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STOCK TICKER:

MAJOR GURUS:
David Einhorn
Bill Ackman
Bill Miller
Steven Cohen
Jim Simons

CHARTWELL INVESTMENT PARTNERS, LLC INSTITUTION : CHARTWELL INVESTMENT PARTNERS, LLC
CHARTWELL INVESTMENT PARTNERS, LLC Portfolio (reported on 2020-07-29)
Company (links to holding history) Ticker Value On
2020-06-30
No of Shares % of portfolio
MICROSOFT CORP COM    (cs) MSFT 80,531,000 395,709 3.10%
APPLE INC COM    (cs) AAPL 48,983,000 134,272 1.89%
JPMORGAN CHASE & CO    (cs) JPM 29,590,000 314,584 1.14%
MERCK & CO INC COM    (cs) MRK 28,387,000 367,093 1.09%
ALPHABET INC CAP STK CLC    (cs) GOOG 25,545,000 18,071 0.98%
JOHNSON & JOHNSON    (cs) JNJ 25,007,000 177,818 0.96%
GALLAGHER ARTHUR J & CO COM    (cs) AJG 24,353,000 249,809 0.94%
ABBOTT LABORATORIES    (cs) ABT 24,017,000 262,679 0.92%
ITT INC COM    (cs) 23,568,000 401,218 0.90%
INTEL CORP COM    (cs) INTC 22,863,000 382,139 0.88%
CROWN CASTLE INTL CORP REIT    (cs) CCI 21,236,000 126,898 0.81%
DIODES INC COM    (cs) DIOD 21,005,000 414,290 0.81%
AT&T INC COM    (cs) T 20,635,000 682,627 0.79%
PLEXUS CORP COM    (cs) PLXS 20,507,000 290,626 0.79%
FMC CORP    (cs) FMC 20,379,000 204,565 0.78%
PRA GROUP INC COM    (cs) PRAA 20,338,000 526,070 0.78%
SAIA INC COM    (cs) SAIA 20,191,000 181,608 0.77%
SELECTIVE INS GROUP INC COM    (cs) SIGI 19,815,000 375,718 0.76%
FACEBOOK INC COM    (cs) FB 19,448,000 85,644 0.75%
JACK IN THE BOX INC COM    (cs) JBX 19,352,000 261,197 0.74%
UNITEDHEALTH GROUP INC COM    (cs) UNH 19,321,000 65,505 0.74%
VERIZON COMMUNICATIONS INC COM    (cs) VZ 19,142,000 347,216 0.73%
HEALTHCARE TR AMER INC CL A NE    (cs) HTA 18,831,000 710,080 0.72%
COCA COLA CO COM    (cs) KO 18,584,000 415,919 0.71%
AMAZON COM INC COM    (cs) AMZN 18,048,000 6,542 0.69%
STAG INDL INC COM    (cs) STAG 17,745,000 605,230 0.68%
MORGAN STANLEY    (cs) MS 17,456,000 361,398 0.67%
QUEST DIAGNOSTICS INC    (cs) DGX 16,588,000 145,557 0.64%
PATTERSON COMPANIES COM    (cs) PDCO 16,528,000 751,254 0.63%
RUSH ENTERPRISES INC CL A    (cs) RUSHA 16,426,000 396,178 0.63%
PS BUSINESS PKS INC CALIF COM    (cs) PSB 15,761,000 119,044 0.60%
HEALTHCARE RLTY TR INC COM    (cs) HR 15,576,000 531,780 0.60%
MUELLER WTR PRODS INC COM SER    (cs) MWA 15,477,000 1,641,286 0.59%
CISCO SYS INC COM    (cs) CSCO 15,378,000 329,717 0.59%
COMMVAULT SYSTEMS INC    (cs) CVLT 15,068,000 389,345 0.58%
BRISTOL MYERS SQUIBB COM    (cs) BMY 15,017,000 255,396 0.57%
