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STOCK TICKER:

MAJOR GURUS:
David Einhorn
Bill Ackman
Bill Miller
Steven Cohen
Jim Simons

Cullen Capital Management, LLC INSTITUTION : Cullen Capital Management, LLC
Cullen Capital Management, LLC Buys/Sells In Portfolio (reported on 2020-05-05)
Company Ticker Current
Holdings
Previous
Holdings
Sells/Buys % of change
Acadian Timber Corp.    (COM)ACAZF29,2500
New Buy
New Buy
Greatview Aseptic Packaging    (COMGRVWF279,0000
New Buy
New Buy
AbbVie Inc.    (COM)ABBV5,7650
New Buy
New Buy
Enterprise Financial Services    (EFSC8,0590
New Buy
New Buy
Credicorp Ltd.    (COM)BAP18,3630
New Buy
New Buy
Technology Select Sector SPDR    (XLK13,3010
New Buy
New Buy
Amgen Inc.    (COM)AMGN2,8600
New Buy
New Buy
Ameris Bancorp    (COM)ABCB10,4200
New Buy
New Buy
Fluor Corp.    (COM)FLR16,4000
New Buy
New Buy
General Dynamics Corp.    (COM)GD529,9770
New Buy
New Buy
General Mills Inc.    (COM)GIS288,0310
New Buy
New Buy
Avnet Inc.    (COM)AVT12,8850
New Buy
New Buy
Enterprise Products Partners L    (EPD21,2300
New Buy
New Buy
The Bank of New York Mellon Co    (BK8,4990
New Buy
New Buy
Weyerhaeuser Co.    (COM)WY15,9410
New Buy
New Buy
PXP Vietnam Emerging Equity Fu    (55,2770
New Buy
New Buy
Seagate Technology PLC    (COM)STX6,0400
New Buy
New Buy
McDonald's Corp.    (COM)MCD10,1130
New Buy
New Buy
WestRock Co.    (COM)WRK8,7050
New Buy
New Buy
Canadian National Railway Co.    (CCNI54,6660
New Buy
New Buy
National Bank of Canada    (COM)NTIOF22,1600
New Buy
New Buy
WP Carey Inc.    (COM)WPC6,9650
New Buy
New Buy
Power Assets    (COM)HGKGF1,631,9450
New Buy
New Buy
Canadian Pacific Railway Ltd.    (CCP1,2950
New Buy
New Buy
CVS Healthcare Corp    (COM)CVS40,9930
New Buy
New Buy
Wal-Mart Stores Inc.    (COM)WMT16,1620
New Buy
New Buy
RCI Hospitality Holdings Inc.    (CRICK19,0000
New Buy
New Buy
Mahindra & Mahindra Reg S (GDR    (MAHMF68,1560
New Buy
New Buy
Columbia Sportswear Co.    (COM)COLM5,2700
New Buy
New Buy
The JM Smucker Co.    (COM)SJM2,3300
New Buy
New Buy
Rayonier Inc.    (COM)RYN11,6250
New Buy
New Buy
Sempra Energy    (COM)SRE30,4780
New Buy
New Buy
Union Pacific Corp.    (COM)UNP16,9140
New Buy
New Buy
Crane Co.    (COM)CR4,5100
New Buy
New Buy
US Bancorp    (COM)USB11,2970
New Buy
New Buy
PepsiCo Inc.    (COM)PEP15,3700
New Buy
New Buy
Industrial Select Sector SPDR    (XLI115,1840
New Buy
New Buy
Utilities Select Sector SPDR F    (XLU9,2130
New Buy
New Buy
Public Storage    (COM)PSA2,3900
New Buy
New Buy
Royal Bank of Canada    (COM)RY9,1950
New Buy
New Buy
The Procter & Gamble Co.    (COM)PG10,8950
New Buy
New Buy
Honeywell International Inc.    (COHON54,7460
New Buy
New Buy
Las Vegas Sands Corp.    (COM)LVS480,4080
New Buy
New Buy
Lowe's Cos. Inc.    (COM)LOW611,9420
New Buy
New Buy
Samsung Electronics Co. Ltd. -    (SSNGY5,3930
New Buy
New Buy
Consumer Staples Select Sector    (XLP117,0830
New Buy
New Buy
Financial Select Sector SPDR F    (XLF667,0560
New Buy
New Buy
Public Service Enterprise Grou    (PEG31,9900
