Oakmark Fund's portfolio and holdings

Oakmark Fund's portfolio and holdings

As per corporate shareholdings filed for Mar-2025, people matching Oakmark Fund publicly holds 54 stocks with a net worth of over US$ 22.0 B.

These are shares held by Oakmark Fund as per the shareholding data filed with the exchanges. The latest quarter tends to have missing data since not all companies may have reported their shareholding data till now.

Month Ending
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Stock Name Holders Name Current Price US$ Quantity Held Holding Percent Change from Previous Qtr Holding Value US$ History
Bank Of America Corp. Oakmark Fund 43.31 11,347,400 0.15% 0.00 491.5 M
Bank Of New York Mellon Corp Oakmark Fund 89.18 5,305,530 0.74% -0.27 473.1 M
Baxter International Inc. Oakmark Fund 30.27 6,470,000 1.26% 0.00 195.8 M
Blackrock Inc. Oakmark Fund 969.90 125,000 0.08% 0.00 121.2 M
BorgWarner Inc Oakmark Fund 32.96 6,620,000 3.01% -0.01 218.2 M
Capital One Financial Corp. Oakmark Fund 188.56 2,636,000 0.69% -0.15 497.0 M
CBRE Group Inc - Ordinary Shares - Class A Oakmark Fund 120.43 3,522,000 1.18% -0.16 424.2 M
Celanese Corp - Ordinary Shares - Series A Oakmark Fund 53.56 1,800,000 1.65% 0.04 96.4 M
Centene Corp. Oakmark Fund 58.07 8,821,700 1.77% 0.08 512.3 M
Charles Schwab Corp. Oakmark Fund 87.31 9,487,075 0.52% 0.01 828.3 M
Citigroup Inc Oakmark Fund 73.42 9,992,800 0.54% -0.05 733.7 M
EOG Resources, Inc. Oakmark Fund 110.79 3,783,263 0.69% -0.12 419.1 M
Equifax, Inc. Oakmark Fund 263.41 1,710,700 1.38% 0.17 450.6 M
Fiserv, Inc. Oakmark Fund 161.34 2,068,600 0.37% -0.16 333.7 M
Genuine Parts Co. Oakmark Fund 126.89 1,775,000 1.28% 0.00 225.2 M
Global Payments, Inc. Oakmark Fund 75.72 4,104,400 1.67% 0.02 310.8 M
Kroger Co. Oakmark Fund 67.95 6,800,000 1.02% -0.44 462.1 M
Magna International Inc. Oakmark Fund 35.67 5,360,384 1.90% 0.00 191.2 M
Masco Corp. Oakmark Fund 62.68 3,764,400 1.78% 0.01 236.0 M
Merck & Co Inc Oakmark Fund 77.84 5,300,000 0.21% 0.04 412.6 M
Reinsurance Group Of America, Inc. Oakmark Fund 202.89 1,192,028 1.80% 0.11 241.9 M
Elevance Health Inc Oakmark Fund 384.51 1,006,000 0.45% 0.12 386.8 M
Wells Fargo & Co. Oakmark Fund 73.39 5,871,000 0.18% -0.05 430.9 M
American International Group Inc Oakmark Fund 82.02 8,871,439 1.54% 0.02 727.6 M
Conoco Phillips Oakmark Fund 86.13 6,360,400 0.50% 0.06 547.8 M
Constellation Brands Inc - Ordinary Shares - Class A Oakmark Fund 184.76 1,370,000 0.77% NEW 253.1 M
CVS Health Corp Oakmark Fund 60.22 3,950,000 0.31% 0.00 237.9 M
Deere & Co. Oakmark Fund 515.65 1,383,710 0.51% -0.11 713.5 M
Delta Air Lines, Inc. Oakmark Fund 48.50 7,999,100 1.23% 0.24 388.0 M
Intercontinental Exchange Inc Oakmark Fund 174.00 3,831,200 0.67% -0.05 666.6 M
State Street Corp. Oakmark Fund 96.36 5,221,700 1.83% 0.02 503.2 M
TE Connectivity Ltd - Registered Shares Oakmark Fund 158.91 1,934,444 0.65% 0.03 307.4 M
Ally Financial Inc Oakmark Fund 33.93 13,445,877 4.38% 0.30 456.2 M
General Motors Company Oakmark Fund 49.28 14,128,100 1.47% 0.07 696.2 M
Marathon Petroleum Corp Oakmark Fund 158.89 1,704,000 0.55% NEW 270.7 M
Fortune Brands Innovations Inc Oakmark Fund 50.73 4,993,300 4.12% 0.25 253.3 M
Phillips 66 Oakmark Fund 112.98 5,176,400 1.27% 0.14 584.8 M
IQVIA Holdings Inc Oakmark Fund 138.04 2,753,300 1.59% 0.03 380.1 M
Corteva Inc Oakmark Fund 68.59 8,200,100 1.20% -0.12 562.4 M
Corebridge Financial Inc. Oakmark Fund 31.65 7,780,000 1.41% 0.01 246.2 M
Kenvue Inc Oakmark Fund 23.50 17,483,900 0.91% -0.17 410.9 M
Charter Communications Inc. - Ordinary Shares - Class A Oakmark Fund 409.93 1,433,215 1.02% 0.01 587.5 M
First Citizens Bancshares, Inc (NC) - Ordinary Shares - Class A Oakmark Fund 1841.04 242,400 1.81% 0.09 446.3 M
Alphabet Inc - Ordinary Shares - Class A Oakmark Fund 170.87 4,918,200 0.04% 0.00 840.4 M
Nasdaq Inc - Ordinary Shares - 144A Oakmark Fund 81.21 5,915,305 1.03% 0.00 480.4 M
Willis Towers Watson Public Limited Co Oakmark Fund 308.07 1,655,000 1.67% 0.05 509.9 M
APA Corporation Oakmark Fund 16.74 14,384,209 3.99% 0.25 240.8 M
Comcast Corp - Ordinary Shares - Class A Oakmark Fund 34.59 11,750,100 0.31% 0.00 406.4 M
Warner Bros. Discovery Inc - Ordinary Shares - Class A Oakmark Fund 9.02 31,881,500 1.29% -0.01 287.6 M
Keurig Dr Pepper Inc Oakmark Fund 33.01 12,732,000 0.94% 0.14 420.3 M
Carlyle Group Inc (The) Oakmark Fund 44.43 4,822,200 1.34% 1.09 214.3 M
GE HealthCare Technologies Inc Oakmark Fund 69.44 2,623,815 0.57% 0.26 182.2 M
Liberty Broadband Corp - Ordinary Shares - Series C Oakmark Fund 96.93 2,020,000 1.41% 0.00 195.8 M
Airbnb Inc - Ordinary Shares - Class A Oakmark Fund 127.65 2,340,000 0.38% 0.15 298.7 M
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