GLATFELTER COM    (cs) GLT 14,954,000 931,685 0.57%
CACI INTL INC CL A    (cs) CAI 14,905,000 68,723 0.57%
LOCKHEED MARTIN CORP    (cs) LMT 14,839,000 40,665 0.57%
NORTHWESTERN CORP COM NEW    (cs) NWE 14,661,000 268,915 0.56%
COLUMBIA BKG SYS INC COM    (cs) COLB 14,299,000 504,470 0.55%
PROCTER AND GAMBLE COCOM    (cs) PG 14,255,000 119,216 0.55%
PPL CORP COM    (cs) PPL 14,199,000 549,501 0.54%
UNITED CMNTY BKS BLAIRSVLE GA    (cs) UCBID 14,199,000 705,694 0.54%
SANDERSON FARMS INC COM    (cs) SAFM 14,074,000 121,446 0.54%
PROGRESS SOFTWARE CORP COM    (cs) PRGS 13,720,000 354,062 0.52%
MASTERCARD INC CL A    (cs) MA 13,622,000 46,066 0.52%
SOUTHWEST GAS HOLDINGS INC    (cs) SWX 13,563,000 196,416 0.52%
PIONEER NAT RES CO COM    (cs) PXD 13,513,000 138,314 0.52%
EXELON CORP COM    (cs) EXC 13,443,000 370,436 0.51%
COSTCO WHSL CORP NEW COM    (cs) COST 13,327,000 43,954 0.51%
UNIFIRST CORP MASS COM    (cs) UNF 13,247,000 74,028 0.51%
FRESH DEL MONTE PROD ORD    (cs) FDP 13,189,000 535,716 0.50%
PIEDMONT OFFICE REALTY TR INC    (cs) PDM 13,179,000 793,437 0.50%
VISA INC-CLASS A    (cs) V 13,127,000 67,953 0.50%
TRUIST FINL CORP COM    (cs) 12,828,000 341,636 0.49%
MINERALS TECHNOLOGIES INC COM    (cs) MTX 12,719,000 271,028 0.49%
PHILIP MORRIS INTERNATIONAL    (cs) PM 12,674,000 180,896 0.48%
EXXON MOBIL CORP    (cs) XOM 12,570,000 281,075 0.48%
MID AMER APT CMNTYS INC COM    (cs) MAA 12,563,000 109,558 0.48%
SOUTH ST CORP COM    (cs) SSB 12,471,000 261,676 0.48%
DYCOM INDS INC COM    (cs) DY 12,044,000 294,538 0.46%
NVIDIA CORP COM    (cs) NVDA 12,027,000 31,658 0.46%
VULCAN MATLS CO COM    (cs) VMC 11,987,000 103,466 0.46%
ALLISON TRANSMISSION HLDGS INC    (cs) ALSN 11,966,000 325,341 0.46%
HONEYWELL INTL INC COM    (cs) HON 11,937,000 82,555 0.46%
HOME DEPOT INC COM    (cs) HD 11,689,000 46,659 0.45%
CATERPILLAR INC DEL COM    (cs) CAT 11,671,000 92,260 0.45%
SANDY SPRING BANCORP INC    (cs) SASR 11,654,000 470,296 0.44%
CMS ENERGY CORP COM    (cs) CMS 11,517,000 197,139 0.44%
INDEPENDENT BK GROUP INC COM    (cs) IBTX 11,500,000 283,812 0.44%
ALLSTATE CORP COM    (cs) ALL 11,481,000 118,371 0.44%
FERRO CORP    (cs) FOE 11,481,000 961,548 0.44%
NIKE INC CL B    (cs) NKE 11,435,000 116,627 0.44%
UMB FINL CORP COM    (cs) UMBF 11,373,000 220,621 0.43%
PACIFIC PREMIER BANCORP COM    (cs) PPBI 11,368,000 524,349 0.43%
GENERAL MTRS CO COM    (cs) GM 11,168,000 441,418 0.43%
AMDOCS LTD ORD    (cs) DOX 11,163,000 183,364 0.43%
