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Asset Manager ← All Institutions

Bowling Portfolio Management LLC

Q3 2022 · Filed 2022-10-04
Market Value
$357M
-7.5%
Holdings
200
-10
New Purchases
22
Added To
35
Closed
23
Reduced
114
Top 10 Concentration
29.8%
Turnover
22.5%

Top Buys (by % of Portfolio)

SymbolCur %Prior %Chg %Value
CI 0.51% 0.00% +0.51% $2M
ADP 0.51% 0.00% +0.51% $2M
VRTX 0.49% 0.00% +0.49% $2M
MOH 0.45% 0.00% +0.45% $2M
PCAR 0.89% 0.45% +0.45% $3M
SNPS 0.41% 0.00% +0.41% $1M
RGA 0.41% 0.00% +0.41% $1M
MCHP 0.41% 0.00% +0.41% $1M
APH 0.40% 0.00% +0.40% $1M
RF 0.39% 0.00% +0.39% $1M
CXT 0.39% 0.00% +0.39% $1M
HRB 0.38% 0.00% +0.38% $1M
CACI 0.38% 0.00% +0.38% $1M
EWBC 0.38% 0.00% +0.38% $1M
GDDY 0.38% 0.00% +0.38% $1M

Top Sells (by % of Portfolio)

SymbolCur %Prior %Chg %Value
MSFT 5.83% 6.55% -0.72% $21M
UPS 0.00% 0.56% -0.56% $0
QCOM 0.06% 0.61% -0.55% $219K
ABT 0.00% 0.53% -0.53% $0
ABBV 0.58% 1.05% -0.47% $2M
CTSH 0.00% 0.42% -0.42% $0
IT 0.00% 0.40% -0.40% $0
ALSN 0.00% 0.37% -0.37% $0
COR 0.56% 0.93% -0.37% $2M
BYD 0.00% 0.37% -0.37% $0
ARW 0.08% 0.44% -0.36% $276K
UTHR 0.00% 0.34% -0.34% $0
UNVR 0.00% 0.34% -0.34% $0
MU 0.00% 0.33% -0.33% $0
TNL 0.00% 0.33% -0.33% $0

Sector Allocation Over Time

Market Cap Concentration

TierHoldingsValueWeight
Mega Cap 41 $165M 46.4%
Large Cap 119 $156M 43.8%
Mid Cap 36 $33M 9.2%
Small Cap 3 $2M 0.5%
Micro Cap 1 $469K 0.1%

Portfolio Analytics

Avg Market Cap
$266.9B
Median Market Cap
$49.3B
Avg P/E
26.5
Median P/E
17.9
Avg Dividend Yield
0.02%
Avg Beta
0.86
# Stocks
184
# ETFs / Funds
16

Top Holdings (200 total)

