC Financial Services Group,
1,566,171$195.6B1.06%
38
FOXATwenty-First Century Fox, Inc.
6,969,671$194.2B1.05%
39
COTYCoty, Inc. (Cl A)
10,165,812$190.7B1.03%
40
BPOPPopular, Inc.
4,197,066$175.1B0.94%
41
CHTRCharter Communications, Inc. (
518,034$174.5B0.94%
42
FFord Motor Co.
15,569,701$174.2B0.94%
43
BENFranklin Resources, Inc.
3,781,083$169.4B0.91%
44
CUCAAvis Budget Group, Inc.
6,131,332$167.2B0.90%
45
4I1Philip Morris International, I
1,415,560$166.3B0.90%
46
FRCBFirst Republic Bank
1,600,977$160.3B0.86%
47
TGNATegna, Inc.
11,120,237$160.2B0.86%
48
WTWWillis Towers Watson PLC
1,085,280$157.9B0.85%
49
CSCOCisco Systems, Inc.
4,989,744$156.2B0.84%
50
UALUnited Continental Holdings, I
1,980,743$149.1B0.80%
51
PXGBXPraxair, Inc.
1,056,504$140.0B0.76%
52
ITWIllinois Tool Works, Inc.
964,119$138.1B0.75%
53
HUBGHub Group, Inc.
3,346,867$128.4B0.69%
54
TMOThermo Fisher Scientific, Inc.
714,693$124.7B0.67%
55
Nationstar Mortgage Holdings,
6,758,729$120.9B0.65%
56
HONHoneywell International, Inc.
901,945$120.2B0.65%
57
KEXKirby Corp.
1,777,366$118.8B0.64%
58
SYKStryker Corp.
802,494$111.4B0.60%
59
AANUSDAaron's, Inc.
2,838,617$110.4B0.60%
60
LTHLifepoint Health, Inc.
1,619,226$108.7B0.59%
61
RRRRed Rock Resorts, Inc.
4,593,762$108.2B0.58%
62
VISNCommScope Holding Co., Inc.
2,805,589$106.7B0.58%
63
Alere, Inc.
2,115,775$106.2B0.57%
64
POSTPost Holdings, Inc.
1,339,839$104.0B0.56%
65
UGIUGI Corp.
2,123,315$102.8B0.55%
66
DGDollar General Corp.
1,394,028$100.5B0.54%
67
ENOVColfax Corp.
2,509,280$98.8B0.53%
68
NVRNVR, Inc.
39,885$96.1B0.52%
69
EMNEastman Chemical Co.
1,135,497$95.4B0.51%
70
NWLNewell Brands, Inc.
1,767,764$94.8B0.51%
71
Validus Holdings Ltd
1,783,406$92.7B0.50%
72
CUBECubeSmart
3,702,262$89.0B0.48%
73
iStar, Inc.
7,330,380$88.3B0.48%
74
Navigators Group, Inc.
1,526,917$83.8B0.45%
75
DHRB&G Foods, Inc.
2,347,475$83.6B0.45%
76
BSXBoston Scientific Corp.
3,013,614$83.5B0.45%
77
BROBrown & Brown, Inc.
1,924,515$82.9B0.45%
78
BOKFBOK Financial Corp.
984,980$82.9B0.45%
79
CTSHCognizant Tech Solutions Corp.
1,219,853$81.0B0.44%
80
MTNVail Resorts, Inc.
360,980$73.2B0.39%
81
JLLJones Lang Lasalle, Inc.
536,415$67.1B0.36%
82
FLOFlowers Foods, Inc.
3,830,364$66.3B0.36%
83
ESGREnstar Group Ltd.
329,159$65.4B0.35%
84
XL Group Ltd.
1,426,812$62.5B0.34%
85
RGAReinsurance Group of America
473,157$60.7B0.33%
86
FT2First Horizon National Corp.
3,401,576$59.3B0.32%
87
MAAMid-America Apartment Communit
541,626$57.1B0.31%
88
AYRAircastle Ltd.
2,613,872$56.9B0.31%
89
EPCEdgewell Personal Care Co.
734,273$55.8B0.30%
90
VRSKVerisk Analytics, Inc.
634,263$53.5B0.29%
91
DST Systems, Inc.
856,976$52.9B0.29%
92
Staples, Inc.
5,230,965$52.7B0.28%
93
SPX Flow, Inc.
1,403,753$51.8B0.28%
94
LYVLive Nation Entertainment, Inc
1,402,432$48.9B0.26%
95
JCIJohnson Controls International
1,120,419$48.6B0.26%
96
Colony NorthStar, Inc. (Cl. A)
3,389,485$47.8B0.26%
97
Orthofix International N.V.
979,541$45.5B0.25%
98
SIVBEURSVB Financial Group
241,768$42.5B0.23%
99
DEDeere & Co.
340,833$42.1B0.23%
100
BRBroadridge Financial Solutions
551,052$41.6B0.22%
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