New Buy
New Buy
Link REIT    (COM)LKREF21,0000
New Buy
New Buy
Energy Select Sector SPDR Fund    (XLE212,8960
New Buy
New Buy
iShares MSCI South Korea ETF    (COEWY86,1570
New Buy
New Buy
Consumer Discretionary Select    (XLY14,9690
New Buy
New Buy
iShares Russell 1000 Value ETF    (IWD17,8210
New Buy
New Buy
Health Care Select Sector SPDR    (XLV38,5860
New Buy
New Buy
iShares US Telecommunications    (IYZ136,8170
New Buy
New Buy
iShares MSCI EAFE ETF    (COM)EFA479,0070
New Buy
New Buy
iShares MSCI Emerging Markets    (EEM23,5120
New Buy
New Buy
iShares MSCI ACWI ex US ETF    (COMACWX90,8380
New Buy
New Buy
iShares MSCI India ETF    (COM)INDA291,3050
New Buy
New Buy
Materials Select Sector SPDR F    (XLB26,0020
New Buy
New Buy
Sanmina Corp.    (COM)SANM13,1240
New Buy
New Buy
KLA Corp.    (COM)KLAC2,6430
New Buy
New Buy
Tassal Group Ltd    (COM)12,9100
New Buy
New Buy
Citigroup Inc.    (COM)C1,684,67712,680
Added1,671,997
13186.09%
Medtronic PLC    (COM)MDT718,3799,310
Added709,069
7616.20%
Dow Inc    (COM)1,934,09566,260
Added1,867,835
2818.94%
Johnson Controls International    (3,846,575146,385
Added3,700,190
2527.71%
BorgWarner Inc.    (COM)BWA100,3916,905
Added93,486
1353.88%
Manulife Financial Corp.    (COM)MFC2,487,683231,600
Added2,256,083
974.12%
Duke Energy Corp.    (COM)DUK615,50857,525
Added557,983
969.98%
Britvic PLC    (COM)63,9805,980
Added58,000
969.89%
Indo Tambangraya Megah PT    (COM)PTIZF5,219,054501,000
Added4,718,054
941.72%
The Allstate Corp.    (COM)ALL59,7626,950
Added52,812
759.88%
Morgan Stanley    (COM)MS154,40218,025
Added136,377
756.59%
Arrow Electronics Inc.    (COM)ARW70,4398,605
Added61,834
718.58%
The Walt Disney Co.    (COM)DIS44,6045,645
Added38,959
690.15%
Samsung Electronics GDR    (COM)SSNHY3,451500
Added2,951
590.20%
Comcast Corp. (Cl A)    (COM)CMCSA95,81314,000
Added81,813
584.37%
Healthpeak Properties Inc    (COM)3,269,891479,515
Added2,790,376
581.91%
Bristol-Myers Squibb Co.    (COM)BMY118,81518,235
Added100,580
551.57%
Oracle Corp.    (COM)ORCL110,25716,935
Added93,322
551.05%
Mondelez International Inc.    (COMMDLZ86,42614,185
Added72,241
509.27%
iShares MSCI Taiwan ETF    (COM)124,48724,045
Added100,442
417.72%
Thermo Fisher Scientific Inc.    (CTMO13,0112,605
Added10,406
399.46%
Newmont Corp    (COM)NEM74,96018,585
Added56,375
303.33%
BCE Inc.    (COM)BCE4,304,1131,146,130
Added3,157,983
275.53%
ConAgra Brands Inc    (COM)CAG493,879135,090
Added358,789
265.59%
PPL Corp.    (COM)PPL420,248122,650
Added297,598
242.64%
Eaton Corp. PLC    (COM)ETN208,05762,630
Added145,427
232.20%
Exxon Mobil Corp.    (COM)XOM2,161,353666,090
Added1,495,263
224.48%
Verizon Communications Inc.    (COMVZ317,01798,495
Added218,522
221.86%
Chubb Ltd.    (COM)CB1,168,503363,866
Added804,637
221.13%
ConocoPhillips    (COM)COP3,056,6601,014,875
Added2,041,785
201.18%
AT&T Inc.    (COM)T5,000,8081,705,950
Added3,294,858
193.13%
Wells Fargo & Co.    (COM)WFC3,343,7891,155,905
Added2,187,884
189.27%
