BH

Barrow, Hanley, Mewhinney & Strauss

13F
Barrow, Hanley, Mewhinney & Strauss
Last update 2024-11-13 327 Stocks (59 new)
Value $30.60 Bil Turnover 8 %
Countries:
Portfolio Report

Barrow, Hanley, Mewhinney & Strauss Profile

Mr. Barrow is Executive Director of Dallas based investment firm Barrow, Hanley, Mewhinney & Strauss, the lead portfolio manager for the Vanguard Windsor II and Selected Value Funds. He graduated from the University of South Carolina with a BS. For the 10-year period ended 3/31/2010, the Selected Value Funds averaged 9.33% a year, while the market had negative returns.

Barrow, Hanley, Mewhinney & Strauss Investing Philosophy

Barrow, Hanley, Mewhinney & Strauss' equity portfolios will always exhibit below-market price-to-earnings ratios, below-market price-to-book ratios, and above-market dividend yields, regardless of market conditions.

Barrow, Hanley, Mewhinney & Strauss Portfolio and Latest Trades

Type:
Ticker
Company
Date
Action
Impact %
Price Range
Price
Price Change from Avrg%
Comment
Current Shares
Share Change
VRT
Vertiv Holdings Co2024-06-30Reduce
-2.05%
75.01 ($91.04) 106.17
$118.78
30.47%
Reduce -55.73%
5,921,235
-7,454,157
J
Jacobs Solutions Inc2024-03-31New Buy
+1.62%
126.43 ($141.75) 153.73
$136.00
-4.06%
New holding
3,134,267
3,134,267
XOM
Exxon Mobil Corp2024-06-30New Buy
+1.60%
108.36 ($116.47) 122.2
$106.73
-8.36%
New holding
4,076,479
4,076,479
VRT
Vertiv Holdings Co2024-03-31Reduce
-1.60%
45.57 ($62.83) 82.67
$118.78
89.05%
Reduce -41.52%
13,375,392
-9,496,387
CCL
Carnival Corp2024-06-30New Buy
+1.59%
13.9 ($15.46) 18.72
$25.75
66.53%
New holding
24,937,916
24,937,916
PXD Pioneer Natural Resources Co2024-06-30Sold Out
-1.46%
263.96 ($270.84) 275.52
$269.62
-0.45%
Sold Out
0
-1,657,009
SWKS
Skyworks Solutions Inc2023-06-30New Buy
+1.39%
96.43 ($105.7) 117.98
$90.22
-14.65%
New holding
3,367,093
3,367,093
AVTR
Avantor Inc2023-03-31New Buy
+1.32%
20.07 ($22.79) 25.1
$21.36
-6.27%
New holding
16,187,397
16,187,397
DG
Dollar General Corp2023-09-30Reduce
-1.25%
104.34 ($149.07) 170.59
$74.94
-49.73%
Reduce -81.54%
446,898
-1,974,380
AAP
Advance Auto Parts Inc2023-03-31Sold Out
-1.23%
110.83 ($139.94) 156.84
$43.78
-68.72%
Sold Out
0
-2,231,364
KDP
Keurig Dr Pepper Inc2023-12-31New Buy
+1.20%
27.9 ($31.16) 33.35
$32.45
4.14%
New holding
10,200,975
10,200,975
XEL
Xcel Energy Inc2024-09-30New Buy
+1.17%
52.11 ($59.31) 65.3
$68.19
14.97%
New holding
5,483,686
5,483,686
BAC
Bank of America Corp2024-09-30Add
+1.16%
