FULLER & THALER ASSET MANAGEMENT, INC.

data from 30/09/2025

Capitalization

$ 29.423 B 7.33 %

Average holding period

16 ans

Performance

$ 1.786 T 59 020 984.05 %

Capitalization

Portfolio size

Portfolio performance

Portfolio performance %

Performance compared to S&P 500 (%)

Stock in FULLER & THALER ASSET MANAGEMENT, INC.

Date Ticket Name Weight Capitalization Share number First added Performance ($) Performance (%)
2025/09/30 DOC HEALTHPEAK PROPERTIES INC 1.62% 476.303 M $ 24872204 2024/03/31 37.944 M $ 9.37 %
2025/09/30 KEY KEYCORP 1.59% 468.132 M $ 25047212 2016/03/31 42.404 M $ 7.29 %
2025/09/30 AMCR AMCOR PLC 1.56% 459.484 M $ 56171587 2025/06/30 -36.724 M $ -10.99 %
2025/09/30 PRIM PRIMORIS SVCS CORP 1.43% 419.631 M $ 3055639 2020/09/30 135.616 M $ 76.20 %
2025/09/30 ONB OLD NATL BANCORP IND 1.29% 380.246 M $ 17323267 2021/09/30 10.440 M $ 2.86 %
2025/09/30 FNB F N B CORP 1.28% 375.637 M $ 23317037 2018/09/30 37.010 M $ 10.49 %
2025/09/30 STRL STERLING INFRASTRUCTURE INC 1.28% 375.172 M $ 1104488 2023/12/31 157.366 M $ 47.22 %
2025/09/30 GPK GRAPHIC PACKAGING HLDG CO 1.25% 366.554 M $ 18730407 2014/06/30 -27.029 M $ -7.12 %
2025/09/30 CFG CITIZENS FINL GROUP INC 1.23% 361.392 M $ 6798187 2022/06/30 90.762 M $ 18.79 %
2025/09/30 EXEL EXELIXIS INC 1.17% 343.649 M $ 8320794 2019/09/30 -24.396 M $ -6.31 %
2025/09/30 FIX COMFORT SYS USA INC 1.04% 305.831 M $ 370623 2016/09/30 154.059 M $ 53.89 %
2025/09/30 AGCO AGCO CORP 1.01% 298.538 M $ 2788251 2022/12/31 11.277 M $ 3.79 %
2025/09/30 BE BLOOM ENERGY CORP 0.96% 283.117 M $ 3347729 2024/12/31 238.765 M $ 253.55 %
2025/09/30 EME EMCOR GROUP INC 0.93% 272.847 M $ 420062 2019/09/30 59.687 M $ 21.43 %
2025/09/30 REZI RESIDEO TECHNOLOGIES INC 0.92% 271.678 M $ 6291756 2019/06/30 174.008 M $ 95.74 %
2025/09/30 DVN DEVON ENERGY CORP NEW 0.90% 263.673 M $ 7520624 2021/03/31 24.915 M $ 10.22 %
2025/09/30 EHC ENCOMPASS HEALTH CORP 0.89% 261.917 M $ 2062014 2024/09/30 8.006 M $ 3.58 %
2025/09/30 ALSN ALLISON TRANSMISSION HLDGS I 0.82% 241.678 M $ 2847295 2019/06/30 -29.643 M $ -10.64 %
2025/09/30 FTDR FRONTDOOR INC 0.82% 241.084 M $ 3582757 2021/12/31 25.707 M $ 14.17 %
2025/09/30 CMC COMMERCIAL METALS CO 0.81% 238.794 M $ 4168888 2006/09/30 35.765 M $ 17.11 %
2025/09/30 MTCH MATCH GROUP INC NEW 0.80% 234.460 M $ 6638160 2024/06/30 26.304 M $ 14.34 %