Welltower Inc.    (COM)HCN2,129,793736,810
Added1,392,983
189.05%
Cisco Systems Inc.    (COM)CSCO3,792,8581,372,855
Added2,420,003
176.27%
Altria Group Inc.    (COM)MO1,823,565674,275
Added1,149,290
170.44%
Chevron Corp.    (COM)CVX1,666,522618,360
Added1,048,162
169.50%
Truist Financial Corp    (COM)3,079,6881,198,475
Added1,881,213
156.96%
Merck & Co. Inc.    (COM)MRK1,797,420709,165
Added1,088,255
153.45%
JP Morgan Chase & Co.    (COM)JPM1,616,520640,295
Added976,225
152.46%
Eli Lilly & Co.    (COM)LLY687,234273,670
Added413,564
151.11%
Raytheon Co.    (COM)RTN769,200306,435
Added462,765
151.01%
Walgreens Boots Alliance Inc.    (CWBA1,836,954752,085
Added1,084,869
144.24%
Johnson & Johnson    (COM)JNJ1,278,987527,225
Added751,762
142.58%
Target Corp.    (COM)TGT1,039,732430,580
Added609,152
141.47%
MKS Instruments Inc.    (COM)MKSI5,4002,240
Added3,160
141.07%
NextEra Energy Inc    (COM)NEE751,239312,870
Added438,369
140.11%
Pfizer Inc.    (COM)PFE4,276,5611,794,253
Added2,482,308
138.34%
Philip Morris International In    (PM1,774,541758,325
Added1,016,216
134.00%
Intel Corp.    (COM)INTC2,800,6131,227,260
Added1,573,353
128.20%
Quanta Services Inc.    (COM)PWR12,6305,755
Added6,875
119.46%
Huntsman Corp.    (COM)HUN19,8409,500
Added10,340
108.84%
3M Co.    (COM)MMM592,431295,365
Added297,066
100.57%
Genuine Parts Co.    (COM)GPC1,253,267632,655
Added620,612
98.09%
Kimberly-Clark Corp.    (COM)KMB815,567414,275
Added401,292
96.86%
The Travelers Companies Inc.    (COTRV597,788306,840
Added290,948
94.82%
Microsoft Corp.    (COM)MSFT608,101319,485
Added288,616
90.33%
Magellan Health Inc.    (COM)MGLN4,9002,585
Added2,315
89.55%
PT Bank Rakyat Indonesia    (COM)BKRKF22,698,88412,725,000
Added9,973,884
78.38%
Sykes Enterprises Inc.    (COM)SYKE10,8056,125
Added4,680
76.40%
Domtar Corp.    (COM)UFS9,7755,620
Added4,155
73.93%
Bank of America Corp.    (COM)BAC3,157,0402,080,040
Added1,077,000
51.77%
BOC Hong Kong Holdings Ltd.    (COMBNKHF86,00061,915
Added24,085
38.90%
AIA Group Ltd    (COM)AAIGF1,089,829998,200
Added91,629
9.17%
Corning Inc.    (COM)GLW962,0771,396,510
Reduced434,433
31.10%
VanEck Vectors Vietnam ETF    (COM)94,040190,015
Reduced95,975
50.50%
The Blackstone Group Inc    (COM)8,50020,785
Reduced12,285
59.10%
Sonic Healthcare Ltd.    (COM)SKHCF94,278242,240
Reduced147,962
61.08%
Archer-Daniels-Midland Co.    (COM)ADM43,920119,573
Reduced75,653
63.26%
Globaltrans Investment PLC GDR    (419,0881,179,185
Reduced760,097
64.45%
BAE Systems PLC    (COM)BAESF105,558334,550
Reduced228,992
68.44%
DuPont De Nemour    (COM)296,272942,706
Reduced646,434
68.57%
BOEING CO/THE    (COM)BA19,34179,930
Reduced60,589
75.80%
Nippon Telegraph & Telephone C    (NPPXF34,045200,400
Reduced166,355
83.01%
Imperial Brands PLC    (COM)ITYBF14,17585,005
Reduced70,830
83.32%
GlaxoSmithKline PLC    (COM)GLAXF37,766233,450
Reduced195,684
83.82%
Royal Dutch Shell Class B    (COM)RYDBF19,354145,550
Reduced126,196
86.70%
Smiths Group PLC    (COM)SMGKF17,053188,170
Reduced171,117