36.65 ($40.08) 44.13
$44.38
10.73%
Add 280.63%
12,178,914
8,979,216
ORCL
Oracle Corp2023-09-30Reduce
-1.13%
104.62 ($115.75) 126.71
$171.20
47.90%
Reduce -41.58%
3,587,023
-2,553,137
LUV
Southwest Airlines Co2023-06-30Add
+1.13%
28.54 ($31.37) 36.21
$34.38
9.61%
Add 294.72%
11,291,288
8,430,739
PSA
Public Storage2023-09-30New Buy
+1.13%
263.15 ($280.31) 301.64
$300.80
7.31%
New holding
1,123,312
1,123,312
ALL
Allstate Corp2024-09-30Reduce
-1.12%
158.43 ($177.59) 192.89
$195.68
10.18%
Reduce -70.5%
858,393
-2,051,049
IFF
International Flavors & Fragrances Inc2023-03-31Reduce
-1.08%
82.72 ($99.4) 116.7
$85.14
-14.35%
Reduce -88.27%
362,307
-2,726,307
DE
Deere & Co2023-03-31Reduce
-1.07%
385.5 ($414.05) 439.63
$433.10
4.60%
Reduce -54.39%
556,573
-663,772
SWKS
Skyworks Solutions Inc2024-06-30Reduce
-1.06%
89.72 ($98.58) 107.86
$90.22
-8.48%
Reduce -80.13%
717,541
-2,894,395
ETR
Entergy Corp2023-06-30Add
+1.04%
47.87 ($51.84) 55.51
$76.17
46.92%
Add 266.21%
7,881,198
2,864,564
NTRS
Northern Trust Corp2023-12-31Reduce
-1.04%
63.06 ($73.95) 85.93
$103.61
40.11%
Reduce -92.92%
298,061
-3,911,403
HES
Hess Corp2022-12-31Reduce
-1.00%
116.8 ($137.37) 149.44
$130.69
-4.86%
Reduce -29.06%
5,449,428
-2,232,750
PRGO
Perrigo Co PLC2023-09-30Sold Out
-0.97%
31.47 ($35.2) 39.94
$25.64
-27.16%
Sold Out
0
-7,698,520
JCI
Johnson Controls International PLC2024-06-30Add
+0.88%
60.47 ($67.32) 73.9
$80.92
20.20%
Add 686.42%
4,445,418
3,880,146
CI
The Cigna Group2023-06-30Add
+0.86%
242.64 ($260.34) 280.6
$279.91
7.52%
Add 343.11%
1,059,705
820,553
USB
U.S. Bancorp2024-03-31Reduce
-0.84%
39.91 ($42.2) 44.7
$48.74
15.51%
Reduce -51.48%
5,234,898
-5,554,543
IFF
International Flavors & Fragrances Inc2022-12-31Reduce
-0.84%
84.87 ($98.31) 108.1
$85.14
-13.40%
Reduce -42.28%
3,088,614
-2,262,082
HUM
Humana Inc2023-12-31Add
+0.82%
451.42 ($492.89) 524.21
$255.52
-48.16%
Add 370.39%
643,874
506,993
CRH
CRH PLC2023-09-30New Buy
+0.82%
53.56 ($56.56) 59.5
$94.67
67.38%
New holding
3,898,576
3,898,576
LUV
Southwest Airlines Co2023-12-31Sold Out
-0.82%
22.23 ($26.01) 30.31
$34.38
32.20%
Sold Out
0
-7,939,635
SN
SharkNinja Inc2024-09-30Sold Out
-0.81%
70.85 ($86.98) 108.71
$97.90
12.55%
Sold Out
0
-3,161,835
WYNN
Wynn Resorts Ltd2023-09-30New Buy
+0.79%
90.36 ($100.31) 109.64
$88.75
-11.53%
New holding
2,237,094
2,237,094
USB
U.S. Bancorp2023-03-31Add
+0.77%
32.95 ($44.54) 49.8
$48.74
9.44%
Add 78.42%
12,543,604
5,513,107
ARMK
Aramark2023-12-31Add
+0.77%
24.32 ($27.09) 28.52
$37.67
39.06%
Add 67.66%
