Ronald Muhlenkamp's Portfolio

Muhlenkamp & Co 13F holdings

What is Ronald Muhlenkamp's portfolio?

Muhlenkamp & Co has disclosed a total of 29 security holdings in their (2024 Q1) SEC 13F filing(s) with portfolio value of $344,279,219.

What stocks does Ronald Muhlenkamp own?

In Ronald Muhlenkamp's portfolio as of 31 Mar 2024, the top 5 holdings are (AVGO) BROADCOM INC (6.12%), (MCK) MCKESSON CORP (6.03%), (RUSHA) RUSH ENTERPRISES INC-CL A (5.77%), (SLB) SCHLUMBERGER LTD (5.02%) and (EQT) EQT CORP (4.85%).

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

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

Portfolio value: $344M+
Period: 2024 Q1
Number of stock: 29
Update: 23 Apr 2024
BGC
3.92%
1,735,480
$7.77
12.61% $8.75
$13,484,680
+1.38% (+23,553)
+0.05%
RIG
1.84%
1,010,498
$6.28
9.71% $5.67
$6,345,927
+3.45% (+33,740)
+0.06%
TGNA
2.99%
688,293
$14.94
1.54% $14.71
$10,283,097
+1.57% (+10,652)
+0.05%
NMIH
4.36%
464,338
$32.34
3.31% $33.41
$15,016,691
+1.05% (+4,805)
+0.05%
EQT
4.85%
261,364
$37.07
10.71% $41.04
$9,688,772
+0.64% (+1,668)
+0.03%
RUSHA
5.77%
371,239
$53.52
17.41% $44.20
$19,868,711
+0.96% (+3,526)
+0.05%
SLB
5.02%
315,176
$54.81
12.50% $47.96
$17,274,797
+0.62% (+1,931)
+0.03%
NEM
2.90%
153,421
$35.84
15.49% $41.39
$5,498,642
+94.25% (+74,441)
+1.41%
OXY
4.48%
237,383
$64.99
0.05% $65.02
$15,427,521
+0.96% (+2,264)
+0.04%
DOW
3.77%
224,122
$57.93
1.02% $57.34
$12,983,387
+0.99% (+2,190)
+0.04%
AMLP
2.41%
174,555
$47.46
0.00% $47.46
$8,284,380
KEX
4.69%
169,314
$95.32
17.50% $112.00
$16,139,010
+0.66% (+1,107)
+0.03%
TMHC
2.79%
78,138
$62.17
5.71% $58.62
$4,857,879
+1.44% (+1,109)
+0.04%
BMY
2.13%
135,045
$54.23
19.05% $43.90
$7,323,490
+2.49% (+3,285)
+0.05%
MTZ
3.60%
132,990
$93.25
13.48% $105.82
$12,401,318
+1.51% (+1,981)
+0.05%
MCHP
3.04%
116,779
$89.71
4.51% $93.76
$10,476,244
+4.61% (+5,144)
+0.13%
PHM
3.43%
52,357
$120.62
2.46% $117.65
$6,315,330
+1.34% (+693)
+0.05%
RGLD
3.04%
85,899
$121.81
1.72% $123.91
$10,463,357
+49.43% (+28,414)
+1.01%
WAB
2.66%
62,814
$145.68
11.90% $163.02
$9,150,744
+1.38% (+852)
+0.04%
AAPL
3.12%
62,604
$171.48
5.97% $181.71
$10,735,334
+3.59% (+2,170)
+0.11%
20 of 29

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.