Jim Cullen Holdings Activity

Cullen Value Fund Portfolio 13F

Cullen Value Fund has disclosed a total of 19 changes to the portfolio in the latest (2023 Q4) SEC report(s): increased the number of shares of 3, bought 3 totally new, decreased the number of shares of 10 and completely sold out 3 position(s).

What stocks is Jim Cullen buying now?

In the recent quarter Jim Cullen has bought 6 securities out of which top 5 purchases (by % change to portfolio) are (MBGYY) MERCEDES-BENZ GROUP-UNSP ADR (new buy), (XLI) INDUSTRIAL SELECT SECT SPDR (new buy), (T) AT&T INC (new buy), (BAC) BANK OF AMERICA CORP (added shares +44.92%) and (C) CITIGROUP INC COM NEW (added shares +46.18%).

What does Jim Cullen invest in?

Jim Cullen's top 5 holdings (by % of portfolio) are (BAC) BANK OF AMERICA CORP (3.9%), (C) CITIGROUP INC COM NEW (3.82%), (GD) GENERAL DYNAMICS CORP (3.61%), (JPM) JPMORGAN CHASE & CO (3.59%) and (AMAT) APPLIED MATERIALS INC (3.51%).

In the latest report(s) the following changes have been made to the top investments: (BAC) BANK OF AMERICA CORP (added shares +44.92%), (C) CITIGROUP INC COM NEW (added shares +46.18%), (GD) GENERAL DYNAMICS CORP (reduced shares -5.95%) and (JPM) JPMORGAN CHASE & CO (reduced shares -9.88%).

2021 Q4 (9 results)
DIS
-23.56%
-757
-0.65%
$154.89
26.62% $113.66
2.12%
SWKS
+8.46%
+130
+0.12%
$155.14
40.37% $92.51
1.52%
ST
+28.43%
+2,033
+0.45%
$61.69
35.05% $40.07
2.05%
PKG
+2.99%
+81
+0.06%
$136.15
29.47% $176.27
2.04%
MDLZ
+19.25%
+1,266
+0.46%
$66.31
5.40% $69.89
2.83%
GSK
-100.00%
-11,040
-1.91%
$47.76
8.92% $43.50
0.00%
BWA
+54.92%
+2,976
+0.62%
$45.07
19.15% $36.44
1.75%
AXTA
+70.65%
+4,658
+0.76%
$33.12
6.28% $35.20
1.82%
T
-100.00%
-16,464
-1.87%
$27.01
37.62% $16.85
0.00%
2021 Q3 (11 results)
SWKS
buy
+2,493
+1.53%
$164.78
43.86% $92.51
1.53%
PKG
buy
+3,510
+2.05%
$137.44
28.25% $176.27
2.05%
ORCL
-33.29%
-4,229
-1.37%
$87.13
32.91% $115.80
2.75%
NEM
-100.00%
-11,770
-2.77%
$63.38
35.85% $40.66
0.00%
XLC
-100.00%
-6,270
-1.89%
$80.97
0.94% $80.21
0.00%
CSCO
-32.54%
-6,224
-1.26%
$54.43
13.43% $47.12
2.61%
CNI
buy
+2,565
+1.10%
$115.65
6.82% $123.54
1.10%
AXTA
buy
+8,330
+0.97%
$29.19
20.59% $35.20
0.97%
T
buy
+16,464
+1.92%
$27.01
37.62% $16.85
0.00%
ADM
buy
+4,078
+1.01%
$60.01
1.40% $59.17
1.01%
AXP
buy
+3,300
+2.06%
$167.53
37.75% $230.77
2.06%
2021 Q2 (11 results)
DIS
-12.40%
-700
-0.48%
$175.77
35.34% $113.66
3.36%
TRV
-100.00%
-3,135
-2.21%
$150.40
42.19% $213.85
0.00%
TMO
-5.75%
-68
-0.21%
$504.47
13.46% $572.38
3.49%
SIEGY
-16.80%
-2,489
-0.77%
$79.64
20.10% $95.65
3.80%
MS
-12.05%
-1,695
-0.60%
$91.69
2.13% $93.64
4.39%
MRK
-5.77%
-687
-0.21%
$77.77
63.96% $127.51
3.40%
JPM
-16.76%
-1,386
-0.83%
$155.54
22.48% $190.51
4.14%
XLC
buy
+6,270
+1.96%
$80.97
0.94% $80.21
0.00%
CB
-5.34%
-208
-0.20%
$158.94
56.37% $248.54
3.52%
T
-100.00%
-12,600
-2.05%
$30.27
44.33% $16.85
0.00%
ARW
-8.35%
-395
-0.30%
$113.83
9.72% $124.89
3.27%
2021 Q1 (3 results)
ST
buy
+7,150
+1.58%
$57.95
30.85% $40.07
1.58%
MS
-21.97%
-3,960
-1.17%
$77.66
20.58% $93.64
4.17%
ABB
-100.00%
-21,630
-2.31%
$27.96
32.80% $37.13
0.00%
2020 Q4 (10 results)
UL
buy
+10,115
+2.46%
$60.36
13.63% $52.13
2.46%
UN
-100.00%
-10,115
-2.46%
$60.40
-
0.00%
TRV
-38.91%
-2,420
-1.37%
$140.37
52.35% $213.85
2.15%
PFE
+4.88%
+1,027
+0.15%
$36.81
24.45% $27.81
3.28%
MSFT
-67.95%
-2,300
-2.06%
$222.42
82.83% $406.66
0.97%
GSK
-18.70%
-2,540
-0.47%
$46.00
5.43% $43.50
2.05%
COP
-2.09%
-232
-0.04%
$39.99
205.65% $122.23
1.89%
CVX
-22.32%
-1,595
-0.54%
$84.45
89.76% $160.25
1.89%
BAC
-38.11%
-9,483
-1.33%
$30.31
22.90% $37.25
2.16%
T
+16.63%
+2,495
+0.29%
$28.76
41.41% $16.85
2.03%
2020 Q3 (6 results)
XLK
-100.00%
-5,550
-2.52%
$104.49
93.85% $202.55
0.00%
IYZ
-100.00%
-20,200
-2.42%
$27.56
24.20% $20.89
0.00%
XLF
-100.00%
-23,975
-3.52%
$23.14
75.24% $40.55
0.00%
CMCSA
buy
+8,777
+2.69%
$46.26
16.36% $38.69
2.69%
BAC
buy
+28,600
+2.99%
$24.09
54.63% $37.25
2.99%
ARW
buy
+8,100
+2.77%
$78.66
58.77% $124.89
2.77%
50 of 203

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.

Value or Price - If the security is completely sold out, we show the reported value (or price) prior to the actual period.