13F Filings for GAMCO INVESTORS, INC. ET AL (CIK: 807249)
View the most recent portfolio holdings disclosed by GAMCO INVESTORS, INC. ET AL in their 13F filing.
Holding | Shares | Value | Portfolio Percent | Change Status | Change Amount |
---|---|---|---|---|---|
CR - CRANE CO(Class: EQUITY) | 1.15M | $217.92M | 2.15% | Decreased | 20.50K (1.0%, $38.99M) |
MLI - MUELLER INDUSTRIES INC(Class: EQUITY) | 2.60M | $206.48M | 2.04% | Decreased | 65.23K (2.0%, $3.69M) |
GATX - GATX CORP(Class: EQUITY) | 1.29M | $197.47M | 1.95% | Decreased | 14.54K (1.0%, $4.46M) |
SONY - SONY GROUP CORP - SP ADR(Class: DEPOSITORY RECEI) | 5.82M | $151.53M | 1.50% | Decreased | 234.11K (3.0%, $2.22M) |
AXP - AMERICAN EXPRESS CO(Class: EQUITY) | 470.71K | $150.15M | 1.48% | Decreased | 19.73K (4.0%, $18.19M) |
HRI - HERC HOLDINGS INC(Class: EQUITY) | 1.11M | $146.68M | 1.45% | Increased | 25.63K (2.0%, $568.18K) |
BK - BANK OF NEW YORK MELLON CORP(Class: EQUITY) | 1.44M | $131.45M | 1.30% | Decreased | 45.01K (3.0%, $6.67M) |
MSGS - MADISON SQUARE GARDEN SPORTS(Class: EQUITY) | 614.79K | $128.46M | 1.27% | Increased | 11.46K (1.0%, $10.98M) |
NFG - NATIONAL FUEL GAS CO(Class: EQUITY) | 1.51M | $127.99M | 1.26% | Increased | 15.04K (1.0%, $9.53M) |
RSG - REPUBLIC SERVICES INC(Class: EQUITY) | 495.06K | $122.09M | 1.21% | Decreased | 15.93K (3.0%, $1.65M) |
MOD - MODINE MANUFACTURING CO(Class: EQUITY) | 1.18M | $116.40M | 1.15% | Decreased | 4.07K (0.0%, $25.39M) |
AME - AMETEK INC(Class: EQUITY) | 635.32K | $114.97M | 1.14% | Decreased | 2.89K (0.0%, $5.11M) |
TXT - TEXTRON INC(Class: EQUITY) | 1.43M | $114.42M | 1.13% | Decreased | 9.88K (0.0%, $10.74M) |
WTS - WATTS WATER TECHNOLOGIES-A(Class: EQUITY) | 454.76K | $111.82M | 1.10% | Decreased | 5.48K (1.0%, $17.97M) |
BATRA - ATLANTA BRAVES HLDS A IN-A(Class: EQUITY) | 2.25M | $110.48M | 1.09% | Decreased | 16.68K (0.0%, $11.26M) |
CNH - CNH INDUSTRIAL NV(Class: EQUITY) | 8.01M | $103.78M | 1.03% | Increased | 120.43K (1.0%, $6.92M) |
RHP - RYMAN HOSPITALITY PROPERTIES(Class: EQUITY) | 965.74K | $95.29M | 0.94% | Increased | 5.41K (0.0%, $7.48M) |
ROL - ROLLINS INC(Class: EQUITY) | 1.57M | $88.67M | 0.88% | Decreased | 129.88K (7.0%, $3.26M) |
USM - US CELLULAR CORP(Class: EQUITY) | 1.31M | $83.73M | 0.83% | Decreased | 15.96K (1.0%, $7.88M) |
NPO - ENPRO INC(Class: EQUITY) | 387.09K | $74.15M | 0.73% | Decreased | 4.82K (1.0%, $10.74M) |
AN - AUTONATION INC(Class: EQUITY) | 363.07K | $72.12M | 0.71% | Decreased | 10.72K (2.0%, $11.60M) |
FLS - FLOWSERVE CORP(Class: EQUITY) | 1.35M | $70.75M | 0.70% | Increased | 44.95K (3.0%, $6.94M) |
PAG - PENSKE AUTOMOTIVE GROUP INC(Class: EQUITY) | 411.34K | $70.67M | 0.70% | Decreased | 4.89K (1.0%, $10.74M) |
BATRK - ATLANTA BRAVES HLDS C IN-C(Class: EQUITY) | 1.45M | $67.91M | 0.67% | Increased | 16.66K (1.0%, $10.48M) |
CW - CURTISS-WRIGHT CORP(Class: EQUITY) | 136.75K | $66.81M | 0.66% | Decreased | 6.07K (4.0%, $21.50M) |