13F Filings for Stanley Capital Management, LLC (CIK: 1518934)

View the most recent portfolio holdings disclosed by Stanley Capital Management, LLC in their 13F filing.

HoldingSharesValuePortfolio PercentChange StatusChange Amount
FI - FISERV INC(Class: COM)125.56K $27.73M 10.90%Unchanged
ELV - ELEVANCE HEALTH INC(Class: COM)63.12K $27.45M 10.80%Unchanged
META - META PLATFORMS INC(Class: CL A)43.90K $25.30M 9.95%Unchanged
CPAY - CORPAY INC(Class: COM SHS)69.79K $24.34M 9.57%Unchanged
MCK - MCKESSON CORP(Class: COM)33.50K $22.55M 8.87%Unchanged
VSTS - VESTIS CORPORATION(Class: COM SHS)2.19M $21.69M 8.53%Increased 1.36M (163.0%, $9.02M)
CTVA - CORTEVA INC(Class: COM)341.70K $21.50M 8.46%Unchanged
CNC - CENTENE CORP DEL(Class: COM)331.91K $20.15M 7.92%Unchanged
ORCL - ORACLE CORP(Class: COM)134.80K $18.85M 7.41%Unchanged
VRT - VERTIV HOLDINGS CO(Class: COM CL A)259K $18.70M 7.35%Increased 30K (13.0%, $7.32M)
ALIT - ALIGHT INC(Class: COM CL A)3.10M $18.39M 7.23%Increased 1M (47.0%, $3.85M)
VNT - VONTIER CORPORATION(Class: COM)536K $17.61M 6.92%Increased 66K (14.0%, $466.70K)
AVTR - AVANTOR INC(Class: COM)998.50K $16.19M 6.36%Increased 300K (42.0%, $1.47M)
IGT - INTERNATIONAL GAME TECHNOLOG(Class: SHS USD)952K $15.48M 6.09%Increased 250K (35.0%, $3.08M)
BAC - BANK AMERICA CORP(Class: COM)366.14K $15.28M 6.01%Unchanged
WAL - WESTERN ALLIANCE BANCORP(Class: COM)192K $14.75M 5.80%Unchanged
AMAT - APPLIED MATLS INC(Class: COM)99.80K $14.48M 5.70%Unchanged
GPN - GLOBAL PMTS INC(Class: COM)145.61K $14.26M 5.61%Unchanged
EXPE - EXPEDIA GROUP INC(Class: COM NEW)81.63K $13.72M 5.40%Increased 17K (26.0%, $1.68M)
AXP - AMERICAN EXPRESS CO(Class: COM)48.83K $13.14M 5.17%Unchanged
QDEL - QUIDELORTHO CORP(Class: COM)345K $12.06M 4.74%Increased 150K (76.0%, $3.38M)
ULTA - ULTA BEAUTY INC(Class: COM)29.73K $10.90M 4.29%Unchanged
ACM - AECOM(Class: COM)116.40K $10.79M 4.24%Unchanged
GOOGL - ALPHABET INC(Class: CAP STK CL A)58.80K $9.09M 3.58%Unchanged
FANG - DIAMONDBACK ENERGY INC(Class: COM)56K $8.95M 3.52%Unchanged