Yacktman Asset Management

Yacktman Asset Management

13F
Yacktman Asset Management
Last update 2024-05-02 73 Stocks (5 new)
Value $11.12 Bil Turnover 2 %
Countries:
Portfolio Report

Yacktman Asset Management Profile

Yacktman Asset Management is an Austin, Texas-based investment firm with a focus on value equity investing. It employs an objective, patient, and diligent investment approach and seeks to achieve superior investment returns over a full market cycle.
The firm is owned by its partners including Chief Investment Officer Stephen Yacktman, Portfolio Managers Jason Subotky, Adam Sues, and Russell Wilkins, Chief Financial Officer Keith Thatcher, Chief Operating Officer James Carmody, founder Don Yacktman, and majority owner Affiliated Managers Group, Inc.Yacktman Asset Management is an affiliate of Affiliated Managers Group, Inc. (“AMG”), a publicly traded global asset management company with equity investments in leading boutique investment management firms, including Yacktman. AMG’s equity interest is structured so that Yacktman maintains operational autonomy. AMG does not have any role in the day-to-day management of Yacktman. AMG Affiliates, including Yacktman, operate autonomously and independently of AMG and of each other.

Yacktman Asset Management Investing Philosophy

The firm’s goal is to own securities they believe offer an attractive rate of return for the level of risk in the investment. A generalist approach is used, which means all analysts are responsible for the entire investment universe instead of divvying up research. They focus on qualitative and quantitative information and are patient as long as investment theses remain intact. Purchases are made into companies that possess one or more of the following three attributes: good business, have shareholder-orientated management, and a low purchase price.

Yacktman Asset Management's Portfolio

Yacktman Asset Management Current Holdings

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Ticker
Company
Shares
Value ($1000)
Shares Change %
Weighting %
Trade Impact %
% of Shares outstanding
3M Change %
YTD Change %
Market Cap $Mil
Industry
K
Kellanova Co
2,131,403
122,108.08
New Holding
1.10
+1.10%
0.62
+11.36%
+8.42%
20,509.60
Consumer Packaged Goods
DAR
Darling Ingredients Inc
1,882,183
87,540.33
New Holding
0.79
+0.79%
1.18
+2.58%
-13.54%
6,904.07
Consumer Packaged Goods
TDY
Teledyne Technologies Inc
16,500
7,083.78
New Holding
0.06
+0.06%
0.03
-10.14%
-12.61%
18,481.49
Hardware
AON
Aon PLC
11,670
3,894.51
New Holding
0.04
+0.04%
0.01
-4.93%
-1.53%
61,930.80
Insurance
V
Visa Inc
732
204.29
New Holding
0
0%
0
-1.82%
+4.37%
555,760.77
Credit Services
HSY
The Hershey Co
21,950
4,269.28
+115.20%
0.04
+0.02%
0.01
+1.22%
+5.75%
39,707.71
Consumer Packaged Goods
EAF
GrafTech International Ltd
14,654,465
20,223.16
+22.92%
0.18
+0.03%
5.70
+33.82%
-16.89%
471.90
Industrial Products
KVUE
Kenvue Inc
6,265,316
134,453.68
+15.82%
1.21
+0.17%
0.33
-6.79%
-10.82%
36,397.47
Consumer Packaged Goods
LEGH
Legacy Housing Corp
160,000
3,443.20
+6.67%
0.03
0%
0.66
-14.31%
-15.09%
522.56
Homebuilding & Construction
EMBC
Embecta Corp
2,816,428
37,374.00
+5.44%
0.34
+0.02%
4.89
-40.60%
-45.40%
590.18
Medical Devices & Instruments
UL
Unilever PLC
299,630
15,038.43
+3.09%
0.14
0%
0.01
+5.23%
+8.25%
130,226.53
Consumer Packaged Goods
CRMT
America's Car-Mart Inc
35,000
2,235.45
+2.94%
0.02
0%
0.55
-0.76%
-20.25%
386.08
Vehicles & Parts
TSN
Tyson Foods Inc
3,088,118
181,365.17
+2.17%
1.63
+0.03%
0.86
+4.34%
+7.53%
20,376.29
Consumer Packaged Goods
DVN
Devon Energy Corp
3,321,902
166,693.04
+2.11%
1.50
+0.03%
0.53
+25.11%
+13.46%
32,159.32
Oil & Gas
FOX
Fox Corp
8,732,038
249,910.92
+1.57%
2.25
+0.03%
1.84
+2.64%
+8.91%
14,783.52
Media - Diversified
EBAY
eBay Inc
2,951,932
155,802.97
+1.00%
1.40
+0.01%
0.58
+16.70%
+14.13%
25,071.48
Retail - Cyclical
OLN
Olin Corp
4,293,188
252,439.45
+0.74%
2.27
+0.02%
3.60
+7.97%
+1.33%
6,508.45
Chemicals
CNQ
Canadian Natural Resources Ltd
15,037,911
1,147,693.37
+0.72%
10.32
+0.07%
1.40
+26.16%
+17.40%
81,168.88
Oil & Gas
WBD
Warner Bros. Discovery Inc
8,051,804
70,292.25
+0.70%
0.63
0%
0.33
-20.85%
-29.96%
19,601.04
Media - Diversified
GLW
Corning Inc
1,185,500
39,074.08
0%
0.35
0%
0.14
+4.35%
+9.80%
28,521.14
Hardware
100/Page
Total 75

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