Instuitional Investor - Lsv Asset Management

Fund Profile
Filing Period:
Fund Name: Lsv Asset Management
Portfolio Value $43,322,368
Filing Period:
No. Security Ticker Shares Value % Port
1. T 27,460,092 $625,266 1.44%
2. MRK 5,747,990 $571,810 1.31%
3. CSCO 9,395,181 $556,195 1.28%
4. BK 7,031,231 $540,209 1.24%
5. CMCSA 14,335,258 $538,002 1.24%