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Why it matters

This signal is selected by portfolio impact within the manager filing, while the full filing change list remains available in the briefing.

Full Filing Changes

163 changes from Richard Pzena (Pzena Investment Management), filed 2025-05-02 for period end 2025-03-31.

$28.6B portfolio value
StockActionChangeCurrentPortfolio Impact
60505104
BANK AMERICA CORP
Reduced-$465.0M$265.1M1.62%
281020107
EDISON INTL
Sold out-$429.1M$01.50%
126650100
CVS HEALTH CORP
Increased$317.7M$1.2B1.11%
71813109
BAXTER INTL INC
Increased$277.8M$1.3B0.97%
949746101
WELLS FARGO CO NEW
Reduced-$265.4M$705.6M0.93%
559222401
MAGNA INTL INC
Reduced-$231.0M$1.4B0.81%
256677105
DOLLAR GEN CORP NEW
Increased$230.7M$1.1B0.81%
651229106
NEWELL BRANDS INC
Reduced-$186.0M$302.2M0.65%
693656100
PVH CORPORATION
Reduced-$167.9M$398.3M0.59%
902494103
TYSON FOODS INC
Increased$157.5M$846.4M0.55%
260557103
DOW INC
Increased$117.3M$871.5M0.41%
21871X109
COREBRIDGE FINL INC
Increased$115.3M$254.2M0.40%
247361702
DELTA AIR LINES INC DEL
Reduced-$113.9M$184.5M0.40%
37940X102
GLOBAL PMTS INC
Reduced-$113.9M$816.1M0.40%
693506107
PPG INDS INC
New$105.3M$105.3M0.37%
14040H105
CAPITAL ONE FINL CORP
Reduced-$101.8M$998.0M0.36%
444859102
HUMANA INC
Increased$97.4M$1.0B0.34%
G5960L103
MEDTRONIC PLC
Increased$97.4M$753.6M0.34%
2.9452E+105
EQUITABLE HLDGS INC
Reduced-$78.9M$307.5M0.28%
46625H100
JPMORGAN CHASE & CO.
Reduced-$71.3M$76.6M0.25%
110122108
BRISTOL-MYERS SQUIBB CO
Increased$68.5M$820.9M0.24%
16119P108
CHARTER COMMUNICATIONS INC N
Increased$63.6M$1.0B0.22%
654902204
NOKIA CORP
Increased$52.6M$424.0M0.18%
192446102
COGNIZANT TECHNOLOGY SOLUTIO
Reduced-$52.3M$1.3B0.18%
521865204
LEAR CORP
Reduced-$51.0M$676.2M0.18%
501889208
LKQ CORP
New$42.8M$42.8M0.15%
40412C101
HCA HEALTHCARE INC
New$39.4M$39.4M0.14%
780259305
SHELL PLC
Increased$39.1M$263.2M0.14%
58155Q103
MCKESSON CORP
Sold out-$38.2M$00.13%
53807103
AVNET INC
Reduced-$37.3M$343.0M0.13%
358029106
FRESENIUS MEDICAL CARE AG
Increased$36.9M$382.9M0.13%
680665205
OLIN CORP
Reduced-$36.6M$88.8M0.13%
8.7612E+110
TARGET CORP
New$36.0M$36.0M0.13%
372460105
GENUINE PARTS CO
New$35.9M$35.9M0.13%
59156R108
METLIFE INC
Reduced-$33.6M$687.2M0.12%
H42097107
UBS GROUP AG
Reduced-$31.9M$788.7M0.11%
47580P103
JELD-WEN HLDG INC
Reduced-$29.9M$61.6M0.10%
62955J103
NOV INC
Increased$27.3M$632.6M0.10%
48581R205
KASPI KZ JSC
Increased$26.3M$133.1M0.09%