2025/09/30 POR PORTLAND GEN ELEC CO 0.76% 224.276 M $ 5097180 2018/03/31 17.216 M $ 8.29 %
2025/09/30 COLD AMERICOLD REALTY TRUST INC 0.74% 217.366 M $ 17758633 2025/06/30 -40.703 M $ -26.40 %
2025/09/30 SAIC SCIENCE APPLICATIONS INTL CO 0.74% 217.189 M $ 2185655 2015/03/31 -28.891 M $ -11.76 %
2025/09/30 KTOS KRATOS DEFENSE & SEC SOLUTIO 0.73% 215.361 M $ 2357024 2024/06/30 134.234 M $ 96.71 %
2025/09/30 JAZZ JAZZ PHARMACEUTICALS PLC 0.73% 214.325 M $ 1626136 2024/03/31 41.832 M $ 24.20 %
2025/09/30 UGI UGI CORP NEW 0.72% 211.948 M $ 6372447 2016/03/31 -21.600 M $ -8.68 %
2025/09/30 LKQ LKQ CORP 0.71% 208.091 M $ 6813720 2024/12/31 -30.023 M $ -17.48 %
2025/09/30 BCO BRINKS CO 0.71% 207.655 M $ 1776958 2010/09/30 49.361 M $ 30.88 %
2025/09/30 HRB BLOCK H & R INC 0.70% 207.029 M $ 4093908 2020/09/30 -19.149 M $ -7.87 %
2025/09/30 LITE LUMENTUM HLDGS INC 0.70% 205.540 M $ 1263232 2024/09/30 83.456 M $ 71.17 %
2025/09/30 ST SENSATA TECHNOLOGIES HLDG PL 0.69% 201.929 M $ 6609800 2024/09/30 2.984 M $ 1.46 %
2025/09/30 AWI ARMSTRONG WORLD INDS INC NEW 0.68% 200.843 M $ 1024655 2022/12/31 39.939 M $ 20.67 %
2025/09/30 CRUS CIRRUS LOGIC INC 0.67% 196.360 M $ 1567248 2015/03/31 30.509 M $ 20.17 %
2025/09/30 KMPR KEMPER CORP 0.66% 195.559 M $ 3793580 2017/06/30 -46.363 M $ -20.13 %
2025/09/30 ENSG ENSIGN GROUP INC 0.65% 192.029 M $ 1111471 2016/03/31 22.215 M $ 12.00 %
2025/09/30 GVA GRANITE CONSTR INC 0.64% 189.525 M $ 1728456 2018/09/30 28.990 M $ 17.26 %
2025/09/30 GNTX GENTEX CORP 0.63% 186.250 M $ 6581273 2022/12/31 42.841 M $ 28.69 %
2025/09/30 AAP ADVANCE AUTO PARTS INC 0.63% 184.390 M $ 3003100 2017/12/31 53.838 M $ 32.07 %
2025/09/30 WTM WHITE MTNS INS GROUP LTD 0.61% 180.677 M $ 108091 2014/03/31 -12.542 M $ -6.92 %
2025/09/30 THG HANOVER INS GROUP INC 0.59% 173.721 M $ 956455 2020/09/30 10.615 M $ 6.92 %
2025/09/30 OPCH OPTION CARE HEALTH INC 0.59% 172.299 M $ 6206742 2023/12/31 -21.717 M $ -14.53 %
2025/09/30 KRG KITE RLTY GROUP TR 0.58% 171.475 M $ 7689476 2018/03/31 -2.698 M $ -1.55 %
2025/09/30 NXST NEXSTAR MEDIA GROUP INC 0.58% 171.088 M $ 865219 2021/03/31 19.965 M $ 14.33 %
2025/09/30 AXTA AXALTA COATING SYS LTD 0.57% 169.079 M $ 5907711 2024/06/30 -5.587 M $ -3.60 %
2025/09/30 CBT CABOT CORP 0.57% 168.733 M $ 2218709 2014/09/30 2.278 M $ 1.40 %
2025/09/30 CNO CNO FINL GROUP INC 0.57% 168.607 M $ 4263124 2010/06/30 4.146 M $ 2.51 %
