River Road Asset Management, LLC Q4 2016 Filing

Filed January 12, 2017

Portfolio Value

$5.2T

Holdings

144

Report Date

Q4 2016

Filing Type

13F-HR

All Holdings (144 positions)

#StockSharesValue% PortfolioType
1
MSFTMicrosoft Corporation
2,168,733$134.8B2.58%
2
USBU.S. Bancorp
2,271,552$116.7B2.24%
3
PNCPNC Financial Services Group,
965,443$112.9B2.17%
4
BBTUSDBB&T Corporation
2,360,554$111.0B2.13%
5
IRMIron Mountain, Inc.
3,356,945$109.0B2.09%
6
BACVerizon Communications Inc.
1,922,193$102.6B1.97%
7
OMCOmnicom Group Inc
1,102,133$93.8B1.80%
8
MSIMotorola Solutions, Inc.
1,124,018$93.2B1.79%
9
PXGBXPraxair, Inc.
787,770$92.3B1.77%
10
GEGGEO Group Inc
2,562,379$92.1B1.77%
11
FASTFastenal Company
1,895,720$89.1B1.71%
12
NFGNational Fuel Gas Company
1,562,102$88.5B1.70%
13
GLWCorning Inc
3,462,238$84.0B1.61%
14
WTMWhite Mountains Insurance Grou
93,958$78.6B1.51%
15
CNKCinemark Holdings, Inc.
2,036,379$78.1B1.50%
16
QCOMQUALCOMM Incorporated
1,175,809$76.7B1.47%
17
W3UWestern Union Company
3,342,216$72.6B1.39%
18
DYHTarget Corporation
982,736$71.0B1.36%
19
OXYOccidental Petroleum Corporati
994,380$70.8B1.36%
20
UNPUnion Pacific Corporation
681,433$70.7B1.35%
21
Fidelity National Financial, I
5,089,996$69.7B1.34%
22
WFCWells Fargo & Company
1,258,452$69.4B1.33%
23
VENVentas, Inc.
1,105,613$69.1B1.33%
24
RHPRyman Hospitality Properties,
1,052,197$66.3B1.27%
25
TRIThomson Reuters Corporation
1,510,390$66.1B1.27%
26
UNFUniFirst Corporation
454,474$65.3B1.25%
27
UPSUnited Parcel Service, Inc. Cl
553,925$63.5B1.22%
28
WMTWal-Mart Stores, Inc.
911,813$63.0B1.21%
29
XOMExxon Mobil Corporation
685,920$61.9B1.19%
30
TELTE Connectivity Ltd.
884,251$61.3B1.17%
31
ULUnilever PLC Sponsored ADR
1,477,016$60.1B1.15%
32
CMPCompass Minerals International
765,089$59.9B1.15%
33
METMetLife, Inc.
1,110,989$59.9B1.15%
34
EMREmerson Electric Co.
1,067,582$59.5B1.14%
35
INTCIntel Corporation
1,632,681$59.2B1.14%
36
AMGNAmgen Inc.
396,721$58.0B1.11%
37
VLOValero Energy Corporation
847,274$57.9B1.11%
38
Blackhawk Network Holdings, In
1,489,556$56.1B1.08%
39
GWWW.W. Grainger, Inc.
228,471$53.1B1.02%
40
Spectra Energy Partners, LP
1,125,056$51.6B0.99%
41
AXSAxis Capital Holdings Limited
784,652$51.2B0.98%
42
JCIJohnson Controls International
1,217,989$50.2B0.96%
43
CAHCardinal Health, Inc.
687,307$49.5B0.95%
44
IMKTAIngles Markets, Incorporated C
1,022,237$49.2B0.94%
45
CSGSCSG Systems International, Inc
1,002,716$48.5B0.93%
46
CVXChevron Corporation
411,204$48.4B0.93%
47
WYWeyerhaeuser Company
1,605,389$48.3B0.93%
48
ACHOwens & Minor, Inc.
1,365,515$48.2B0.92%
49