20602D101
CONCENTRIX CORP
Increased$25.6M$127.2M0.09%
371532102
GENESCO INC
Reduced-$23.7M$21.1M0.08%
29415F104
ENVISTA HOLDINGS CORPORATION
Increased$22.6M$39.6M0.08%
G02602103
AMDOCS LTD
Increased$22.4M$587.3M0.08%
125523100
THE CIGNA GROUP
Increased$21.4M$157.1M0.07%
172967424
CITIGROUP INC
Reduced-$20.3M$946.4M0.07%
G0692U109
AXIS CAP HLDGS LTD
Sold out-$20.0M$00.07%
876030107
TAPESTRY INC
Sold out-$18.7M$00.07%
84790A105
SPECTRUM BRANDS HLDGS INC NE
Reduced-$17.2M$95.5M0.06%
3.7959E+106
GLOBE LIFE INC
Increased$16.8M$123.9M0.06%
36752103
ELEVANCE HEALTH INC
Increased$15.9M$87.4M0.06%
235825205
DANA INC
Reduced-$15.8M$20.0M0.06%
G491BT108
INVESCO LTD
Sold out-$15.5M$00.05%
500643200
KORN FERRY
Reduced-$15.5M$52.1M0.05%
76118Y104
RESIDEO TECHNOLOGIES INC
Reduced-$14.8M$46.8M0.05%
00751Y106
ADVANCE AUTO PARTS INC
Increased$14.4M$169.1M0.05%
25960R105
DOUGLAS DYNAMICS INC
Increased$13.1M$52.8M0.05%
G3922B107
GENPACT LIMITED
Reduced-$13.1M$36.9M0.05%
55345K103
MRC GLOBAL INC
Reduced-$13.0M$61.4M0.05%
806037107
SCANSOURCE INC
Increased$12.8M$32.0M0.04%
G0084W101
ADIENT PLC
Reduced-$12.4M$50.2M0.04%
71742Q106
PHIBRO ANIMAL HEALTH CORP
Reduced-$11.9M$15.5M0.04%
92214X106
VAREX IMAGING CORP
Reduced-$11.5M$44.1M0.04%
1.2621E+107
CNO FINL GROUP INC
Reduced-$11.5M$106.8M0.04%
252784301
DIAMONDROCK HOSPITALITY CO
Reduced-$11.2M$66.4M0.04%
825698103
SHYFT GROUP INC
Reduced-$10.9M$25.0M0.04%
30506109
AMERICAN WOODMARK CORPORATIO
Increased$10.5M$49.5M0.04%
56117J100
MALIBU BOATS INC
Reduced-$10.2M$47.1M0.04%
90328M107
USANA HEALTH SCIENCES INC
Reduced-$9.5M$29.5M0.03%
L72967109
ORION S.A.
Reduced-$9.3M$43.0M0.03%
30231G102
EXXON MOBIL CORP
Increased$9.0M$73.2M0.03%
89785X101
TRUEBLUE INC
Reduced-$8.4M$15.1M0.03%
447011107
HUNTSMAN CORP
Reduced-$7.9M$76.7M0.03%
26874784
AMERICAN INTL GROUP INC
Increased$7.8M$42.4M0.03%
18581108
BREAD FINANCIAL HOLDINGS INC
Reduced-$7.6M$36.5M0.03%
02319V103
AMBEV SA
Increased$6.7M$32.2M0.02%
947890109
WEBSTER FINL CORP
Reduced-$6.5M$81.9M0.02%
478160104
JOHNSON & JOHNSON
Increased$6.0M$39.1M0.02%
95082P105
WESCO INTL INC
Reduced-$5.9M$35.5M0.02%
717081103
PFIZER INC
Reduced-$5.6M$178.9M0.02%
439038100
HOOKER FURNISHINGS CORPORATI
Reduced-$5.4M$13.3M0.02%
78467J100
SS&C TECHNOLOGIES HLDGS INC
Reduced-$5.3M$870.7M0.02%
617446448
MORGAN STANLEY
Reduced-$5.1M$89.0M0.02%
50060P106
KOPPERS HOLDINGS INC
Increased$4.8M$34.2M0.02%
858155203
STEELCASE INC
Reduced-$4.7M$58.8M0.02%
369550108
