DIAMOND HILL CAPITAL MANAGEMENT INC Q1 2018 Filing

Filed May 2, 2018

Portfolio Value

$19.5B

Holdings

170

Report Date

Q1 2018

Filing Type

13F-HR

All Holdings (170 positions)

#StockSharesValue% PortfolioType
1
ABTAbbott Laboratories
10,466,682$627.2B3210.08%
2
TRVCCitigroup, Inc.
8,844,327$597.0B3055.64%
3
DFSEURDiscover Financial Services
7,712,071$554.7B2839.33%
4
MSFTMicrosoft Corp.
5,662,974$516.9B2645.50%
5
GOOGLAlphabet, Inc. (Cl. A)
493,349$511.7B2618.94%
6
METMetLife, Inc.
10,883,295$499.4B2556.30%
7
XECEURCimarex Energy Co.
5,083,427$475.3B2432.78%
8
UTXZUnited Technologies Corp.
3,498,000$440.1B2252.70%
9
4I1Philip Morris International, I
4,310,333$428.4B2192.96%
10
BRK/BBerkshire Hathaway, Inc. (Cl B
2,125,213$423.9B2169.88%
11
BWABorgwarner, Inc.
8,138,617$408.8B2092.42%
12
UALUnited Continental Holdings, I
5,600,156$389.0B1991.28%
13
AAPLApple, Inc.
2,285,321$383.4B1962.55%
14
JPMJPMorgan Chase & Co.
3,468,572$381.4B1952.36%
15
TJXTJX Cos., Inc.
4,597,962$375.0B1919.45%
16
WPWorldpay, Inc. (Cl A)
4,469,658$367.6B1881.45%
17
MDTMedtronic PLC
4,227,340$339.1B1735.74%
18
PFEPfizer, Inc.
9,507,569$337.4B1727.07%
19
AXTAAxalta Coating Systems Ltd.
10,889,676$328.8B1682.72%
20
TAPMolson Coors Brewing Co. (Cl B
4,362,297$328.6B1681.97%
21
Aetna, Inc.
1,715,322$289.9B1483.77%
22
FRCBFirst Republic Bank
3,093,649$286.5B1466.44%
23
LLoews Corp.
5,704,167$283.7B1451.93%
24
VFCV.F. Corp.
3,821,589$283.3B1449.82%
25
BKUBankUnited, Inc.
7,073,030$282.8B1447.38%
26
CMCSAComcast Corp. (Cl A)
8,187,478$279.8B1431.95%
27
PHParker Hannifin Corp.
1,535,046$262.5B1343.78%
28
DVNDevon Energy Corp.
7,885,465$250.7B1283.08%
29
PEPPepsiCo, Inc.
2,116,499$231.0B1182.43%
30
PGProcter & Gamble Co.
2,848,046$225.8B1155.70%
31
KMBKimberly-Clark Corp.
2,040,286$224.7B1150.09%
32
TMOThermo Fisher Scientific, Inc.
1,087,616$224.5B1149.33%
33
DISWalt Disney Co.
2,155,976$216.5B1108.37%
34
GTGoodyear Tire & Rubber Co.
7,820,968$207.9B1064.02%
35
DWDMorgan Stanley
3,835,492$207.0B1059.32%
36
PNCPNC Financial Services Group,
1,260,696$190.7B975.92%
37
CHTRCharter Communications, Inc. (
611,549$190.3B974.16%
38
BHFBrighthouse Financial, Inc.
3,683,564$189.3B969.09%
39
HN9Hanesbrands, Inc.
10,216,744$188.2B963.24%
40
KEXKirby Corp.
2,428,296$186.9B956.41%
41
MRSHMarsh & McLennan Cos., Inc.
2,254,203$186.2B952.92%
42
COTYCoty, Inc. (Cl A)
9,713,070$177.7B909.79%
43
JNPJuniper Networks, Inc.
7,100,208$172.7B884.19%
44
VRSKVerisk Analytics, Inc.
1,616,968$168.2B860.74%
45
BPOPPopular, Inc.
3,855,960$160.5B821.43%
46
HIGHartford Financial Services Gr
3,018,836$155.5B796.06%
47
PXGBXPraxair, Inc.
1,064,711$153.6B786.38%
48
METAFacebook, Inc.