LAMAR ADVERTISING CO NEW CL A    (cs) LAMR 11,162,000 167,188 0.43%
DENNYS CORP COM    (cs) DENN 11,126,000 1,101,608 0.42%
AMERICAN EQTY INVT LIFE HLD CO    (cs) AEL 11,089,000 448,768 0.42%
PUBLIC SVC ENTERPRISE GROUP CO    (cs) PEG 11,053,000 224,835 0.42%
TOWNEBANK PORTSMOUTH VA COM    (cs) TOWN 10,977,000 582,666 0.42%
QUANTA SVCS INC COM    (cs) PWR 10,792,000 275,093 0.41%
MOOG INC CL A    (cs) MOG/A 10,726,000 202,459 0.41%
DOLLAR TREE STORES COM    (cs) DLTR 10,711,000 115,570 0.41%
EMERSON ELEC CO COM    (cs) EMR 10,692,000 172,362 0.41%
HESS CORP COM    (cs) HES 10,618,000 204,936 0.40%
HUB GROUP INC CL A    (cs) HUBG 10,610,000 221,686 0.40%
KIRBY CORP COM    (cs) KEX 10,603,000 197,957 0.40%
GENUINE PARTS CO    (cs) GPC 10,522,000 120,993 0.40%
KORN FERRY COM NEW    (cs) KFY 10,225,000 332,735 0.39%
TRI POINTE GROUP INC.    (cs) TPH 10,216,000 695,423 0.39%
BARNES GROUP INC COM    (cs) B 10,160,000 256,835 0.39%
HORIZON THERAPEUTICS PUB LTD C    (cs) 10,128,000 182,220 0.39%
HANOVER INS GROUP INC COM    (cs) THG 10,118,000 99,853 0.39%
MCGRATH RENTCORP COM    (cs) MGRC 10,015,000 185,422 0.38%
FIRST MIDWEST BANCORP INC DEL    (cs) FMBI 9,967,000 746,601 0.38%
PROGRESSIVE CORP OHIO COM    (cs) PGR 9,933,000 123,986 0.38%
AIR PRODS & CHEMS INC COM    (cs) APD 9,904,000 41,019 0.38%
EAGLE MATERIALS INC COM    (cs) EXP 9,758,000 138,966 0.37%
CACTUS INC CL A    (cs) 9,655,000 468,005 0.37%
ACCENTURE PLC IRELAND SHS CLAS    (cs) ACN 9,635,000 44,876 0.37%
EAGLE PHARMACEUTICALS INC COM    (cs) EGRX 9,608,000 200,246 0.37%
AMERICAN ELEC PWR INC COM    (cs) AEP 9,588,000 120,397 0.37%
ZOETIS INC CL A    (cs) ZTS 9,580,000 69,906 0.36%
SNAP ON INC COM    (cs) SNA 9,481,000 68,450 0.36%
HEALTHPEAK PPTYS INC COM    (cs) 9,298,000 337,373 0.35%
TRUEBLUE INC COM    (cs) TBI 9,277,000 607,506 0.35%
ALIBABA GROUP HOLDING LTD    (cs) BABA 9,235,000 42,815 0.35%
KEYCORP NEW COM    (cs) KEY 9,229,000 757,705 0.35%
DOLBY LABORATORIES INC COM    (cs) DLB 9,195,000 139,600 0.35%
ARES CAP CORP COM    (cs) ARCC 9,120,000 631,101 0.35%
RENASANT CORP COM    (cs) RNST 9,080,000 364,672 0.35%
RESTAURANT BRANDS INTERNATIONA    (cs) QSR 9,073,000 166,072 0.35%
FOOT LOCKER INC COM    (cs) FL 9,036,000 309,885 0.34%
AMEREN CORPORATION    (cs) AEE 9,009,000 128,042 0.34%
HARSCO CORP COM    (cs) HSC 8,973,000 664,186 0.34%
BOEING CO COM    (cs) BA 8,828,000 48,164 0.34%
SERVICENOW INC COM    (cs) NOW 8,788,000 21,695 0.33%
