Donald Smith & Co.'s Portfolio

Donald Smith & Co. 13F holdings

What is Donald Smith & Co.'s portfolio?

Donald Smith & Co. has disclosed a total of 61 security holdings in their (2024 Q1) SEC 13F filing(s) with portfolio value of $4,301,417,535.

What stocks does Donald Smith & Co. own?

In Donald Smith & Co.'s portfolio as of 31 Mar 2024, the top 5 holdings are (AER) AERCAP HOLDINGS NV (8.24%), (MHO) M/I HOMES INC (4.73%), (UNM) UNUM GROUP (4.57%), (EGO) ELDORADO GOLD CORP (4.56%) and (X) UNITED STATES STEEL CORP (4.17%).

To see the historical data of Donald Smith & Co.'s portfolio holdings please click on the "2024 Q1" dropdown menu and select the date.

To see Donald Smith & Co.'s original 13F reports (2024 Q1), please click on the "important" button.

Portfolio value: $4,301M+
Period: 2024 Q1
Number of stock: 61
Update: 10 May 2024
CRBG
2.07%
3,098,261
$28.73
6.96% $30.73
$89,013,039
buy
+2.07%
RDN
2.45%
3,151,005
$33.47
8.37% $30.67
$105,464,137
-21.47% (-861,329)
-0.67%
JXN
3.65%
2,376,476
$66.14
15.83% $76.61
$157,180,123
+20.07% (+397,287)
+0.61%
GLNG
2.01%
3,586,994
$24.06
12.93% $27.17
$86,303,076
+32.03% (+870,233)
+0.49%
GNW
3.62%
24,244,607
$6.43
1.24% $6.51
$155,892,823
+14.50% (+3,069,355)
+0.46%
GSL
1.20%
2,533,701
$20.30
33.55% $27.11
$51,434,130
+61.98% (+969,536)
+0.46%
HHH
2.19%
1,296,021
$72.62
7.31% $67.31
$94,117,045
+26.65% (+272,742)
+0.46%
JEF
2.93%
2,856,568
$44.10
6.73% $47.07
$125,974,649
-12.70% (-415,676)
-0.43%
AIG
1.82%
1,002,280
$78.17
0.79% $78.79
$78,348,253
-18.35% (-225,303)
-0.41%
CIVI
3.55%
2,013,455
$75.91
1.21% $74.99
$152,841,369
+13.13% (+233,651)
+0.41%
EGO
4.56%
13,948,916
$14.07
17.13% $16.48
$196,261,248
+9.76% (+1,240,732)
+0.41%
MOS
0.85%
1,128,034
$32.46
5.18% $30.78
$36,615,984
+88.73% (+530,325)
+0.40%
TMHC
3.50%
2,423,421
$62.17
3.68% $59.88
$150,664,084
-9.45% (-252,969)
-0.37%
CLCO
0.83%
3,214,826
$11.12
12.41% $12.50
$35,748,865
+58.59% (+1,187,651)
+0.31%
ALGT
0.54%
309,781
$75.21
33.04% $50.36
$23,298,629
+106.67% (+159,892)
+0.28%
BZH
2.24%
2,943,211
$32.80
10.21% $29.45
$96,537,321
+13.79% (+356,569)
+0.27%
SPNT
1.96%
6,634,051
$12.71
0.31% $12.75
$84,318,788
+15.69% (+899,666)
+0.27%
MHO
4.73%
1,491,669
$136.29
4.01% $130.83
$203,299,568
-4.44% (-69,351)
-0.22%
INSW
1.82%
1,469,493
$53.20
20.36% $64.03
$78,177,028
-8.94% (-144,310)
-0.18%
KGC
1.62%
11,371,505
$6.13
33.12% $8.16
$69,707,326
-9.65% (-1,215,213)
-0.17%
20 of 61

Completely sold out

TGH
1,954,585
-2.24%
CPLP
1,481,914
-0.49%
CLS
1,271,050
-0.87%

Shares, change to shares, sold shares - split-adjusted.

Reported price - this doesn't represent the actual buy or sell price.
It is the split-adjusted price of the security as of the last day of the reported period.