938,015$149.9B767.17%
49
FOXATwenty-First Century Fox, Inc.
3,989,652$145.1B742.70%
50
BENFranklin Resources, Inc.
4,016,124$139.3B712.89%
51
RRRRed Rock Resorts, Inc.
4,729,101$138.5B708.73%
52
WTWWillis Towers Watson PLC
887,779$135.1B691.55%
53
Validus Holdings Ltd
2,000,486$134.9B690.64%
54
HONHoneywell International, Inc.
892,087$128.9B659.84%
55
POSTPost Holdings, Inc.
1,667,777$126.4B646.72%
56
HUBGHub Group, Inc.
2,968,688$124.2B635.91%
57
EMNEastman Chemical Co.
1,164,308$122.9B629.19%
58
Nationstar Mortgage Holdings,
6,330,707$113.7B581.96%
59
JCIJohnson Controls International
3,198,754$112.7B576.97%
60
TXNTexas Instruments, Inc.
1,069,685$111.1B568.81%
61
TGNATegna, Inc.
9,747,887$111.0B568.29%
62
UGIUGI Corp.
2,389,565$106.1B543.29%
63
CUBECubeSmart
3,713,146$104.7B535.95%
64
CTSHCognizant Tech Solutions Corp.
1,193,964$96.1B491.95%
65
AANUSDAaron's, Inc.
1,900,962$88.6B453.41%
66
ENOVColfax Corp.
2,724,863$86.9B444.91%
67
ACCUSDAmerican Campus Communities, I
2,134,540$82.4B421.94%
68
BSXBoston Scientific Corp.
2,999,394$81.9B419.42%
69
Bank of the Ozarks, Inc.
1,683,696$81.3B415.98%
70
BOKFBOK Financial Corp.
812,608$80.4B411.72%
71
MTNVail Resorts, Inc.
362,788$80.4B411.67%
72
FLOFlowers Foods, Inc.
3,638,394$79.5B407.09%
73
GILDGilead Sciences, Inc.
1,054,552$79.5B406.93%
74
BROBrown & Brown, Inc.
3,113,860$79.2B405.46%
75
NVRNVR, Inc.
28,141$78.8B403.30%
76
LTHLifepoint Health, Inc.
1,613,040$75.8B388.04%
77
Navigators Group, Inc.
1,293,051$74.5B381.55%
78
CUCAAvis Budget Group, Inc.
1,589,731$74.5B381.13%
79
iStar, Inc.
7,093,262$72.1B369.23%
80
DGDollar General Corp.
744,505$69.6B356.49%
81
ALGTAllegiant Travel Co.
400,575$69.1B353.78%
82
MAAMid-America Apartment Communit
744,890$68.0B347.87%
83
RGAReinsurance Group of America
440,216$67.8B346.99%
84
DST Systems, Inc.
803,094$67.2B343.85%
85
DHRB&G Foods, Inc.
2,635,320$62.5B319.68%
86
SANMSanmina-SCI Corp.
2,240,210$58.6B299.84%
87
VISNCommScope Holding Co., Inc.
1,457,200$58.2B298.12%
88
SIVBEURSVB Financial Group
235,787$56.6B289.66%
89
ESGREnstar Group Ltd.
268,654$56.5B289.11%
90
SPX Flow, Inc.
1,071,736$52.7B269.84%
91
JLLJones Lang Lasalle, Inc.
300,861$52.5B268.93%
92
AYRAircastle Ltd.
2,407,993$47.8B244.78%
93
BRBroadridge Financial Solutions
433,648$47.6B243.47%
94
XL Group Ltd.
850,691$47.0B240.61%
95
AVTAvnet, Inc.
1,106,121$46.2B236.43%
96
STZConstellation Brands, Inc. (Cl
195,952$44.7B228.59%
97
LYVLive Nation Entertainment, Inc
953,739$40.2B205.71%
98
SBUXStarbucks Corp.
647,787$37.5B191.94%
99
TRNTrinity Industries, Inc.
1,069,332$34.9B178.59%
100
FT2First Horizon National Corp.
1,801,781$33.9B173.66%
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