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STOCK TICKER:

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

SNOW CAPITAL MANAGEMENT LP INSTITUTION : Richard Snow (SNOW CAPITAL MANAGEMENT LP )
Richard Snow Portfolio (reported on 2021-02-10)
Company (links to holding history) Ticker Value On
2020-12-31
No of Shares % of portfolio
JPMORGAN CHASE & CO    (COM) JPM 24,202,000 190,459 4.11%
BANK OF AMERICA CORP    (COM) BAC 17,584,000 580,140 2.98%
COMMERCIAL METALS CO COM    (COM) CMC 17,485,000 851,257 2.97%
CNO FINL GROUP INC    (COM) CNO 17,186,000 773,107 2.92%
NCR CORP NEW    (COM) NCR 16,272,000 433,099 2.76%
LINCOLN NTL CORP IND NPV    (COM) LNC 14,784,000 293,856 2.51%
HARTFORD FINL SVCS GROUP    (COM) HIG 14,560,000 297,274 2.47%
METLIFE INC COM    (COM) MET 14,285,000 304,257 2.42%
MARATHON PETROLEUM CORP    (COM) MPC 13,961,000 337,557 2.37%
JETBLUE AIRWAYS CORP DEL    (COM) JBLU 13,858,000 953,071 2.35%
WESCO INTERNTNL    (COM) WCC 12,844,000 163,616 2.18%
INTL PAPER CO    (COM) IP 12,625,000 253,925 2.14%
PVH CORP    (COM) PVH 12,360,000 131,641 2.10%
NETAPP INC    (COM) NTAP 12,177,000 183,825 2.06%
TYSON FOODS INC CL A    (COM) TSN 11,641,000 180,651 1.97%
BANKUNITED INC    (COM) BKU 11,546,000 331,972 1.96%
B2GOLD CORP    (COM) BGLPF 11,404,000 2,036,513 1.93%
CENTENE CORP    (COM) CNC 11,351,000 189,090 1.92%
FIRST HORIZON CORP    (COM) FHN 11,221,000 879,384 1.90%
F N B CORP    (COM) FNB 11,201,000 1,179,092 1.90%
CIMAREX ENERGY CO    (COM) XEC 10,132,000 270,115 1.72%
JOHNSON AND JOHNSON COM    (COM) JNJ 9,870,000 62,717 1.67%
LABORATORY CP AMER HLDGS    (COM) LH 9,357,000 45,968 1.59%
INTEL CORP    (COM) INTC 9,342,000 187,523 1.58%
GENL DYNAMICS CORP COM    (COM) GD 8,952,000 60,152 1.52%
PNC FINCL SERVICES GROUP    (COM) PNC 8,852,000 59,411 1.50%
URBAN OUTFITTERS INC    (COM) URBN 8,669,000 338,628 1.47%
CISCO SYSTEMS INC COM    (COM) CSCO 8,629,000 192,819 1.46%
PULTE GROUP    (COM) PHM 7,857,000 182,209 1.33%
ZIMMER BIOMET HOLDING    (COM) ZMH 7,746,000 50,270 1.31%
AECOM    (COM) ACM 7,407,000 148,804 1.25%
DISNEY (WALT) CO COM STK    (COM) DIS 7,292,000 40,245 1.23%
BIOGEN INC    (COM) BIIB 6,641,000 27,121 1.12%
ORACLE CORP DEL    (COM) ORCL 5,669,000 87,631 0.96%
WHIRLPOOL CORP    (COM) WHR 5,409,000 29,966 0.91%
UMPQUA HOLDINGS CORP    (COM) UMPQ 5,186,000 342,524 0.88%
TARGET CORP COM    (COM) TGT 5,149,000 29,168 0.87%
DARDEN RESTAURANTS INC    (COM) DRI 5,050,000 42,398 0.85%
AMERICAN EQUITY INVT LIFE H    (COM) AEL 4,981,000 180,086 0.84%
CABOT OIL & GAS CORP    (COM) COG 4,969,000 305,192 0.84%
FEDEX CORP DELAWARE COM    (COM) FDX 4,778,000 18,403 0.81%
LUMEN TECHNOLOGIES INC    (COM) CTL 4,620,000 473,867 0.78%
OPEN TEXT CORP COM    (COM) OTEX 4,491,000 98,794 0.76%
TAPESTRY INC    (COM) 4,399,000 141,533 0.74%
GOLDMAN SACHS GROUP    (COM) GS 4,375,000 16,591 0.74%
