Universe · entity

Boston Partners

Institutional manager (13F) · CIK 1386060
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $42.5B
#IssuerValueShares
1JPMORGAN CHASE & CO$2.1B7,053,020
2US FOODS HLDG CORP$1.5B16,394,437
3CENCORA INC$1.4B4,482,817
4MARATHON PETE CORP$1.4B5,649,204
5LPL FINL HLDGS INC$1.2B4,131,498
6DIAMONDBACK ENERGY INC$1.1B5,766,947
7AMAZON COM INC$1.1B5,449,163
8KINROSS GOLD CORP$1.1B34,849,647
9MCKESSON CORP$1.0B1,155,049
10MICROCHIP TECHNOLOGY INC.$953M14,747,536
11PHILIP MORRIS INTL INC$953M5,780,564
12MICRON TECHNOLOGY INC$951M2,802,923
13CRH PLC$946M9,003,965
14APPLIED MATLS INC$934M2,728,418
15FIRSTENERGY CORP$893M17,612,110
16CONOCOPHILLIPS$893M6,766,816
17META PLATFORMS INC$856M1,495,356
18FLEXTRONICS INTL LTD$852M12,993,140
19WELLS FARGO & CO$835M10,481,896
20DISNEY WALT CO$816M8,462,668
21KEYSIGHT TECHNOLOGIES INC$794M2,809,554
22QUEST DIAGNOSTICS INC$787M4,012,232
23HUNTINGTON BANCSHARES INC$785M50,150,636
24L3HARRIS TECHNOLOGIES INC$783M2,265,202
25OLD DOMINION FREIGHT LINE IN$780M3,991,336
26GOLDMAN SACHS GROUP INC$773M913,460
27SYSCO CORP$755M10,583,534
28ABBVIE INC$746M3,434,210
29UBER TECHNOLOGIES INC$738M10,262,100
30MORGAN STANLEY$729M4,429,180
31TENET HEALTHCARE CORP$724M3,834,961
32IQVIA HLDGS INC$723M4,238,958
33HONEYWELL INTL INC$719M3,177,157
34CORPAY INC$705M2,420,777
35FEDEX CORP$704M1,974,981
36SLB LIMITED$689M13,427,431
37ENTERGY CORP NEW$689M6,122,901
38UNITED RENTALS INC$667M914,980
39ALLEGION PLC$646M4,447,284
40RELIANCE INC$642M2,110,934
41LABCORP HOLDINGS INC$632M2,368,796
42AON PLC$631M1,955,032
43DELL TECHNOLOGIES INC$624M3,791,762
44AMERICAN EXPRESS CO$622M2,056,161
45NXP SEMICONDUCTORS N V$618M3,140,833
46MARVELL TECHNOLOGY INC$613M6,165,682
47GILEAD SCIENCES INC$593M4,255,122
48BOOKING HOLDINGS INC$575M277,977
49CUMMINS INC$574M1,064,945
50TECHNIPFMC PLC$573M8,283,352
All filings on EDGAR ↗

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