LSV ASSET MANAGEMENT

13F Portfolio Filings

  • Most recent 13F
    Q1 2025
  • Location
    chicago, IL
  • CIK
    0001050470
  • All SEC filings
Q1 2025
Quater
Holdings
VALUE
Top Holdings
Form Type
Date Filed
Filing Id

838

$41.66 M
T, CSCO, BANK NEW YORK MELLON CORP, GILD
13F-HR
May 8, 2025
000105047025000008

832

$43.32 M
T, MRK, CSCO, BANK NEW YORK MELLON CORP
13F-HR
Feb 13, 2025
000105047025000004

824

$46.66 M
MRK, T, CMCSA, BAC
13F-HR
Nov 12, 2024
000105047024000016

863

$45.64 M
MRK, XOM, CMCSA, T
13F-HR
Aug 6, 2024
000105047024000013

866

$48.33 M
MRK, CMCSA, XOM, DELL
13F-HR
May 6, 2024
000105047024000012

874

$45.83 M
MRK, CMCSA, XOM, CSCO
13F-HR
Feb 6, 2024
000105047024000001

866

$42.99 M
MRK, XOM, CMCSA, CSCO
13F-HR
Nov 3, 2023
000105047023000015

898

$45.35 M
MRK, XOM, CSCO, BMY
13F-HR
Aug 2, 2023
000105047023000014

886

$44.59 M
MRK, PFE, XOM, BMY
13F-HR
May 2, 2023
000105047023000013

872

$45.35 M
MRK, PFE, XOM, BMY
13F-HR
Feb 8, 2023
000105047023000004

872

$42.56 B
MRK, PFE, BMY, BAC
RESTATEMENT
Nov 7, 2022
000105047022000022

892

$46.25 B
MRK, PFE, BAC, BMY
13F-HR
Aug 10, 2022
000105047022000018

895

$54.48 B
MRK, PFE, 1848782D, BAC
13F-HR
May 12, 2022
000105047022000016

906

$56.46 B
PFE, MRK, 1848782D, ORCL
13F-HR
Jan 28, 2022
000105047022000002

904

$55.32 B
1848782D, MRK, PFE, BAC
13F-HR
Nov 4, 2021
000105047021000036

914

$58.81 B
MRK, 1848782D, BAC, PFE
13F-HR
Aug 4, 2021
000105047021000034

926

$58.54 B
1848782D, BAC, PFE, ORCL
13F-HR
Apr 30, 2021
000105047021000032

942

$55.02 B
BAC, 1848782D, PFE, MRK
13F-HR
Feb 8, 2021
000105047021000004

954

$48.88 B
BAC, 1848782D, PFE, DYH
13F-HR
Oct 23, 2020
000105047020000054

985

$48.23 B
1848782D, BAC, T, PFE
13F-HR
Aug 5, 2020
000105047020000052

963

$41.39 B
1848782D, BAC, PFE, JPM
13F-HR
May 7, 2020
000105047020000050

944

$64.16 B
1848782D, JPM, BAC, PFE
13F-HR
Feb 10, 2020
000105047020000002

940

$60.48 B
BAC, 1848782D, PFE, JPM
13F-HR
Nov 7, 2019
000105047019000058

941

$62.07 B
PFE, BAC, 1848782D, JPM
RESTATEMENT
Aug 8, 2019
000105047019000056

941

$62.43 B
PFE, 1848782D, CSCO, BAC
13F-HR
May 7, 2019
000105047019000052

975

$56.29 B
PFE, 1848782D, CSCO, JPM
13F-HR
Feb 5, 2019
000105047019000002

983

$66.85 B
PFE, CSCO, JPM, 1848782D
13F-HR
Nov 6, 2018
000105047018000055

955

$63.93 B
PFE, 1848782D, JPM, CSCO
13F-HR
Aug 8, 2018
000105047018000053

969

$62.96 B
1848782D, JPM, PFE, CSCO
13F-HR
May 4, 2018
000105047018000052

983

$63.35 B
JNJ, JPM, PFE, 1848782D
13F-HR
Feb 1, 2018
000105047018000002

999

$60.63 B
JNJ, PFE, JPM, C
13F-HR
Nov 13, 2017
000105047017000048

1,012

$56.15 B
JNJ, JPM, PFE, C
13F-HR
Aug 9, 2017
000105047017000046

1,034

$54.87 B
JNJ, PFE, JPM, CSCO
13F-HR
May 2, 2017
000105047017000044

1,020

$54.34 B
JNJ, JPM, PFE, T
13F-HR
Feb 7, 2017
000105047017000041

1,031

$50.91 B
JNJ, PFE, T, CSCO
13F-HR
Nov 7, 2016
000105047016000072

1,107

$48.88 B
JNJ, PFE, T, XOM
13F-HR
Aug 5, 2016
000105047016000070

1,036

$47.72 B
JNJ, PFE, T, JPM
13F-HR
May 10, 2016
000105047016000068

1,018

$46.07 B
JNJ, PFE, JPM, T
13F-HR
Feb 3, 2016
000105047016000037

977

$44.58 B
PFE, JNJ, T, JPM
13F-HR
Nov 5, 2015
000105047015000035

960

$48.23 B
PFE, JPM, CSCO, XOM
13F-HR
Aug 7, 2015
000105047015000033

921

$48.17 B
PFE, JPM, WFC, XOM
13F-HR
May 6, 2015
000105047015000031

942

$48.22 B
PFE, JPM, CHV, XOM
13F-HR
Feb 4, 2015
000105047015000002

917

$45.65 B
PFE, CHV, XOM, JPM
13F-HR
Nov 12, 2014
000105047014000025

884

$45.10 B
CHV, PFE, XOM, WFC
13F-HR
Aug 6, 2014
000105047014000023

866

$42.91 B
PFE, CHV, XOM, JPM
13F-HR
Apr 29, 2014
000105047014000021

891

$42.56 B
CHV, XOM, JPM, PFE
13F-HR
Feb 5, 2014
000105047014000002
Lsv Asset Management 13F Filings