2025/09/30 TEX TEREX CORP NEW 0.57% 166.461 M $ 3244855 2008/03/31 14.994 M $ 9.87 %
2025/09/30 ICUI ICU MED INC 0.56% 166.163 M $ 1385155 2022/06/30 -16.944 M $ -9.22 %
2025/09/30 AYI ACUITY INC 0.56% 164.163 M $ 476678 2021/03/31 25.868 M $ 15.44 %
2025/09/30 XRAY DENTSPLY SIRONA INC 0.55% 162.150 M $ 12777769 2018/12/31 -39.535 M $ -20.09 %
2025/09/30 OLN OLIN CORP 0.55% 161.539 M $ 6464161 2020/09/30 31.604 M $ 24.39 %
2025/09/30 VNT VONTIER CORPORATION 0.54% 159.096 M $ 3790698 2023/09/30 18.679 M $ 13.74 %
2025/09/30 MMS MAXIMUS INC 0.54% 158.520 M $ 1734928 2016/09/30 36.811 M $ 30.16 %
2025/09/30 SR SPIRE INC 0.53% 156.331 M $ 1917706 2021/03/31 16.391 M $ 11.69 %
2025/09/30 REYN REYNOLDS CONSUMER PRODS INC 0.53% 156.078 M $ 6378360 2021/03/31 17.780 M $ 14.24 %
2025/09/30 VRT VERTIV HOLDINGS CO 0.53% 155.249 M $ 1029094 2022/12/31 32.198 M $ 17.48 %
2025/09/30 TMHC TAYLOR MORRISON HOME CORP 0.53% 154.470 M $ 2340103 2023/06/30 10.755 M $ 7.47 %
2025/09/30 MMSI MERIT MED SYS INC 0.52% 153.402 M $ 1843114 2020/03/31 -18.649 M $ -10.96 %
2025/09/30 ALAB ASTERA LABS INC 0.51% 151.142 M $ 771922 2024/12/31 74.855 M $ 116.55 %
2025/09/30 CE CELANESE CORP DEL 0.51% 148.811 M $ 3536390 2008/12/31 -41.754 M $ -23.95 %
2025/09/30 HAS HASBRO INC 0.50% 148.276 M $ 1954861 2025/03/31 4.677 M $ 2.75 %
2025/09/30 MSM MSC INDL DIRECT INC 0.50% 148.242 M $ 1608876 2024/06/30 7.208 M $ 8.37 %
2025/09/30 GH GUARDANT HEALTH INC 0.50% 148.051 M $ 2369568 2024/06/30 22.945 M $ 20.06 %
2025/09/30 TKR TIMKEN CO 0.50% 147.293 M $ 1959203 2024/09/30 5.329 M $ 3.63 %
2025/09/30 FHI FEDERATED HERMES INC 0.50% 146.326 M $ 2817754 2015/09/30 21.443 M $ 17.17 %
2025/09/30 AIT APPLIED INDL TECHNOLOGIES IN 0.49% 144.659 M $ 554141 2015/09/30 15.816 M $ 12.30 %
2025/09/30 ZION ZIONS BANCORPORATION N A 0.49% 143.056 M $ 2528391 2023/06/30 12.525 M $ 8.93 %
2025/09/30 AXON AXON ENTERPRISE INC 0.48% 141.599 M $ 197312 2020/06/30 -25.623 M $ -13.32 %
2025/09/30 DCI DONALDSON INC 0.48% 141.533 M $ 1729176 2016/03/31 19.955 M $ 18.02 %
2025/09/30 AIZ ASSURANT INC 0.48% 140.326 M $ 647857 2024/12/31 5.869 M $ 9.68 %
2025/09/30 FLO FLOWERS FOODS INC 0.48% 139.909 M $ 10720985 2024/06/30 -37.771 M $ -18.34 %
2025/09/30 DORM DORMAN PRODS INC 0.47% 137.937 M $ 884892 2024/12/31 26.038 M $ 27.07 %
2025/09/30 MOD MODINE MFG CO 0.47% 137.464 M $ 966963 2023/12/31 40.189 M $ 44.32 %
