Brandes Investment Partners, L.P. 13F annual report

Brandes Investment Partners, L.P. is an investment fund managing more than $8.12 trillion ran by Roberta Loubier. There are currently 185 companies in Mrs. Loubier’s portfolio. The largest investments include Embraer S.A and Wells Fargo Co New, together worth $551 billion.

$8.12 trillion Assets Under Management (AUM)

As of 12th August 2024, Brandes Investment Partners, L.P.’s top holding is 12,268,752 shares of Embraer S.A currently worth over $319 billion and making up 3.9% of the portfolio value. Relative to the number of outstanding shares of Embraer S.A, Brandes Investment Partners, L.P. owns less than approximately 0.1% of the company. In addition, the fund holds 3,903,281 shares of Wells Fargo Co New worth $231 billion. The third-largest holding is Bank America Corp worth $218 billion and the next is Cae worth $206 billion, with 11,071,485 shares owned.

Currently, Brandes Investment Partners, L.P.'s portfolio is worth at least $8.12 trillion. The total portfolio value may be much higher due to cash assets that are not publicly disclosed such as fixed income, real estate, or cash equivalents.

Careers at Brandes Investment Partners, L.P.

The Brandes Investment Partners, L.P. office and employees reside in La Jolla, California. According to the last 13-F report filed with the SEC, Roberta Loubier serves as the Global Head of Compliance at Brandes Investment Partners, L.P..

Recent trades

In the most recent 13F filing, Brandes Investment Partners, L.P. revealed that it had opened a new position in Labcorp and bought 494,068 shares worth $101 billion. This means they effectively own approximately 0.1% of the company. Labcorp makes up 6.5% of the fund's Health Care sector allocation and has decreased its share price by approximately 0.1% in the past year.

The investment fund also strengthened its position in Bank America Corp by buying 427,474 additional shares. This makes their stake in Bank America Corp total 5,485,023 shares worth $218 billion.

On the other hand, there are companies that Brandes Investment Partners, L.P. is getting rid of from its portfolio. Brandes Investment Partners, L.P. closed its position in Laboratory Corp Amer Hldgs on 19th August 2024. It sold the previously owned 394,156 shares for $86.1 billion. Roberta Loubier also disclosed a decreased stake in Embraer S.A by 0.2%. This leaves the value of the investment at $319 billion and 12,268,752 shares.

One of the largest hedge funds

The two most similar investment funds to Brandes Investment Partners, L.P. are Strategic Investment Solutions, il and Burgundy Asset Management. They manage $8.11 trillion and $8.15 trillion respectively.


Roberta Loubier investment strategy

Brandes Investment Partners, L.P.’s portfolio is diversified across 11 sectors. Currently, their heaviest sector is Health Care — making up 19.1% of the total portfolio value. The fund focuses on investments in the United States as 40.0% of the portfolio companies are based in the United States.

The majority of the companies in the fund’s portfolio are large-cap stocks. Stocks with a size of more than $10 billion in market cap make up 32% of the total holdings value. On the other hand, small-cap stocks make up only 1.1% of the portfolio. The average market cap of the portfolio companies is close to $56.1 billion.

The complete list of Brandes Investment Partners, L.P. trades based on 13F SEC filings

These positions were updated on August 19th based on the fund’s latest 13F filing. Quickly find out what the most recently closed or increased positions are.