CVB FINL CORP COM    (cs) CVBF 8,737,000 466,210 0.33%
EL PASO ELEC CO COM NEW    (cs) EE 8,666,000 129,338 0.33%
PNM RESOURCES INC    (cs) PNM 8,645,000 224,891 0.33%
F N B CORP COM    (cs) FNB 8,634,000 1,151,185 0.33%
BLACK HILLS CORP COM    (cs) BKH 8,499,000 149,995 0.32%
WEYERHAEUSER CO    (cs) WY 8,413,000 374,584 0.32%
UMPQUA HLDGS CORP COM    (cs) UMPQ 8,353,000 785,033 0.32%
PHIBRO ANIMAL HEALTH CORP CL A    (cs) PAHC 8,337,000 317,371 0.32%
FIRST INDL RLTY TR INC COM    (cs) FR 8,260,000 214,884 0.31%
WOLVERINE WORLD WIDE INC COM    (cs) WWW 8,211,000 344,859 0.31%
AUTOZONE INC COM    (cs) AZO 8,192,000 7,262 0.31%
AVISTA CORP COM    (cs) AVA 8,087,000 222,245 0.31%
FIRST FINL BANCORP OHIO COM    (cs) FFBC 8,045,000 579,199 0.31%
WESTERN DIGITAL CORP COM    (cs) WDC 7,993,000 181,051 0.30%
KEMPER CORP DEL COM    (cs) KMPR 7,920,000 109,205 0.30%
AMERICAN CAMPUS CMNTYS INC COM    (cs) ACC 7,917,000 226,458 0.30%
CHEESECAKE FACTORY INC    (cs) CAKE 7,788,000 339,799 0.30%
INTERFACE INC COM    (cs) TILE 7,778,000 955,481 0.30%
THERMO FISHER SCIENTIFICINC    (cs) TMO 7,609,000 21,000 0.29%
CME GROUP INC    (cs) CME 7,588,000 46,683 0.29%
EXPEDIA INC DEL COM    (cs) EXPE 7,512,000 91,388 0.29%
KNOLL INC COM NEW    (cs) KNL 7,475,000 613,247 0.28%
PEBBLEBROOK HOTEL TR COM    (cs) PEB 7,377,000 540,028 0.28%
UNITED PARCEL SERVICE INC CL B    (cs) UPS 7,263,000 65,329 0.28%
LAMB WESTON HLDGS INC COM    (cs) 7,246,000 113,348 0.27%
G III APPAREL GROUP LTD COM    (cs) GIII 7,233,000 544,239 0.27%
BURLINGTON STORES INC COM    (cs) BURL 7,210,000 36,614 0.27%
SYNOPSYS INC COM    (cs) SNPS 7,192,000 36,886 0.27%
UNIVERSAL HLTH SVCS INC CL B    (cs) UHS 6,973,000 75,066 0.26%
ARGO GROUP INTL HLDGS LTD COM    (cs) AGII 6,896,000 197,992 0.26%
MICRON TECHNOLOGY INC COM    (cs) MU 6,773,000 131,470 0.26%
WEINGARTEN RLTY INVS SH BEN IN    (cs) WRI 6,758,000 356,988 0.26%
LINCOLN NATL CORP IND COM    (cs) LNC 6,751,000 183,491 0.26%
SALESFORCE COM INC COM    (cs) CRM 6,729,000 35,920 0.25%
CITIGROUP INC COM    (cs) C 6,674,000 130,607 0.25%
HOST HOTELS & RESORTS INC    (cs) HST 6,621,000 613,631 0.25%
LAS VEGAS SANDS CORP COM    (cs) LVS 6,620,000 145,365 0.25%
UNITED BANKSHARES INC W VA COM    (cs) UBSI 6,586,000 238,107 0.25%
SCHOLASTIC CORP COM    (cs) SCHL 6,555,000 218,939 0.25%
ADOBE INC    (cs) ADBE 6,530,000 15,000 0.25%
LINDE PLC COM    (cs) 6,474,000 30,520 0.24%
ADVANCED MICRO DEVICES INC COM    (cs) AMD 6,456,000 122,713 0.24%