2025/09/30 AMG AFFILIATED MANAGERS GROUP IN 0.46% 135.971 M $ 570275 2024/06/30 23.782 M $ 21.17 %
2025/09/30 HWC HANCOCK WHITNEY CORPORATION 0.46% 135.956 M $ 2171472 2022/12/31 11.217 M $ 9.08 %
2025/09/30 CADE CADENCE BANK 0.46% 135.660 M $ 3613733 2021/12/31 20.110 M $ 17.39 %
2025/09/30 FHB FIRST HAWAIIAN INC 0.46% 134.417 M $ 5413478 2019/03/31 -705.376 K $ -0.52 %
2025/09/30 EXP EAGLE MATLS INC 0.45% 133.353 M $ 572232 2015/12/31 24.759 M $ 15.30 %
2025/09/30 R RYDER SYS INC 0.45% 132.341 M $ 701555 2023/09/30 21.033 M $ 18.64 %
2025/09/30 UTHR UNITED THERAPEUTICS CORP DEL 0.45% 132.179 M $ 315305 2020/12/31 51.036 M $ 45.89 %
2025/09/30 DINO HF SINCLAIR CORP 0.44% 130.915 M $ 2501241 2022/03/31 25.270 M $ 27.41 %
2025/09/30 MUSA MURPHY USA INC 0.44% 130.384 M $ 335816 2018/03/31 -6.205 M $ -4.56 %
2025/09/30 MWA MUELLER WTR PRODS INC 0.44% 130.231 M $ 5103083 2024/09/30 8.169 M $ 6.16 %
2025/09/30 CRDO CREDO TECHNOLOGY GROUP HOLDI 0.44% 130.001 M $ 892803 2024/06/30 43.914 M $ 57.26 %
2025/09/30 WFRD WEATHERFORD INTL PLC 0.43% 127.394 M $ 1861673 2022/12/31 32.071 M $ 36.02 %
2025/09/30 BWA BORGWARNER INC 0.43% 125.603 M $ 2857221 2022/12/31 23.406 M $ 31.30 %
2025/09/30 BEACON FINANCIAL CORP. 0.43% 125.237 M $ 5282016 2023/03/31 -3.636 M $ -5.31 %
2025/09/30 VAC MARRIOTT VACATIONS WORLDWIDE 0.42% 122.365 M $ 1838422 2024/06/30 -10.589 M $ -7.95 %
2025/09/30 BDC BELDEN INC 0.41% 120.550 M $ 1002330 2022/12/31 4.409 M $ 3.86 %
2025/09/30 IDCC INTERDIGITAL INC 0.39% 115.270 M $ 333892 2023/12/31 44.070 M $ 53.96 %
2025/09/30 RL RALPH LAUREN CORP 0.39% 113.451 M $ 361815 2022/03/31 13.131 M $ 14.32 %
2025/09/30 HI HILLENBRAND INC 0.39% 113.431 M $ 4194927 2023/03/31 29.166 M $ 34.73 %
2025/09/30 WAFD WAFD INC 0.38% 111.545 M $ 3682560 2018/09/30 3.728 M $ 3.45 %
2025/09/30 PRMB PRIMO BRANDS CORPORATION 0.38% 110.337 M $ 4992647 2024/12/31 -33.772 K $ -25.39 %
2025/09/30 REVG REV GROUP INC 0.37% 108.055 M $ 1906736 2025/06/30 2.729 M $ 19.08 %
2025/09/30 RRC RANGE RES CORP 0.36% 105.416 M $ 2800640 2018/03/31 -8.520 M $ -7.45 %
2025/09/30 SMTC SEMTECH CORP 0.36% 104.774 M $ 1466394 2024/09/30 37.353 M $ 58.29 %
2025/09/30 FOUR SHIFT4 PMTS INC 0.35% 104.254 M $ 1346957 2023/03/31 -14.560 M $ -21.91 %
2025/09/30 EVR EVERCORE INC 0.35% 104.030 M $ 308401 2020/06/30 25.643 M $ 24.92 %