Security Shares Owned Value Allocation
Embraer S.A.
21.75%
12,268,752
$319,290,152,000 3.93%
Wells Fargo Co New
12.31%
3,903,281
$231,307,810,000 2.85%
Bank America Corp
8.45%
5,485,023
$217,948,566,000 2.68%
Cae Inc.
103.85%
11,071,485
$206,026,840,000 2.54%
Citigroup Inc
8.23%
3,068,543
$194,344,912,000 2.39%
Comcast Corp New
16.56%
4,931,630
$192,819,131,000 2.37%
Fiserv, Inc.
10.29%
1,213,309
$180,835,007,000 2.23%
Fedex Corp
9.66%
596,814
$178,759,556,000 2.20%
Amdocs Ltd
31.10%
2,260,811
$178,334,730,000 2.20%
Cigna Group (The)
8.95%
510,970
$169,036,801,000 2.08%
Merck & Co Inc
10.32%
1,359,766
$168,877,232,000 2.08%
Mckesson Corporation
2.42%
284,470
$166,306,806,000 2.05%
Willis Towers Watson Plc Ltd
10.42%
598,631
$157,022,220,000 1.93%
Pfizer Inc.
10.22%
5,573,282
$155,871,236,000 1.92%
Corteva Inc
10.20%
2,868,735
$154,690,931,000 1.90%
Chevron Corp.
13.96%
988,673
$154,644,568,000 1.90%
Cognizant Technology Solutio
56.13%
2,191,388
$148,975,039,000 1.83%
Halliburton Co.
15.07%
4,279,478
$144,516,111,000 1.78%
Pnc Finl Svcs Group Inc
9.99%
901,415
$139,954,233,000 1.72%
Textron Inc.
20.05%
1,549,551
$133,096,024,000 1.64%
Cardinal Health, Inc.
10.14%
1,315,316
$129,439,390,000 1.59%
Bank New York Mellon Corp
8.44%
2,071,865
$124,032,817,000 1.53%
Micron Technology Inc.
24.13%
901,550
$118,626,086,000 1.46%
American Intl Group Inc
8.30%
1,594,563
$118,450,417,000 1.46%
HCA Healthcare Inc
6.93%
366,591
$118,337,873,000 1.46%
Grifols S A
8.66%
18,596,790
$117,242,164,000 1.44%
Mohawk Inds Inc
10.46%
1,015,640
$115,056,817,000 1.42%
Millicom Intl Cellular S A
1.26%
4,509,438
$110,642,699,000 1.36%
Emerson Elec Co
9.36%
953,477
$104,917,312,000 1.29%
Shell Plc
0.67%
1,447,449
$104,271,435,000 1.28%
Sanofi
8.44%
2,122,748
$102,706,170,000 1.26%
Labcorp Holdings Inc.
Opened
494,068
$100,609,013,000 1.24%
CVS Health Corp
8.32%
1,653,045
$97,553,047,000 1.20%
OneMain Holdings Inc
8.87%
1,912,031
$92,650,775,000 1.14%
Alphabet Inc
10.49%
884,875
$161,957,764,000 1.99%
Laboratory Corp Amer Hldgs
Closed
394,156
$86,107,444,000
Cemex Sab De Cv
6.30%
12,967,695
$82,782,768,000 1.02%
State Str Corp
9.56%
1,069,556
$79,069,305,000 0.97%
World Kinect Corporation
10.58%
2,972,932
$76,714,067,000 0.94%
Taiwan Semiconductor Mfg Ltd
2.27%
439,899
$76,055,080,000 0.94%
Dril-Quip, Inc.
29.58%
3,732,716
$69,408,392,000 0.85%
Arlo Technologies Inc
1.05%
5,140,826
$66,991,123,000 0.82%
Edgewell Pers Care Co
19.75%
1,529,647
$61,545,092,000 0.76%
Flex Ltd
8.30%
2,055,170
$60,592,296,000 0.75%
Netgear Inc
6.77%
3,896,492
$59,246,018,000 0.73%
JPMorgan Chase & Co.
18.27%
291,837
$58,974,657,000 0.73%
Omnicom Group, Inc.
20.57%
651,790
$58,437,853,000 0.72%