# Symbol % Port Shares Value Avg Price Q/Q Value Chg Share Chg Chg % Status
1 AAPL 8.71% 224,829 $31M $138.20 -$1M -12,702 -5.3%
2 MSFT 5.83% 89,227 $21M $232.90 -$4M -8,993 -9.2%
3 GOOGL 3.42% 127,492 $12M $95.65 -$2M +120,894 +1832.3%
4 AMZN 3.01% 95,123 $11M $113.00 $513K -1,252 -1.3%
5 SCHX 1.53% 129,200 $5M $42.35 -$352K -1,210 -0.9%
6 BRK-B 1.52% 20,331 $5M $267.03 -$936K -2,982 -12.8%
7 PG 1.49% 41,957 $5M $126.25 -$1M -3,867 -8.4%
8 UNH 1.46% 10,296 $5M $505.05 -$292K -397 -3.7%
9 ANTM 1.40% 10,986 $5M $454.21 -$163K +307 +2.9%
10 META 1.40% 36,724 $5M $135.69 -$811K +791 +2.2%
11 KLAC 1.28% 15,121 $5M $302.63 -$360K -350 -2.3%
12 XONA.DE 1.27% 52,028 $5M $87.32 $8K -927 -1.8%
13 CVS 1.27% 47,607 $5M $95.36 -$158K -3,093 -6.1%
14 JNJ 1.27% 27,758 $5M $163.38 -$644K -1,417 -4.9%
15 LPLA 1.25% 20,386 $4M $218.48 $649K -241 -1.2%
16 AVGO 1.21% 9,704 $4M $444.04 -$302K +213 +2.2%
17 CVX 1.15% 28,513 $4M $143.65 -$4K +194 +0.7%
18 KR 1.03% 83,909 $4M $43.75 -$446K -3,081 -3.5%
19 MRK 1.02% 42,086 $4M $86.11 -$278K -718 -1.7%
20 GOOG 1.00% 37,046 $4M $96.15 -$620K +35,134 +1837.5%
21 JPM 0.99% 33,828 $4M $104.50 -$1M -7,584 -18.3%
22 AMGN 0.93% 14,700 $3M $225.37 $770K +4,247 +40.6%
23 LMT 0.90% 8,279 $3M $386.28 -$943K -1,351 -14.0%
24 PCAR 0.89% 38,059 $3M $83.69 $1M +17,164 +82.1%
25 COP 0.88% 30,514 $3M $102.35 $341K -458 -1.5%
26 HD 0.86% 11,117 $3M $275.97 -$147K -605 -5.2%
27 CDNS 0.82% 17,975 $3M $163.45 $173K -452 -2.5%
28 PHM 0.80% 75,744 $3M $37.49 -$195K -848 -1.1%
29 NOC 0.79% 6,018 $3M $470.26 -$178K -267 -4.2%
30 MCK 0.75% 7,826 $3M $339.89 -$156K -808 -9.4%
31 RE 0.73% 9,887 $3M $262.47 $545K +2,572 +35.2%
32 HCA 0.73% 14,071 $3M $183.78 $140K -485 -3.3%
33 ADM 0.72% 31,952 $3M $80.46 $49K -550 -1.7%
34 RTX 0.71% 30,916 $3M $81.87 $719K +12,059 +64.0%
35 PFE 0.71% 57,472 $3M $43.76 -$667K -3,217 -5.3%
36 BAC 0.70% 83,042 $3M $30.20 -$752K -21,672 -20.7%
37 AZO 0.66% 1,094 $2M $2,141.68 -$328K -149 -12.0%
38 NUE 0.65% 21,809 $2M $106.97 $31K -239 -1.1%
39 HIG 0.65% 37,507 $2M $61.94 $611K +11,336 +43.3%
40 MPC 0.62% 22,390 $2M $99.33 $329K -664 -2.9%
41 V 0.62% 12,500 $2M $177.68 -$296K -283 -2.2%
42 HPQ 0.62% 88,034 $2M $24.92 -$563K +3,932 +4.7%
43 PAG 0.61% 22,151 $2M $98.42 -$227K -845 -3.7%
44 CDW 0.61% 13,890 $2M $156.08 -$49K -178 -1.3%
45 MET 0.60% 35,182 $2M $60.77 $491K +8,949 +34.1%
46 CBRE 0.60% 31,511 $2M $67.50 -$229K -494 -1.5%
47 AN 0.59% 20,722 $2M $101.87 -$345K -1,257 -5.7%
48 ABBV 0.58% 15,450 $2M $134.24 -$2M -11,066 -41.7%
49 JAZZ 0.58% 15,468 $2M $133.31 $513K +5,539 +55.8%
50 COR 0.56% 14,673 $2M $135.35 -$2M -10,601 -41.9%
51 KO 0.55% 35,237 $2M $56.02 -$391K -2,353 -6.3%
52 VNQ 0.55% 24,323 $2M $80.17 -$362K -1,057 -4.2%
53 USRT 0.54% 40,294 $2M $47.50 -$326K -1,645 -3.9%
54 PEP 0.53% 11,647 $2M $163.22 -$228K -1,130 -8.8%