KOHLS CORP    (COM) KSS 4,216,000 103,604 0.71%
TRUIST FINL CORP    (COM) 4,048,000 84,460 0.68%
BLOOMIN BRANDS INC    (COM) BLMN 3,914,000 201,520 0.66%
INTERPUBLIC GRP COS    (COM) IPG 3,868,000 164,458 0.65%
ARGO GROUP INTL HLDG F    (COM) AGII 3,778,000 86,454 0.64%
MODINE MANUFACTURING    (COM) MOD 3,755,000 298,961 0.63%
ABBVIE INC    (COM) ABBV 3,590,000 33,509 0.61%
FLEXION THERAPEUTICS    (COM) FLXN 3,534,000 306,265 0.60%
SUPER MICRO COMPUTER    (COM) SMCI 3,474,000 109,714 0.59%
DELEK US HOLDINGS INC NE    (COM) 3,344,000 208,083 0.56%
NVENT ELECTRIC PLC F    (COM) 3,191,000 137,008 0.54%
LIONS GATE ENTERTAINMENT    (COM) 3,180,000 279,689 0.54%
LAS VEGAS SANDS CORP    (COM) LVS 3,048,000 51,143 0.51%
PIONEER NATURAL RES    (COM) PXD 2,990,000 26,255 0.50%
J2 GLOBAL INC    (COM) JCOM 2,828,000 28,949 0.48%
ACCO BRANDS CORP    (COM) ABD 2,766,000 327,373 0.47%
NORWEGIAN CRUISE LIN F    (COM) NCLH 2,629,000 103,378 0.44%
AMERN EAGLE OUTFITRS    (COM) AEO 2,541,000 126,582 0.43%
AMGEN INC.    (COM) AMGN 2,475,000 10,763 0.42%
UNUM GROUP    (COM) UNM 2,266,000 98,800 0.38%
AMN HEALTHCARE SRVCS    (COM) AHS 2,216,000 32,469 0.37%
SUNCOR ENERGY INC    (COM) SU 2,126,000 126,723 0.36%
AMERICAN EXPRESS CO    (COM) AXP 2,055,000 16,993 0.34%
VISHAY INTERTECH    (COM) VSH 1,978,000 95,527 0.33%
AMAZON.COM INC    (COM) AMZN 1,954,000 600 0.33%
1ST COMNWLTH FINL CO    (COM) FCF 1,953,000 178,508 0.33%
DOMTAR CORP    (COM) UFS 1,902,000 60,094 0.32%
VANGUARD GROWTH ETF    (COM) VUG 1,848,000 7,295 0.31%
CINEMARK HOLDINGS    (COM) CNK 1,819,000 104,460 0.30%
ALPHABET INC CLASS C CAPITAL S    (COM) GOOG 1,752,000 1,000 0.29%
ALAMOS GOLD INC 00505 F CLASS    (COM) 1,693,000 193,465 0.28%
CATERPILLAR INC    (COM) CAT 1,668,000 9,162 0.28%
INTEGRA LIFESCIENC    (COM) IART 1,662,000 25,608 0.28%
VALERO ENERGY CORP NEW    (COM) VLO 1,631,000 28,839 0.27%
OFG BANCORP F    (COM) OFG 1,603,000 86,436 0.27%
RIO TINTO PLC F SPONSORED ADR    (COM) RTP 1,600,000 21,276 0.27%
BP PLC F SPONSORED ADR 1 ADR R    (COM) BP 1,583,000 77,157 0.26%
TAYLOR MORRISON HOME    (COM) TMHC 1,501,000 58,511 0.25%
WELLS FARGO & CO    (COM) WFC 1,455,000 48,217 0.24%
ALERIAN MLP ETF SHS    (COM) 1,449,000 56,458 0.24%
VANECK VECTORS ETF TR JUNIOR    (COM) 1,411,000 26,020 0.23%
TRAVELERS COMPANIES    (COM) TRV 1,397,000 9,951 0.23%
PILGRIMS PRIDE CORP    (COM) PPC 1,364,000 69,547 0.23%
ISHARES CORE US VALUE ETF    (COM) IWW 1,273,000 20,469 0.21%
NUCOR CORP    (COM) NUE 1,228,000 23,094 0.20%
ALLY FINL INC    (COM) ALLY 1,222,000 34,255 0.20%
ANTERO MIDSTREAM CORP    (COM) 1,131,000 146,724 0.19%
GOLDMAN SACHS MLP ENERGYRENAIS    (COM) 1,087,000 142,649 0.18%
MPLX LP COM UNIT REPSTG LTD PA    (COM) MPLX 1,083,000 50,000 0.18%
DAVE & BUSTERS INC    (COM) PLAY 1,055,000 35,149 0.17%
GRANITE CONSTRUCTION INC    (COM) GVA 1,006,000 37,665 0.17%