Fortrea Hldgs Inc
27.07%
2,438,159
$56,844,948,000 0.70%
Open Text Corp
236.78%
1,834,835
$55,059,046,000 0.68%
Berkley W R Corp
18.64%
699,387
$54,996,880,000 0.68%
Kennametal Inc.
35.13%
2,332,993
$54,798,002,000 0.67%
Alibaba Group Hldg Ltd
4.75%
711,054
$51,341,276,000 0.63%
UBS Group AG
7.19%
1,734,460
$51,158,615,000 0.63%
Autozone Inc.
18.33%
17,174
$50,896,591,000 0.63%
Zto Express Cayman Inc
0.73%
2,432,865
$50,486,492,000 0.62%
Sap SE
8.93%
249,857
$50,264,715,000 0.62%
Ingredion Inc
21.30%
431,339
$49,477,205,000 0.61%
Moog Inc.
3.56%
296,162
$49,425,788,000 0.61%
Arch Cap Group Ltd
Opened
476,907
$48,118,739,000 0.59%
Johnson & Johnson
17.06%
324,566
$47,431,242,000 0.58%
SS&C Technologies Holdings Inc
37.01%
748,324
$46,881,063,000 0.58%
GSK Plc
5.63%
1,145,512
$44,190,870,000 0.54%
Copa Holdings Sa
0.25%
456,726
$43,468,779,000 0.54%
Elanco Animal Health Inc
1.27%
2,945,967
$42,445,355,000 0.52%
Fox Corporation
21.55%
1,273,492
$40,757,893,000 0.50%
Phibro Animal Health Corp.
1.22%
2,405,629
$40,520,775,000 0.50%
Johnson Ctls Intl Plc
0.50%
587,528
$39,072,354,000 0.48%
TotalEnergies SE
1.62%
533,409
$35,539,620,000 0.44%
Takeda Pharmaceutical Co
9.22%
2,635,027
$34,047,636,000 0.42%
Smith & Nephew plc
20.47%
1,373,051
$34,001,635,000 0.42%
Gates Indl Corp Plc
19.40%
2,054,854
$32,481,886,000 0.40%
Ambev Sa
23.91%
15,456,266
$32,023,614,000 0.39%
Entergy Corp.
Opened
299,260
$32,016,984,000 0.39%
Qorvo Inc
19.02%
269,776
$31,254,903,000 0.38%
Petroleo Brasileiro Sa Petro
1.03%
2,274,624
$31,073,550,000 0.38%
Koninklijke Philips N.V.
12.17%
1,212,374
$30,870,270,000 0.38%
Graham Corp.
10.77%
1,076,746
$30,277,924,000 0.37%
Knight-swift Transn Hldgs In
Opened
606,855
$30,251,353,000 0.37%
WPP Plc.
7.00%
652,269
$30,231,854,000 0.37%
Kenvue Inc
3,620.88%
1,615,904
$29,407,218,000 0.36%
Park Aerospace Corp
11.96%
2,150,573
$29,256,269,000 0.36%
Berkshire Hathaway Inc.
24.75%
70,971
$29,488,050,000 0.36%
Truist Finl Corp
19.84%
727,013
$28,201,723,000 0.35%
Cisco Sys Inc
22.47%
559,483
$26,579,295,000 0.33%
Orion Group Holdings Inc
8.52%
2,753,099
$26,244,442,000 0.32%
Avadel Pharmaceuticals plc
Closed
1,462,225
$24,696,981,000
Novartis AG
4.81%
224,224
$23,882,132,000 0.29%
Hanesbrands Inc
3.94%
4,834,202
$23,761,419,000 0.29%
Ishares Tr
Opened
315,799
$21,300,643,000 0.26%
Avadel Pharmaceuticals plc
Opened
1,483,439
$20,894,456,000 0.26%
America Movil Sab De Cv
2.80%
1,213,424
$20,478,615,000 0.25%
Telefonica Brasil Sa
14.27%
2,206,334
$18,260,619,000 0.22%
Shinhan Financial Group Co L
0.28%
522,440
$18,038,367,000 0.22%
Eni S P A
3.70%
574,918
$17,638,592,000 0.22%
Orange.
2.81%
1,757,008
$17,522,333,000 0.22%
Honda Motor
