Universe · entity

BRANDES INVESTMENT PARTNERS, LP

Institutional manager (13F) · CIK 1015079
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $9.7B
#IssuerValueShares
1CAE INC$414M15,874,667
2EMBRAER S.A.$338M5,703,945
3AMDOCS LTD$304M4,655,087
4GRIFOLS S A$291M36,333,714
5CITIGROUP INC$277M2,444,489
6MERCK & CO INC$277M2,302,562
7OPEN TEXT CORP$270M12,135,998
8THE CIGNA GROUP$269M1,008,869
9MOHAWK INDS INC$258M2,618,422
10SHELL PLC$256M2,752,755
11PFIZER INC$256M9,107,225
12FEDEX CORP$252M706,467
13TEXTRON INC$249M2,840,753
14NICE LTD$246M2,229,590
15HALLIBURTON CO$245M6,291,344
16MILLICOM INTL CELLULAR S A$244M3,261,016
17BECTON DICKINSON & CO$238M1,515,604
18BANK AMERICA CORP$223M4,566,877
19WELLS FARGO & CO$219M2,754,893
20WESTLAKE CORPORATION$215M1,842,650
21KENNAMETAL INC$190M5,265,280
22COGNIZANT TECHNOLOGY SOLUTIO$187M3,042,840
23COMCAST CORP NEW$185M6,429,738
24HEXCEL CORP NEW$181M2,234,325
25EPAM SYS INC$179M1,325,054
26SANOFI SA$179M3,723,100
27PROGRESSIVE CORP$172M868,688
28ARCH CAP GROUP LTD$170M1,772,372
29PNC FINL SVCS GROUP INC$169M814,000
30UNITEDHEALTH GROUP INC$168M621,884
31HCA HEALTHCARE INC$162M343,224
32INNOVEX INTERNATIONAL INC$161M6,583,415
33ICON PLC$159M1,435,053
34GLOBANT S A$158M3,424,400
35GALLAGHER ARTHUR J & CO$152M701,260
36MCKESSON CORP$149M172,487
37ARLO TECHNOLOGIES INC$145M10,218,854
38EDGEWELL PERSONAL CARE CO$143M6,721,077
39CVS HEALTH CORP$141M1,969,801
40EQUIFAX INC$135M747,201
41MICRON TECHNOLOGY INC$132M391,792
42EMERSON ELEC CO$125M953,506
43INGLES MKTS INC$113M1,252,284
44NATIONAL GRID PLC$111M1,312,011
45FISERV INC$108M1,927,031
46SLB LIMITED$105M2,042,013
47CEMEX SA EURO MTN BE 144A$104M9,098,991
48ALPHABET INC$102M353,899
49CHEVRON CORPORATION$100M483,160
50WORLD KINECT CORPORATION$99M4,289,840
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.