Loews Corp

Holdings as of Mar 31, 2026 · filed May 15, 2026

$11892378611
Portfolio value
25
Positions
Source: SEC 13-F ↗
Original filing
# Holding Value % Port. Δ Shares Change (QoQ)
1 Cna Finl Corp $11407204769 95.92% Held
2 Builders Firstsource Inc $60924200 0.51% +460000 +164.29%
3 Atlassian Corporation $50505000 0.42% +640000 +640.00%
4 Meta Platforms Inc $33469605 0.28% +24500 +72.06%
5 Amazon Com Inc $29157800 0.25% NEW BUY
6 Amcor Plc $25479750 0.21% NEW BUY
7 Jbs N.V. $23886800 0.20% Held
8 Alphabet Inc $23867480 0.20% +20000 +31.75%
9 Capital One Finl Corp $23715900 0.20% +65000 +100.00%
10 Nrg Energy Inc $21921000 0.18% +100000 +200.00%
11 Uber Technologies Inc $21579000 0.18% +160000 +114.29%
12 Omnicom Group Inc $21086800 0.18% NEW BUY
13 Sunbelt Rentals Holdings Inc $20828800 0.18% NEW BUY
14 Brookfield Corp $17604450 0.15% +110000 +33.85%
15 Ingredion Inc $17462300 0.15% +15000 +10.71%
16 Avantor Inc $15915200 0.13% +1000000 +97.09%
17 Ally Finl Inc $14122800 0.12% Held
18 Elevance Health Inc Formerly $14052000 0.12% +12000 +33.33%
19 Hp Inc $10565500 0.09% +350000 +175.00%
20 Vistra Corp $10523100 0.09% NEW BUY
21 Comcast Corp New $9187200 0.08% -120000 -27.27%
22 Jbg Smith Pptys $7254157 0.06% Held
23 Olin Corp $5946000 0.05% Held
24 United Parks & Resorts Inc $3266000 0.03% NEW BUY
25 Magnera Corp $2853000 0.02% Held

Closed last quarter

Gildan Activewear Inc Amcor Plc Allison Transmission Hldgs I Kinder Morgan Inc Del Avnet Inc Wells Fargo Co New Fair Isaac Corp

Holdings disclosed quarterly to the SEC on Form 13-F and may be up to 45 days old. Values as reported. For research only — not investment advice.