KMBKimberly-Clark Corporation
421,059$48.1B0.92%
50
TWXCHFTime Warner Inc.
489,791$47.3B0.91%
51
PIIPolaris Industries Inc.
545,592$45.0B0.86%
52
APUAmeriGas Partners, L.P.
934,380$44.8B0.86%
53
SBCSabra Health Care REIT, Inc.
1,831,235$44.7B0.86%
54
AYRAircastle Limited
2,136,028$44.5B0.85%
55
Communications Sales & Leasing
1,694,221$43.0B0.83%
56
PEPPepsiCo, Inc.
399,897$41.8B0.80%
57
WEPMagellan Midstream Partners, L
531,509$40.2B0.77%
58
CNACNA Financial Corporation
938,977$39.0B0.75%
59
LYBLyondellBasell Industries NV
446,472$38.3B0.73%
60
ATSG*Air Transport Services Group,
2,300,685$36.7B0.70%
61
DINDineEquity, Inc.
475,604$36.6B0.70%
62
FUNCedar Fair, L.P.
556,230$35.7B0.68%
63
VeriFone Systems, Inc.
1,977,893$35.1B0.67%
64
MUSAMurphy USA, Inc.
564,319$34.7B0.67%
65
PINCPremier Inc. Class A
1,090,244$33.1B0.63%
66
Biglari Holdings Inc.
67,088$31.7B0.61%
67
Cubic Corporation
653,495$31.3B0.60%
68
Vectren Corporation
598,388$31.2B0.60%
69
ISCAUSDInternational Speedway Corpora
842,455$31.0B0.59%
70
La Quinta Holdings, Inc.
2,116,060$30.1B0.58%
71
PLUSePlus inc.
247,180$28.5B0.55%
72
SPUSDSP Plus Corporation
1,001,654$28.2B0.54%
73
Liberty Interactive Corporatio
753,138$27.8B0.53%
74
SodaStream International Ltd.
678,068$26.8B0.51%
75
TRCOTribune Media Co. Class A
759,927$26.6B0.51%
76
PRSUViad Corp
580,187$25.6B0.49%
77
FWRDUSDForward Air Corporation
533,628$25.3B0.48%
78
PICO Holdings, Inc.
1,659,921$25.1B0.48%
79
MPAAMotorcar Parts of America, Inc
865,043$23.3B0.45%
80
KLX, Inc.
497,713$22.5B0.43%
81
RCOResources Connection, Inc.
1,157,137$22.3B0.43%
82
MIGAMicroStrategy Incorporated Cla
106,710$21.1B0.40%
83
ATNIATN International, Inc.
255,160$20.4B0.39%
84
PBFPBF Energy, Inc. Class A
701,535$19.6B0.38%
85
Air Methods Corporation
605,331$19.3B0.37%
86
NeuStar, Inc. Class A
559,799$18.7B0.36%
87
US Ecology, Inc.
368,921$18.1B0.35%
88
Sykes Enterprises, Incorporate
624,202$18.0B0.35%
89
TransMontaigne Partners L.P.
405,850$18.0B0.34%
90
TDSTelephone and Data Systems, In
610,202$17.6B0.34%
91
WSBCWesBanco, Inc.
403,212$17.4B0.33%
92
Akorn, Inc.
789,521$17.2B0.33%
93
S9QSpirit AeroSystems Holdings, I
294,043$17.2B0.33%
94
LBRDKLiberty Broadband Corp. Class
220,496$16.3B0.31%
95
PS1Computer Programs and Systems,
678,651$16.0B0.31%
96
HOUSRealogy Holdings Corp.
613,890$15.8B0.30%
97
KELYAKelly Services, Inc. Class A
676,179$15.5B0.30%
98
BLMNBloomin' Brands, Inc.
857,585$15.5B0.30%
99
CSWCCapital Southwest Corporation
943,034$15.2B0.29%
100
NCMIEURNational CineMedia, Inc.
976,662$14.4B0.28%
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