3.26%
521,158
$16,766,112,000 0.21%
Barclays plc
21.11%
1,487,771
$15,908,027,000 0.20%
Foster L B Co
4.57%
732,582
$15,754,203,000 0.19%
General Dynamics Corp.
7.24%
50,728
$14,732,729,000 0.18%
Mitsubishi Ufj Finl Group In
27.24%
1,339,322
$14,150,280,000 0.17%
Healthcare Svcs Group Inc
12.17%
1,318,045
$13,982,898,000 0.17%
Spirit Aerosystems Holdings Inc
Closed
376,218
$13,570,183,000
Ingles Mkts Inc
111.00%
196,753
$13,479,887,000 0.17%
Equity Comwlth
9.20%
670,692
$13,004,414,000 0.16%
Taro Pharmaceutical Inds Ltd
Closed
283,917
$12,021,045,000
BP plc
4.20%
329,425
$11,868,948,000 0.15%
China Yuchai Intl Ltd
4.18%
1,293,521
$11,771,077,000 0.14%
Prestige Consmr Healthcare I
9.00%
165,293
$11,446,764,000 0.14%
NatWest Group plc
3.62%
1,292,857
$10,439,417,000 0.13%
Enel Chile S.A.
5.40%
3,639,316
$10,170,275,000 0.13%
Sealed Air Corp.
2,050.75%
274,264
$9,576,575,000 0.12%
CRH Plc
3.61%
121,345
$9,066,779,000 0.11%
Utah Med Prods Inc
66.23%
116,524
$7,788,677,000 0.10%
Cnh Indl N V
Opened
698,076
$7,072,023,000 0.09%
Premier Inc
86.31%
349,098
$6,497,102,000 0.08%
National Presto Inds Inc
6.11%
85,753
$6,396,330,000 0.08%
United Therapeutics Corp
4.88%
19,916
$6,332,036,000 0.08%
American Outdoor Brands, Inc.
70.82%
697,603
$6,177,618,000 0.08%
Pediatrix Medical Group Inc
12.83%
735,068
$5,437,500,000 0.07%
Scotts Miracle-Gro Company
5.98%
80,977
$5,348,115,000 0.07%
Interpublic Group Cos Inc
94.45%
178,724
$5,199,433,000 0.06%
Hurco Co
10.16%
327,386
$5,028,735,000 0.06%
Crawford & Company
35.63%
560,463
$4,713,510,000 0.06%
International Flavors&fragra
2.87%
47,265
$4,501,803,000 0.06%
SolarWinds Corp
12.28%
371,636
$4,424,290,000 0.05%
Organon & Co
5.71%
204,722
$4,236,018,000 0.05%
Flowserve Corp.
8.59%
83,435
$3,995,978,000 0.05%
Spire Inc.
63.17%
64,058
$3,857,984,000 0.05%
National Bankshares Inc Va
14.44%
135,937
$3,838,838,000 0.05%
Unifirst Corp Mass
17.82%
21,616
$3,706,471,000 0.05%
National Westn Life Group In
19.55%
7,204
$3,580,867,000 0.04%
Chesapeake Energy Corp.
76.90%
43,434
$3,572,032,000 0.04%
HDFC Bank Ltd.
11.38%
54,527
$3,520,004,000 0.04%
Molson Coors Beverage Company
20.45%
67,860
$3,448,402,000 0.04%
Mercury Genl Corp New
43.50%
65,389
$3,441,534,000 0.04%
Avista Corp.
11.62%
77,344
$2,661,816,000 0.03%
Arrow Electrs Inc
4.49%
21,982
$2,653,993,000 0.03%
Resources Connection Inc
Opened
234,788
$2,590,176,000 0.03%
Credicorp Ltd
8.23%
16,027
$2,571,540,000 0.03%
Northwest Nat Hldg Co
1,040.12%
68,977
$2,466,975,000 0.03%
Ribbon Communications Inc
19.10%
753,003
$2,378,324,000 0.03%
F5 Inc
13.50%
13,681
$2,355,241,000 0.03%
Hsbc Hldgs Plc
5.45%
52,408
$2,284,828,000 0.03%
Eagle Bancorp Mont Inc
14.32%