GENERAL DYNAMICS CORP
Increased$4.6M$75.9M0.02%
302491303
FMC CORP
Reduced-$4.4M$23.7M0.02%
57638P104
MASTERBRAND INC
Reduced-$4.3M$37.3M0.01%
316773100
FIFTH THIRD BANCORP
Reduced-$4.3M$37.3M0.01%
12541W209
C H ROBINSON WORLDWIDE INC
Reduced-$4.1M$27.5M0.01%
874039100
TAIWAN SEMICONDUCTOR MFG LTD
Reduced-$4.0M$6.9M0.01%
87161C501
SYNOVUS FINL CORP
Reduced-$3.7M$31.3M0.01%
G2519Y108
CREDICORP LTD
Reduced-$3.5M$194.6M0.01%
7591EP100
REGIONS FINANCIAL CORP NEW
Reduced-$3.4M$41.3M0.01%
957100
ABM INDS INC
Reduced-$3.3M$40.2M0.01%
197236102
COLUMBIA BKG SYS INC
Reduced-$3.2M$35.4M0.01%
17275R102
CISCO SYS INC
Increased$3.0M$112.9M0.01%
913903100
UNIVERSAL HLTH SVCS INC
Increased$2.9M$73.6M0.01%
45487105
ASSOCIATED BANC CORP
Reduced-$2.7M$40.3M0.01%
493267108
KEYCORP
Reduced-$2.6M$26.3M0.01%
83088M102
SKYWORKS SOLUTIONS INC
Increased$2.4M$501.7M0.01%
01609W102
ALIBABA GROUP HLDG LTD
Increased$2.4M$7.0M0.01%
419596101
HAVERTY FURNITURE COS INC
Reduced-$2.4M$19.1M0.01%
680033107
OLD NATL BANCORP IND
Reduced-$2.3M$60.9M0.01%
608190104
MOHAWK INDS INC
Reduced-$2.2M$127.4M0.01%
566324109
MARCUS & MILLICHAP INC
Reduced-$2.2M$19.9M0.01%
896215209
TRIMAS CORP
Reduced-$2.1M$50.0M0.01%
42735100
ARROW ELECTRS INC
Reduced-$2.1M$23.0M0.01%
806407102
HENRY SCHEIN INC
Reduced-$1.9M$66.1M0.01%
200340107
COMERICA INC
Reduced-$1.9M$25.0M0.01%
G4388N106
HELEN OF TROY LTD
Reduced-$1.8M$40.5M0.01%
38141G104
GOLDMAN SACHS GROUP INC
Reduced-$1.7M$74.7M0.01%
406216101
HALLIBURTON CO
Reduced-$1.7M$40.4M0.01%
929089100
VOYA FINANCIAL INC
Reduced-$1.6M$243.9M0.01%
45104G104
ICICI BANK LIMITED
Reduced-$1.6M$615,9320.01%
803866300
SASOL LTD
Sold out-$1.6M$00.01%
40415F101
HDFC BANK LTD
Increased$1.5M$34.1M0.01%
56752108
BAIDU INC
Reduced-$1.5M$25.5M0.01%
915271100
UNIVEST FINANCIAL CORPORATIO
Reduced-$1.5M$32.4M0.01%
553530106
MSC INDL DIRECT INC
Increased$1.4M$35.9M0.00%
929328102
WSFS FINL CORP
Reduced-$1.1M$40.9M0.00%
525327102
LEIDOS HOLDINGS INC
Reduced-$985,574$31.3M0.00%
913456109
UNIVERSAL CORP VA
Increased$908,857$51.1M0.00%
12504L109
CBRE GROUP INC
Increased$868,499$52.8M0.00%
824596100
SHINHAN FINANCIAL GROUP CO L
Reduced-$710,217$34.6M0.00%
929740108
WABTEC
Reduced-$676,061$62.4M0.00%
256746108
DOLLAR TREE INC
Sold out-$520,009$00.00%
48241A105
KB FINL GROUP INC
Increased$508,750$2.7M0.00%
77454106
BELDEN INC
Sold out-$493,007$00.00%
254687106
DISNEY WALT CO
Reduced-$473,350$251,0930.00%
31620R303
FIDELITY NATIONAL FINANCIAL
Increased$445,096$15.3M0.00%