19,347,270
7,807,891
AVGO
Broadcom Inc2024-06-30Reduce
-0.76%
120.47 ($140.14) 182.89
$237.50
69.48%
Reduce -33.43%
3,371,510
-169,318
DD
DuPont de Nemours Inc2024-09-30Reduce
-0.72%
77.22 ($81.14) 89.54
$77.25
-4.79%
Reduce -76.25%
814,139
-2,613,211
ELV
Elevance Health Inc2024-09-30Reduce
-0.71%
500.12 ($534.22) 562.29
$372.44
-30.28%
Reduce -31.04%
850,640
-382,829
MAA
Mid-America Apartment Communities Inc2024-03-31New Buy
+0.71%
123.35 ($129.99) 135.91
$154.96
19.21%
New holding
1,599,701
1,599,701
ENB
Enbridge Inc2023-09-30Add
+0.70%
33.19 ($35.49) 37.72
$41.87
17.98%
Add 38.96%
19,557,249
5,483,078
JBHT
JB Hunt Transport Services Inc2024-03-31Reduce
-0.70%
189.04 ($201.74) 218.78
$171.32
-15.08%
Reduce -38.67%
1,579,568
-996,157
CCL
Carnival Corp2024-09-30Add
+0.69%
14.01 ($16.93) 19.18
$25.75
52.07%
Add 45.84%
36,369,272
11,431,356
PLD
Prologis Inc2024-06-30New Buy
+0.69%
101.88 ($110.77) 127.92
$104.78
-5.40%
New holding
1,809,480
1,809,480
RL
Ralph Lauren Corp2023-12-31Sold Out
-0.68%
109.57 ($123.83) 147.92
$231.57
87.01%
Sold Out
0
-1,538,315
HUM
Humana Inc2023-06-30Reduce
-0.68%
443.86 ($503.14) 535.96
$255.52
-49.21%
Reduce -68.25%
169,433
-364,266
ALL
Allstate Corp2023-12-31Reduce
-0.67%
109.91 ($130.39) 144.36
$195.68
50.07%
Reduce -29.33%
3,777,027
-1,567,714
MRK
Merck & Co Inc2023-06-30Reduce
-0.65%
106.39 ($113.43) 118.38
$99.59
-12.20%
Reduce -19.26%
6,614,810
-1,577,768
TMUS
T-Mobile US Inc2023-03-31Reduce
-0.64%
139.04 ($144.87) 150.97
$223.19
54.06%
Reduce -60%
806,515
-1,209,598
MDT
Medtronic PLC2024-09-30Reduce
-0.64%
76.84 ($84.12) 91.03
$81.63
-2.97%
Reduce -39.9%
3,600,101
-2,390,558
DE
Deere & Co2022-12-31Reduce
-0.64%
344.05 ($406.45) 445.61
$433.10
6.56%
Reduce -27.65%
1,220,345
-466,434
ENB
Enbridge Inc2023-03-31Add
+0.63%
36.45 ($39.23) 41.92
$41.87
6.73%
Add 60.66%
11,285,240
4,260,869
GOOGL
Alphabet Inc2023-06-30Add
+0.62%
103.71 ($114.92) 127.31
$195.61
70.21%
Add 64552.95%
1,390,685
1,388,534
JCI
Johnson Controls International PLC2024-09-30Add
+0.60%
65.52 ($70.16) 77.61
$80.92
15.34%
Add 53.49%
6,823,321
2,377,903
FIS
Fidelity National Information Services Inc2023-03-31Add
+0.60%
49.7 ($65.09) 77.81
$82.26
26.38%
Add 34.04%
11,216,799
2,848,636
EA
Electronic Arts Inc2023-06-30Reduce
-0.58%
120.45 ($126.59) 131.38
$149.05
17.74%
Reduce -34.36%
2,385,013
-1,248,519
ORCL
Oracle Corp2024-09-30Reduce
-0.58%
125.9 ($144.85) 170.4
$171.20
18.19%
Reduce -36.24%
2,120,047
-1,205,218
APTV
Aptiv PLC2022-12-31Add
+0.58%
81.39 ($95.05) 111.71