PINNACLE FINANCIAL PARTNERS CO    (cs) PNFP 6,114,000 145,597 0.23%
PAYPAL HLDGS INC COM    (cs) PYPL 6,098,000 35,000 0.23%
BOSTON SCIENTIFIC CORP COM    (cs) BSX 6,058,000 172,545 0.23%
ORACLE CORP COM    (cs) ORCL 6,016,000 108,848 0.23%
FIRST HAWAIIAN INC    (cs) FHB 5,951,000 345,208 0.22%
VERTEX PHARMACEUTICALS INC COM    (cs) VRTX 5,895,000 20,305 0.22%
FIRSTENERGY CORP    (cs) FE 5,814,000 149,925 0.22%
ENPRO INDS INC COM    (cs) NPO 5,570,000 113,011 0.21%
LOWES COS INC COM    (cs) LOW 5,540,000 41,000 0.21%
ACTIVISION BLIZZARD INC COM    (cs) ATVI 5,436,000 71,615 0.20%
CONOCOPHILLIPS    (cs) COP 5,403,000 128,574 0.20%
NUTANIX INC - A    (cs) NTNX 5,395,000 227,588 0.20%
INTUIT COM    (cs) INTU 5,238,000 17,686 0.20%
LAM RESEARCH CORP COM    (cs) LRCX 5,067,000 15,666 0.19%
PNC FINANCIAL SERVICES GROUP    (cs) PNC 5,038,000 47,889 0.19%
DANAHER CORP COM USD0.01    (cs) DHR 4,990,000 28,220 0.19%
INTUITIVE SURGICAL INC COM NEW    (cs) ISRG 4,954,000 8,694 0.19%
RAPID7 INC    (cs) 4,904,000 96,125 0.18%
CDW CORP/DE    (cs) CDW 4,869,000 41,913 0.18%
SEAGATE TECHNOLOGY PLC SHS    (cs) STX 4,773,000 98,591 0.18%
QUIDEL CORP COM    (cs) QDEL 4,771,000 21,322 0.18%
OXFORD INDS INC COM    (cs) OXM 4,738,000 107,650 0.18%
FTI CONSULTING INC COM    (cs) FCN 4,729,000 41,284 0.18%
MONOLITHIC PWR SYS INC COM    (cs) MPWR 4,714,000 19,891 0.18%
CHUBB LIMITED COM    (cs) CB 4,685,000 37,000 0.18%
ROCHE HLDG LTD SPONSORED ADR    (cs) RHHBY 4,636,000 107,023 0.17%
NETFLIX INC    (cs) NFLX 4,543,000 9,984 0.17%
DECKERS OUTDOOR CORP    (cs) DECK 4,508,000 22,953 0.17%
STANLEY BLACK & DECKER INC COM    (cs) SWK 4,462,000 32,013 0.17%
JELD-WEN HLDG INC COM    (cs) 4,318,000 268,036 0.16%
ALPHABET INC CAP STK CLA    (cs) GOOGL 4,251,000 2,998 0.16%
TAIWAN SEMICONDUCTOR SPONSORED    (cs) TSM 4,225,000 74,423 0.16%
MEDTRONIC PLC SHS    (cs) MDT 4,169,000 45,463 0.16%
NXP SEMICONDUCTORS N V COM    (cs) NXPI 4,159,000 36,466 0.16%
US BANCORP    (cs) USB 4,153,000 112,785 0.16%
KITE RLTY GROUP TR COM NEW    (cs) KRG 4,061,000 351,923 0.15%
CHAMPIONX CORPORATION COM    (cs) 3,988,000 408,652 0.15%
DISNEY WALT CO DEL COM    (cs) DIS 3,919,000 35,140 0.15%
1 2 3 Next >Full Portfolio View
Total Value As 2020-06-30: 2,589,913,000 SEC FILING
* Portfolios do not reflect changes after reporting
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MAJOR GURUS:
Warren Buffett
John Paulson
George Soros

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