Sarah Ketterer

Sarah Ketterer

13F
CAUSEWAY CAPITAL MANAGEMENT LLC
Last update 2025-02-13 107 Stocks (22 new)
Value $4.39 Bil Turnover 27 %
Countries:

Sarah Ketterer Profile

Sarah Ketterer is the chief executive officer at Causeway, fundamental portfolio manager, and is responsible for investment research across all sectors. She co-founded the firm in June 2001 and is a member of the operating committee.
From 1996 to 2001, Ketterer worked for the Hotchkis & Wiley division of Merrill Lynch Investment Managers (HW-MLIM). At HW-MLIM, she was a managing director and co-head of the firm’s HW-MLIM International and Global Value team. From 1990 to 1996, Ketterer was a portfolio manager at Hotchkis & Wiley, where she founded the International Equity product.
Ketterer earned a BA in economics and political science from Stanford University and an MBA from the Tuck School, Dartmouth College. She is currently a member of the Stanford University Board of Trustees, a board member of the Los Angeles World Affairs Council and Town Hall, chair of the investment committee for the Music Center Foundation, and serves on the Girls Who Invest President’s Council.

Sarah Ketterer Investing Philosophy

Sarah Ketterer focuses on global equities: International , global, and emerging market. She and her team begin with a screen of both large and mid-sized companies in the developed international markets. Their screens are applied to approximately 3,400 companies and use quantitative and value-oriented methods to find prospective stocks that meet their criteria for further analysis. Each stock also receives a "risk score" based on the additional volatility/risk it adds to the portfolio. Their final portfolio is built from those stocks with the highest expected risk-adjusted return. It will typically have 60-80 stocks that have a lower price/earnings ratio and higher dividend yield than the market.
Sarah Ketterer Top Holdings of 2024-12-31 View Full List
Ticker
Company
Shares
Value ($1000)
Shares Change %
Weighting %
Trade Impact %
% of Shares outstanding
3M Change %
YTD Change %
Market Cap $Mil
Industry
CP
Canadian Pacific Kansas City Ltd
15,429,804
1,116,631.6
+76.50%
25.430
+11.02%
1.650
-8.99%
+0.34%
67,594.1
Transportation
CHKP
Check Point Software Technologies Ltd
1,929,604
360,257.1
+33.83%
8.200
+2.07%
1.750
+6.21%
+10.63%
22,383.5
Software
GOLD
Barrick Gold Corp
11,112,293
172,225.1
New Holding
3.920
+3.92%
0.640
+18.77%
+23.60%
32,733.9
Metals & Mining
SW
Smurfit WestRock PLC
2,662,964
143,427.2
-36.56%
3.270
-1.86%
0.510
-24.02%
-20.97%
22,043.1
Packaging & Containers
GOOG
Alphabet Inc
595,557
113,418.0
+6.21%
2.580
+0.15%
0.000
-18.75%
-13.86%
1,978,969.7
Interactive Media
TSM
Taiwan Semiconductor Manufacturing Co Ltd
529,064
104,484.9
+0.04%
2.380
0%
0.010
-25.30%
-16.08%
856,299.4
Semiconductors
DIS
The Walt Disney Co
841,942
93,750.2
-23.96%
2.130
-0.63%
0.050
-19.51%
-18.92%
163,207.2
Media - Diversified
C
Citigroup Inc
1,234,875
86,922.9
-3.99%
1.980
-0.08%
0.070
-15.43%
-2.11%
127,806.7
Banks
ZBH
Zimmer Biomet Holdings Inc
769,932
81,327.9
-3.07%
1.850
-0.06%
0.390
-8.20%
-3.69%
20,082.9
Medical Devices & Instruments
BABA
Alibaba Group Holding Ltd
951,168
80,649.5
+7.20%
1.840
+0.12%
0.040
+34.93%
+41.86%
284,448.4
Retail - Cyclical

Sarah Ketterer's Historical Top Holdings Breakdowns

Sarah Ketterer's Top Stock Picks View Full List
Ticker
Company
Date
Action
Impact %
Price Range
Price
Price Change from Avrg%
Comment
Current Shares
Share Change
CP
Canadian Pacific Kansas City Ltd2024-12-31Add
+11.02%
â—Ź
71.1 ($76.93) 83.46
$72.48
-5.78%
Add 76.5%
15,429,804
6,687,770
GOLD
Barrick Gold Corp2024-12-31New Buy
+3.92%
â—Ź
15.23 ($18.15) 21.19
$19.05
4.96%
New holding
11,112,293
11,112,293
EFA
iShares MSCI EAFE ETF2024-12-31Reduce
-2.56%
â—Ź
75.1 ($79.14) 82.84
$84.12
6.29%
Reduce -95.92%
53,024
-1,246,009
CHKP
Check Point Software Technologies Ltd2024-12-31Add
+2.07%
â—Ź
170.18 ($188.33) 209.01
$206.55
9.67%
Add 33.83%
1,929,604
487,823
SW
Smurfit WestRock PLC2024-12-31Reduce
-1.86%
â—Ź
43.42 ($50.97) 56.64
$42.23
-17.15%
Reduce -36.56%
2,662,964
-1,534,615
MRK
Merck & Co Inc2024-12-31New Buy
+1.32%
â—Ź
96.31 ($102.91) 112.08
$82.74
-19.60%
New holding
584,473
584,473
FI
Fiserv Inc2024-12-31Sold Out
-1.29%
â—Ź
182.45 ($204.51) 222.45
$177.53
-13.19%
Sold Out
0
-292,231
BA
Boeing Co2024-12-31Add
+1.07%
â—Ź
138.14 ($156.98) 180.72
$177.95
13.36%
Add 705.68%
302,750
265,173
PDD
PDD Holdings Inc2024-12-31Reduce
-1.07%
â—Ź
94.39 ($115.88) 154.27
$104.01
-10.24%
Reduce -41.95%
446,272
-322,505
BIIB
Biogen Inc2024-12-31New Buy
+0.98%
â—Ź
146.47 ($168.32) 191.56
$118.84
-29.40%
New holding
281,702
281,702

Sarah Ketterer Total Holding History ($B)

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Sarah Ketterer's Asset Allocation

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Sarah Ketterer Past Portfolios

Portfolio Date Number of Stocks New Stocks Total Value ($Mil) Q/Q Turnover

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Sarah Ketterer's Hypothetical Growth since 2024-12-31

Sarah Ketterer's Yearly Returns

Year Portfolio % % Excess Gain %

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