171,174
$2,254,255,000 0.03%
NetEase Inc
1.20%
20,880
$1,999,642,000 0.02%
Lensar Inc
12.77%
373,198
$1,644,369,000 0.02%
IPG Photonics Corp
163.17%
16,519
$1,392,415,000 0.02%
Rogers Communications Inc.
45.13%
37,273
$1,378,356,000 0.02%
Sendas Distribuidora S A
10.47%
143,990
$1,368,862,000 0.02%
DENTSPLY Sirona Inc
102.67%
46,638
$1,165,768,000 0.01%
Quest Diagnostics, Inc.
38.82%
8,297
$1,135,693,000 0.01%
Suzano S.A.
9.69%
107,876
$1,114,504,000 0.01%
Citizens Finl Group Inc
35.83%
30,623
$1,103,347,000 0.01%
Fomento Economico Mexicano S
Opened
10,041
$1,080,306,000 0.01%
Sensient Technologies Corp.
34.37%
14,536
$1,078,426,000 0.01%
Tim S.A.
59.25%
63,834
$925,046,000 0.01%
Sei Invts Co
34.60%
13,810
$893,369,000 0.01%
British Amern Tob Plc
0.78%
26,803
$847,988,000 0.01%
Levi Strauss & Co.
1.77%
42,745
$824,124,000 0.01%
Anheuser-Busch InBev SA/NV
95.14%
13,466
$794,774,000 0.01%
Verint Sys Inc
33.62%
24,440
$786,968,000 0.01%
Whirlpool Corp.
110.08%
7,233
$739,213,000 0.01%
Skechers U S A, Inc.
28.60%
10,488
$726,122,000 0.01%
Old Rep Intl Corp
97.64%
23,329
$720,856,000 0.01%
FirstCash Holdings Inc
Closed
5,401
$688,844,000
Sotera Health Co
301.29%
56,429
$669,812,000 0.01%
Gildan Activewear Inc
19.53%
17,335
$657,343,000 0.01%
Sprouts Fmrs Mkt Inc
Closed
9,677
$623,973,000
Avnet, Inc.
31.24%
12,098
$622,926,000 0.01%
White Mtns Ins Group Ltd
32.94%
339
$616,116,000 0.01%
Kelly Svcs Inc
36.19%
28,512
$610,442,000 0.01%
TransUnion
32.39%
8,110
$601,438,000 0.01%
Cna Finl Corp
38.82%
12,795
$589,466,000 0.01%
Lancaster Colony Corp.
38.78%
3,099
$585,618,000 0.01%
Campbell Soup Co.
38.82%
12,695
$573,687,000 0.01%
Gran Tierra Energy Inc
No change
54,640
$528,369,000 0.01%
Weis Mkts Inc
38.81%
7,997
$501,972,000 0.01%
Sonoco Prods Co
35.93%
9,836
$498,882,000 0.01%
Zimmer Biomet Holdings Inc
38.82%
4,499
$488,276,000 0.01%
Henry Schein Inc.
34.98%
7,332
$469,981,000 0.01%
Cal-Maine Foods, Inc.
Closed
7,561
$444,965,000
Msc Indl Direct Inc
Closed
4,376
$424,647,000
Seaboard Corp.
30.77%
119
$376,128,000 0.00%
Science Applications Intl Co
26.69%
3,047
$358,175,000 0.00%
Vanguard Intl Equity Index F
Opened
7,049
$307,689,000 0.00%
Vanguard Index Fds
59.57%
1,605
$291,309,000 0.00%
Scholastic Corp.
13.28%
7,997
$283,654,000 0.00%
Coca-cola Femsa Sab De Cv
6.79%
3,073
$260,993,000 0.00%
Landstar Sys Inc
Opened
1,401
$258,456,000 0.00%
Heartland Express, Inc.
33.30%
19,245
$237,291,000 0.00%
Unilever plc
98.95%
4,296
$237,054,000 0.00%
Sysco Corp.
2.45%
3,181
$227,092,000 0.00%
Manulife Finl Corp
Closed
8,417
$210,341,000
Bausch Plus Lomb Corp
77.43%
14,119
$205,008,000 0.00%
No transactions found
Showing first 500 out of 194 holdings