$59.95
-36.93%
Add 68.51%
4,057,451
1,649,591
CTSH
Cognizant Technology Solutions Corp2023-06-30Reduce
-0.58%
58.4 ($61.92) 65.28
$79.28
28.04%
Reduce -42.15%
3,394,702
-2,473,719
DE
Deere & Co2023-06-30Reduce
-0.57%
345.98 ($382.89) 416.59
$433.10
13.11%
Reduce -64.18%
199,342
-357,231
WMG
Warner Music Group Corp2024-09-30New Buy
+0.56%
27.51 ($29.62) 32.17
$31.07
4.90%
New holding
5,519,842
5,519,842
QCOM
Qualcomm Inc2024-06-30Reduce
-0.55%
157.63 ($188.89) 227.09
$158.50
-16.09%
Reduce -20.76%
3,695,560
-968,118
PSX
Phillips 662023-03-31Reduce
-0.54%
93.54 ($101.68) 111.49
$111.97
10.12%
Reduce -23.06%
4,595,454
-1,377,184
QCOM
Qualcomm Inc2023-06-30Add
+0.53%
103.02 ($115.15) 127.58
$158.50
37.64%
Add 42.36%
4,018,381
1,195,719
MTB
M&T Bank Corp2024-03-31Reduce
-0.53%
130.47 ($138.55) 145.85
$190.80
37.71%
Reduce -44.54%
1,354,404
-1,087,699
SNY
Sanofi SA2024-06-30Add
+0.52%
45.39 ($48.24) 50.36
$48.37
0.27%
Add 113.84%
5,943,547
3,164,092
MRK
Merck & Co Inc2023-03-31Reduce
-0.52%
102.94 ($107.97) 114.84
$99.59
-7.76%
Reduce -13.28%
8,192,578
-1,254,396
CI
The Cigna Group2023-12-31Reduce
-0.51%
257.49 ($292.23) 318.89
$279.91
-4.22%
Reduce -43.48%
608,063
-467,793
QCOM
Qualcomm Inc2022-12-31Add
+0.51%
103.88 ($117) 126.81
$158.50
35.47%
Add 78.87%
2,781,411
1,226,409
ARMK
Aramark2024-06-30Reduce
-0.50%
30.75 ($32.45) 34.06
$37.67
16.09%
Reduce -24.47%
14,201,913
-4,599,972
CVS
CVS Health Corp2024-06-30Reduce
-0.50%
53.63 ($62.55) 79.56
$44.19
-29.36%
Reduce -72.83%
701,572
-1,881,055
SN
SharkNinja Inc2023-09-30New Buy
+0.50%
26.9 ($36.57) 46.36
$97.90
167.71%
New holding
2,841,127
2,841,127
CIEN
Ciena Corp2024-06-30Add
+0.49%
43.56 ($47.46) 49.56
$87.72
84.83%
Add 119.91%
5,397,560
2,943,146
AAP
Advance Auto Parts Inc2022-12-31Reduce
-0.48%
139.38 ($161.96) 190.67
$43.78
-72.97%
Reduce -25.12%
2,231,364
-748,747
FIS
Fidelity National Information Services Inc2022-12-31Add
+0.48%
57.18 ($71.04) 84.9
$82.26
15.79%
Add 28.91%
8,368,163
1,876,588
VRT
Vertiv Holdings Co2023-09-30Reduce
-0.48%
24.08 ($32.97) 39.87
$118.78
260.27%
Reduce -16.5%
26,053,039
-5,147,556
NEM
Newmont Corp2023-06-30New Buy
+0.48%
40.4 ($45.45) 52.07
$38.27
-15.79%
New holding
3,033,452
3,033,452
ALL
Allstate Corp2023-09-30Add
+0.48%
101.18 ($109.12) 115.24
$195.68
79.32%
Add 26.8%
5,344,741
1,129,653
DG
Dollar General Corp2022-12-31Reduce
-0.47%
236.34 ($247.29) 260.44
$74.94
-69.70%
Reduce -17.75%
2,201,670
-475,269
ETR
Entergy Corp2023-12-31Add
+0.46%
44.44 ($48.86) 52.7
$76.17