DELTA AIR LINES INC    (COM) DAL 1,005,000 25,000 0.17%
SILICON MOTION TECHNOLOGY CORP    (COM) SIMO 949,000 19,715 0.16%
HANESBRANDS INC    (COM) HBI 934,000 64,034 0.15%
MOHAWK INDUSTRIES    (COM) MHK 929,000 6,590 0.15%
GMAC CAPITAL 7.4766 PFD DUE 02    (PFD) ALLY/PA 855,000 31,622 0.14%
CENTURY ALUMINUM CO    (COM) CENX 845,000 76,600 0.14%
EXELON CORP    (COM) EXC 828,000 19,618 0.14%
ISHARES RUSSELL MID CAP GROWTH    (COM) IWP 748,000 7,290 0.12%
PACWEST BANCORP    (COM) PACW 741,000 29,184 0.12%
ISHARES MSCI EAFE ETF    (COM) EFA 736,000 10,085 0.12%
DIODES INC    (COM) DIOD 684,000 9,702 0.11%
ISHARES MSCI EMERGING MARKETS    (COM) EEM 629,000 12,170 0.10%
AFFILIATED MANAGERS    (COM) AMG 597,000 5,870 0.10%
JPMORGAN CHASE & CO NON-CU    (PFD) 570,000 20,000 0.09%
FIRST MIDWEST BANCORP INC/IL    (COM) FMBI 569,000 35,721 0.09%
ATLAS AIR WORLDWIDE    (COM) AAWW 566,000 10,378 0.09%
BRINKER INTL INC    (COM) EAT 562,000 9,933 0.09%
GOLD RESOURCE CORP    (COM) GORO 537,000 184,423 0.09%
OCCIDENTAL PETE CORP    (COM) OXY 519,000 30,000 0.08%
RANGE RESOURCES CORP    (COM) RRC 506,000 75,485 0.08%
L3HARRIS TECHNOLOGIES IN    (COM) 491,000 2,600 0.08%
VERIZON COMMUNICATN    (COM) VZ 468,000 7,965 0.07%
GLU MOBILE INC    (COM) GLUU 451,000 50,000 0.07%
MERCK & CO INC    (COM) MRK 434,000 5,300 0.07%
SANOFI S A F SPONSORED ADR 1 A    (COM) SNY 425,000 8,738 0.07%
II-VI INC    (COM) IIVI 421,000 5,538 0.07%
SKECHERS U S A INC CLASS A    (COM) SKX 390,000 10,847 0.06%
GOLDMAN SACHS GROUP INC NEW MO    (PFD) GS/PD 379,000 15,000 0.06%
ABERDEEN ASIA-PAC INC    (COM) FAX 346,000 77,800 0.05%
P B F ENERGY INC CLASS A    (COM) PBF 344,000 48,465 0.05%
ISHARES RUSSELL 2000 GROWTH ET    (COM) IWO 335,000 1,170 0.05%
LADENBURG THALMANN FINANCIAL S    (PFD) 334,000 20,000 0.05%
ISHARES MSCI INDIA INDEX FUND    (COM) INDA 332,000 8,260 0.05%
APPLE INC    (COM) AAPL 330,000 2,488 0.05%
CONSTELLATION BRAND CLASS A    (COM) STZ 312,000 1,426 0.05%
EASTMAN CHEMICAL CO    (COM) EMN 312,000 3,114 0.05%
PACCAR INC    (COM) PCAR 296,000 3,427 0.05%
HASBRO INC    (COM) HAS 211,000 2,252 0.03%
PROCTER & GAMBLE    (COM) PG 209,000 1,500 0.03%
CARDINAL HEALTH INC    (COM) CAH 204,000 3,806 0.03%
ANNALY CAPITAL MGMT REIT    (COM) NLY 184,000 21,760 0.03%
KINDER MORGAN INC    (COM) KMI 147,000 10,749 0.02%
GENERAL ELECTRIC CO    (COM) GE 141,000 13,100 0.02%
VALLEY NATL BANCORP N J    (COM) VLY 124,000 12,758 0.02%
WTS TIDEWATER INC SERIES A WAR    (WT) 23,000 51,620 0.00%
WTS MCDERMOTT INTL LTD TRANCHE    (WT) 1,000 132,809 0.00%
WTS MCDERMOTT INTL LTD TRANCHE    (WT) 1,000 119,528 0.00%
GENERAL MOTORS CORP CONV SR DE    (PFD) 0 125,000 0.00%
GENERAL MOTORS CORP ESCROW CUS    (COM) 0 2,000,000 0.00%
Total Value As 2020-12-31: 588,463,000 SEC FILING
* Portfolios do not reflect changes after reporting
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