465562106
ITAU UNIBANCO HLDG S A
Increased$405,167$2.2M0.00%
98980A105
ZTO EXPRESS CAYMAN INC
Reduced-$333,108$153.3M0.00%
9.1912E+109
VALE S A
Increased$317,328$2.9M0.00%
80105N105
SANOFI
New$298,679$298,6790.00%
00287Y109
ABBVIE INC
Sold out-$296,759$00.00%
50212V100
LPL FINL HLDGS INC
Sold out-$293,859$00.00%
26210C104
DROPBOX INC
Sold out-$291,929$00.00%
58933Y105
MERCK & CO INC
Sold out-$288,293$00.00%
458140100
INTEL CORP
New$279,923$279,9230.00%
29364G103
ENTERGY CORP NEW
Sold out-$274,089$00.00%
458665304
INTERFACE INC
Sold out-$269,043$00.00%
278642103
EBAY INC.
New$261,438$261,4380.00%
254709108
DISCOVER FINL SVCS
New$249,051$249,0510.00%
29446M102
EQUINOR ASA
New$245,986$245,9860.00%
6.738E+207
BARCLAYS PLC
Reduced-$235,149$910,7900.00%
172755100
CIRRUS LOGIC INC
New$231,897$231,8970.00%
71654V101
PETROLEO BRASILEIRO SA PETRO
Increased$231,314$2.5M0.00%
90384S303
ULTA BEAUTY INC
Sold out-$228,338$00.00%
31162100
AMGEN INC
Sold out-$209,294$00.00%
74736K101
QORVO INC
Sold out-$208,182$00.00%
G87052109
TE CONNECTIVITY PLC
Reduced-$201,252$348.9M0.00%
03938L203
ARCELORMITTAL SA LUXEMBOURG
Increased$141,679$975,4150.00%
456837103
ING GROEP N.V.
Increased$134,214$988,8510.00%
404280406
HSBC HLDGS PLC
Increased$118,289$1.0M0.00%
42226K105
HEALTHCARE RLTY TR
Reduced-$111,290$37.6M0.00%
86562M209
SUMITOMO MITSUI FINL GROUP I
Increased$57,917$342,1940.00%
56418H100
MANPOWERGROUP INC WIS
Increased$56,179$20.3M0.00%
500472303
KONINKLIJKE PHILIPS N V
Increased$52,604$399,0590.00%
770323103
ROBERT HALF INC.
Increased$42,365$71.9M0.00%
639057207
NATWEST GROUP PLC
Reduced-$19,276$525,6480.00%
204409601
CIA ENERGETICA DE MINAS GERA
Reduced-$15,834$2.8M0.00%
3.073E+108
CENCORA INC
Increased$2,013$272,5280.00%
375558103
GILEAD SCIENCES INC
Increased$568$298,2770.00%

Evidence

Related Cards

RP
Reduced60505104

Richard Pzena

Richard Pzena (Pzena Investment Management) filed a 13F change in BANK AMERICA CORP (60505104) on 2025-05-02, covering period end 2025-03-31.

RP
Increased126650100

Richard Pzena

Richard Pzena (Pzena Investment Management) filed a 13F change in CVS HEALTH CORP (126650100) on 2025-05-02, covering period end 2025-03-31.

RP
Increased71813109

Richard Pzena

Richard Pzena (Pzena Investment Management) filed a 13F change in BAXTER INTL INC (71813109) on 2025-05-02, covering period end 2025-03-31.

Richard Pzena (Pzena Investment Management) disclosed new in PPG INDS INC | TradingNote AI