90.93%
Lumentum Holdings Inc.    (COM)4,995125,440
Reduced120,445
96.01%
The Carlyle Group Inc.    (COM)13,990735,402
Reduced721,412
98.09%
Spirit of Texas Bancshares In    (15,7731,423,434
Reduced1,407,661
98.89%
Ascendas Real Estate Investmen    (ACDSF02,066,014
Sold Out
Sold Out
Ascendas India Trust    (COM)ACNDF05,440,700
Sold Out
Sold Out
HSBC Holdings PLC    (COM)HBCYF0169,300
Sold Out
Sold Out
Singapore Telecommunications L    (SNGNF090,300
Sold Out
Sold Out
United Overseas Bank Ltd.    (COM)UOVEF0271,460
Sold Out
Sold Out
Roche Holding AG    (COM)RHHVF016,810
Sold Out
Sold Out
Copa Holdings S.A.    (COM)CPA066,835
Sold Out
Sold Out
Zurich Insurance Group AG    (COM)ZFSVF012,875
Sold Out
Sold Out
Novartis AG    (COM)NVSEF06,025
Sold Out
Sold Out
Nestle SA    (COM)NSRGF046,405
Sold Out
Sold Out
Orkla ASA    (COM)OKLAF012,155
Sold Out
Sold Out
KT&G Corp.    (COM)KTCIF040,350
Sold Out
Sold Out
Smurfit Kappa Group PLC    (COM)SMFTF0136,485
Sold Out
Sold Out
OPAP SA    (COM)GRKZF0855,293
Sold Out
Sold Out
QIWI PLC (ADR)    (ADR)QIWI0308,770
Sold Out
Sold Out
Permian Basin Royalty Trust    (COMPBT038,750
Sold Out
Sold Out
Novartis AG (ADR)    (ADR)NVS0816,660
Sold Out
Sold Out
Power Corporation of Canda    (COM)PWCDF016,505
Sold Out
Sold Out
ABB Ltd. (ADR)    (ADR)ABB0227,235
Sold Out
Sold Out
SK Telecom Company Ltd. (ADR)    (ASKM017,890
Sold Out
Sold Out
Royal Dutch Shell Class B (ADR    (RDS-B0656,345
Sold Out
Sold Out
MetLife Inc.    (COM)MET09,660
Sold Out
Sold Out
ICICI Bank Ltd. (ADR)    (ADR)IBN0802,215
Sold Out
Sold Out
AstraZeneca PLC (ADR)    (ADR)AZN041,540
Sold Out
Sold Out
Ambev SA (ADR)    (ADR)ABEV01,189,790
Sold Out
Sold Out
British American Tobacco PLC (    (BTI074,250
Sold Out
Sold Out
Diageo PLC (ADR)    (ADR)DEO0316,380
Sold Out
Sold Out
HSBC Holdings PLC (ADR)    (ADR)HBC0689,195
Sold Out
Sold Out
GlaxoSmithKline PLC (ADR)    (ADR)GSK021,065
Sold Out
Sold Out
Sberbank of Russia PJSC (ADR)    (ASBRCY0762,670
Sold Out
Sold Out
Siemens AG (ADR)    (ADR)SI0947,655
Sold Out
Sold Out
Muenchener Ruechversicherungs    (CMURGF016,350
Sold Out
Sold Out
Allianz SE    (COM)ALIZF019,840
Sold Out
Sold Out
Siemens AG    (COM)SMAWF019,820
Sold Out
Sold Out
BNP Paribas SA    (COM)BNPQF0100,375
Sold Out
Sold Out
Sanofi    (COM)SNYNF041,785
Sold Out
Sold Out
Engie SA    (COM)GDSZF0283,925
Sold Out
Sold Out
United Insurance Holdings Corp    (UIHC016,670
Sold Out
Sold Out
United Community Financial Cor    (UCFC014,280
Sold Out
Sold Out
Taylor Morrison Corp.    (COM)TMHC09,600
Sold Out
Sold Out
Taiwan Semiconductor Manufactu    (TSM0269,700
Sold Out
Sold Out
Telefonica Brasil SA (ADR)    (ADR)VIV0601,435
Sold Out
Sold Out
Total SA (ADR)    (ADR)TOT064,525
Sold Out
Sold Out
Unilever NV (ADR)    (ADR)UN01,075,000
Sold Out
Sold Out
Toyota Motor Corp. (ADR)    (ADR)TM02,760
Sold Out
Sold Out
Assured Guaranty Ltd.    (COM)AGO04,095
Sold Out
Sold Out
* Portfolios do not reflect changes after reporting
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