55.88%
Add 26.33%
12,284,922
1,280,304
SBAC
SBA Communications Corp2024-06-30New Buy
+0.46%
186.12 ($197.81) 218.6
$202.78
2.51%
New holding
686,390
686,390
WFC
Wells Fargo & Co2024-09-30Reduce
-0.46%
51.57 ($56.56) 60.97
$71.44
26.30%
Reduce -23.45%
7,450,279
-2,281,765
VRT
Vertiv Holdings Co2023-12-31Reduce
-0.45%
34.86 ($42.58) 49.43
$118.78
178.96%
Reduce -12.21%
22,871,779
-3,181,260
SNY
Sanofi SA2024-03-31New Buy
+0.45%
45.75 ($48.83) 52.48
$48.37
-0.94%
New holding
2,779,455
2,779,455
LUV
Southwest Airlines Co2023-09-30Reduce
-0.45%
26.56 ($32.63) 39.18
$34.38
5.38%
Reduce -29.68%
7,939,635
-3,351,653
ORCL
Oracle Corp2023-06-30Reduce
-0.45%
92.92 ($103.23) 126.55
$171.20
65.84%
Reduce -16.92%
6,140,160
-1,250,652
BAC
Bank of America Corp2024-06-30New Buy
+0.43%
34.68 ($38.32) 40.02
$44.38
15.81%
New holding
3,199,698
3,199,698
FMX
Fomento Economico Mexicano SAB de CV2023-09-30Sold Out
-0.43%
106.93 ($110.99) 118.67
$87.11
-21.52%
Sold Out
0
-1,045,324
CVS
CVS Health Corp2023-12-31Reduce
-0.43%
66.29 ($71.17) 79
$44.19
-37.92%
Reduce -33.69%
3,195,930
-1,623,486
CCEP
Coca-Cola Europacific Partners PLC2023-06-30Reduce
-0.42%
58.62 ($63.43) 66.69
$76.37
20.40%
Reduce -33.5%
3,605,582
-1,816,515
CDP
COPT Defense Properties2024-03-31Reduce
-0.41%
22.57 ($24.34) 25.9
$31.31
28.64%
Reduce -86.88%
683,294
-4,525,554
BNS
Bank of Nova Scotia2024-06-30New Buy
+0.41%
45.12 ($47.38) 50.46
$53.60
13.13%
New holding
2,634,805
2,634,805
PM
Philip Morris International Inc2022-12-31Add
+0.41%
84 ($94.37) 104.3
$122.93
30.26%
Add 34.01%
4,287,519
1,088,034
VLO
Valero Energy Corp2023-06-30Reduce
-0.41%
104.31 ($116.59) 139.6
$118.87
1.96%
Reduce -98.53%
11,415
-767,662
CMCSA
Comcast Corp2023-03-31Add
+0.40%
35.28 ($37.81) 41.11
$38.30
1.30%
Add 17.85%
17,889,281
2,709,219
HAL
Halliburton Co2022-12-31Add
+0.40%
26.38 ($35.39) 39.54
$26.84
-24.15%
Add 30.67%
11,428,444
2,682,418
ACM
AECOM2023-09-30Reduce
-0.40%
81.75 ($86.22) 89.86
$108.41
25.74%
Reduce -33.7%
2,487,881
-1,264,800
CRH CRH PLC2023-09-30Sold Out
-0.40%
53.36 ($56.92) 60.3
$53.27
-6.40%
Sold Out
0
-1,903,954
ARMK
Aramark2024-09-30Reduce
-0.39%
32.37 ($35.29) 38.91
$37.67
6.74%
Reduce -23.49%
10,865,624
-3,336,289
ENB
Enbridge Inc2023-06-30Add
+0.39%
35.2 ($38.12) 40.05
$41.87
9.84%
Add 24.71%
14,074,171
2,788,931
FUN
Six Flags Entertainment Corp2024-06-30New Buy
+0.39%
37.86 ($43.05) 54.35
$49.07
13.98%
New holding
3,422,396
3,422,396
100/Page
Total 1899

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