55 ORCL 0.52% 30,630 $2M $61.08 -$324K -789 -2.5%
56 PNC 0.51% 12,218 $2M $149.45 -$157K -354 -2.8%
57 CI 0.51% 6,521 $2M $277.41 — +6,521 — NEW
58 NVDA 0.51% 14,900 $2M $121.41 -$457K -51 -0.3%
59 ADP 0.51% 7,974 $2M $226.24 — +7,974 — NEW
60 VRTX 0.49% 6,068 $2M $289.55 — +6,068 — NEW
61 ACGL 0.48% 37,429 $2M $45.55 $741K +16,228 +76.5%
62 FITB 0.47% 52,227 $2M $31.96 -$138K -1,541 -2.9%
63 MA 0.47% 5,842 $2M $284.32 -$220K -121 -2.0%
64 DOX 0.46% 20,735 $2M $79.43 -$142K -739 -3.4%
65 JBL 0.46% 28,209 $2M $57.71 $140K -856 -3.0%
66 CSCO 0.46% 40,658 $2M $39.99 -$175K -1,581 -3.7%
67 MOH 0.45% 4,863 $2M $329.84 — +4,863 — NEW
68 CNC 0.45% 20,468 $2M $77.83 -$380K -2,855 -12.2%
69 GPC 0.44% 10,510 $2M $149.29 -$96K -2,012 -16.1%
70 DVN 0.44% 26,062 $2M $60.13 $193K +1,133 +4.5%
71 SPY 0.44% 4,358 $2M $357.27 -$121K -90 -2.0%
72 BMY 0.43% 21,660 $2M $71.10 -$236K -1,406 -6.1%
73 UNM 0.43% 39,613 $2M $38.80 $810K +18,250 +85.4%
74 LLY 0.43% 4,712 $2M $323.43 -$216K -656 -12.2%
75 NXST 0.42% 9,025 $2M $166.87 $332K +1,816 +25.2%
76 OC 0.42% 19,036 $1M $78.59 $172K +1,224 +6.9%
77 WFC 0.42% 37,065 $1M $40.23 $9K -762 -2.0%
78 BLDR 0.41% 25,120 $1M $58.92 $152K +386 +1.6%
79 SNPS 0.41% 4,827 $1M $305.57 — +4,827 — NEW
80 RGA 0.41% 11,705 $1M $125.84 — +11,705 — NEW
81 FNF 0.41% 40,027 $1M $36.20 $695K +19,616 +96.1%
82 MCHP 0.41% 23,740 $1M $61.04 — +23,740 — NEW
83 OSK 0.41% 20,565 $1M $70.31 -$318K -910 -4.2%
84 CMCSA 0.40% 49,068 $1M $29.33 -$513K -687 -1.4%
85 APH 0.40% 21,427 $1M $66.97 — +21,427 — NEW
86 UNP 0.40% 7,364 $1M $194.87 -$176K -191 -2.5%
87 DIS 0.40% 15,181 $1M $94.33 $824K +8,739 +135.7%
88 SCHW 0.40% 19,901 $1M $71.86 $156K -258 -1.3%
89 AIZ 0.40% 9,792 $1M $145.22 -$345K -433 -4.2%
90 WMT 0.40% 10,882 $1M $129.66 -$14K -841 -7.2%
91 ACI 0.40% 56,687 $1M $24.86 -$147K -1,547 -2.7%
92 RF 0.39% 69,980 $1M $20.06 — +69,980 — NEW
93 AXS 0.39% 28,382 $1M $49.15 $630K +14,982 +111.8%
94 LEA 0.39% 11,635 $1M $119.72 -$121K -389 -3.2%
95 CXT 0.39% 15,699 $1M $87.52 — +15,699 — NEW
96 HRB 0.38% 32,206 $1M $42.54 — +32,206 — NEW
97 URI 0.38% 5,011 $1M $270.21 $490K +1,453 +40.8%
98 CACI 0.38% 5,183 $1M $261.05 — +5,183 — NEW
99 MO 0.38% 33,470 $1M $40.39 -$1K +1,067 +3.3%
100 EWBC 0.38% 20,050 $1M $67.13 — +20,050 — NEW

New Positions

SymbolValue% Port
CI $2M 0.51%
ADP $2M 0.51%
VRTX $2M 0.49%
MOH $2M 0.45%
SNPS $1M 0.41%
RGA $1M 0.41%
MCHP $1M 0.41%
APH $1M 0.40%
RF $1M 0.39%
CXT $1M 0.39%
HRB $1M 0.38%
CACI $1M 0.38%
EWBC $1M 0.38%
GDDY $1M 0.38%
F $1M 0.37%

Sold Out Positions

SymbolValue% Port
ABT — —%
UPS — —%
ALSN — —%
AIG — —%
THG — —%
TNL — —%
VZ — —%
VIRT — —%
BYD — —%
SCI — —%
TRV — —%
IT — —%
GS — —%
CNXC — —%
MDLZ — —%
View SEC EDGAR Filings for Bowling Portfolio Management LLC →

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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms