Welcome   Guest   [Login | Register] Sign in with Facebook Sign in with Google Sign in with Yahoo!
logoRelationalStocks.com
STOCK TICKER:

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

FORESTERS INVESTMENT MANAGEMENT COMPANY, INC. INSTITUTION : FORESTERS INVESTMENT MANAGEMENT COMPANY, INC.
FORESTERS INVESTMENT MANAGEMENT COMPANY, INC. Portfolio (reported on 2019-11-12)
Company (links to holding history) Ticker Value On
2019-09-30
No of Shares % of portfolio
JPMorgan Chase & Co.    (CSD) JPM 80,805,000 686,588 1.60%
Verizon Communications, Inc.    (CSD) VZ 73,076,000 1,210,675 1.44%
Microsoft Corp.    (CSD) MSFT 67,943,000 488,695 1.34%
Bank of America Corp.    (CSD) BAC 61,459,000 2,106,910 1.21%
Chubb, Ltd.    (CSD) CB 60,707,000 376,037 1.20%
Comcast Corp.    (CSD) CMCSA 59,440,000 1,318,550 1.17%
Chevron Corp.    (CSD) CVX 58,897,000 496,600 1.16%
Procter & Gamble Co.    (CSD) PG 58,839,000 473,060 1.16%
Merck & Co., Inc.    (CSD) MRK 58,786,000 698,339 1.16%
Medtronic, PLC    (CSD) MDT 53,089,000 488,758 1.05%
Coca-Cola Co.    (CSD) KO 52,900,000 971,708 1.04%
AT&T, Inc.    (CSD) T 52,785,000 1,394,964 1.04%
PepsiCo, Inc.    (CSD) PEP 52,066,000 379,770 1.03%
Cisco Systems, Inc.    (CSD) CSCO 51,663,000 1,045,600 1.02%
Wells Fargo & Co.    (CSD) WFC 51,643,000 1,023,847 1.02%
United Technologies Corp.    (CSD) UTX 50,869,000 372,610 1.00%
Northrop Grumman Corp.    (CSD) NOC 50,765,000 135,450 1.00%
Walmart, Inc.    (CSD) WMT 50,413,000 424,780 0.99%
Jacobs Engineering Group, Inc.    (CSD) JEC 50,234,000 549,000 0.99%
Ingersoll-Rand, PLC    (CSD) IR 49,302,000 400,150 0.97%
Synopsys, Inc.    (CSD) SNPS 48,696,000 354,800 0.96%
FI Limited Dur. Bond - I Sh.    (CSD) 47,365,000 5,065,805 0.93%
ExxonMobil Corp.    (CSD) XOM 45,801,000 648,652 0.90%
Lockheed Martin Corp.    (CSD) LMT 45,292,000 116,115 0.89%
Berkshire Hathaway, Inc.    (CSD) BRK/B 44,891,000 215,800 0.88%
Intel Corp.    (CSD) INTC 43,187,000 838,090 0.85%
Citigroup, Inc.    (CSD) C 42,923,000 621,350 0.85%
QUALCOMM, Inc.    (CSD) QCOM 41,794,000 547,908 0.82%
Pfizer, Inc.    (CSD) PFE 41,579,000 1,157,232 0.82%
Take-Two Interactive Software    (CSD) TTWO 40,435,000 322,600 0.80%
Alphabet, Inc.    (CSD) GOOGL 40,420,000 33,100 0.80%
Honeywell International, Inc.    (CSD) HON 39,529,000 233,624 0.78%
Thermo Fisher Scientific, Inc.    (CSD) TMO 39,242,000 134,728 0.77%
Hill-Rom Holdings, Inc.    (CSD) HRC 38,113,000 362,190 0.75%
Smith & Nephew PLC (ADR)    (CSD) SNN 35,664,000 740,998 0.70%
U.S. Bancorp    (CSD) USB 35,436,000 640,335 0.70%
FI Fund For Income - I Shares    (CSD) 34,935,000 14,201,182 0.69%
BP, PLC (ADR)    (CSD) BP 33,849,000 891,000 0.67%
PNC Financial Srvs Group, Inc    (CSD) PNC 33,322,000 237,745 0.66%
Citizens Financial Group, Inc.    (CSD) CFG 33,143,000 937,050 0.65%
Marathon Petroleum Corp.    (CSD) MPC 32,855,000 540,829 0.65%
Abbott Laboratories    (CSD) ABT 31,892,000 381,170 0.63%
FI Total Return - I Shares    (CSD) 31,531,000 1,647,386 0.62%
Union Pacific Corp.    (CSD) UNP 31,505,000 194,500 0.62%
Valero Energy Corp.    (CSD) VLO 31,398,000 368,350 0.62%
Linde, PLC    (CSD) 31,263,000 161,380 0.61%
CMS Energy Corp.    (CSD) CMS 30,970,000 484,280 0.61%
Gardner Denver Holdings, Inc.    (CSD) 30,635,000 1,082,900 0.60%
Johnson & Johnson    (CSD) JNJ 30,607,000 236,570 0.60%
Federal Realty Investment    (CSD) FRT 30,223,000 222,000 0.59%
Zimmer Biomet Holdings, Inc.    (CSD) ZMH 30,158,000 219,700 0.59%
Travelers Cos., Inc.    (CSD) TRV 29,389,000 197,650 0.58%
Sterling Bancorp    (CSD) STL 29,026,000 1,446,950 0.57%
Masco Corp.    (CSD) MAS 28,294,000 678,850 0.56%
Goldman Sachs Group, Inc.    (CSD) GS 27,841,000 134,350 0.55%
WEC Energy Group, Inc.    (CSD) 27,550,000 289,700 0.54%
Philip Morris Int'l, Inc.    (CSD) PM 27,027,000 355,940 0.53%
American Express Co.    (CSD) AXP 27,024,000 228,476 0.53%
Douglas Emmett, Inc.    (CSD) DEI 25,882,000 604,290 0.51%
Kansas City Southern, Inc.    (CSD) KSU 24,886,000 187,100 0.49%
McDonald's Corp.    (CSD) MCD 24,853,000 115,750 0.49%
Corning, Inc.    (CSD) GLW 24,336,000 853,300 0.48%
Portland General Elec Co.    (CSD) POR 23,794,000 422,100 0.47%
Home Depot, Inc.    (CSD) HD 23,638,000 101,880 0.46%
ConocoPhillips Co.    (CSD) COP 23,326,000 409,370 0.46%
Utilities Select Sector SPDR F    (CSD) XLU 23,258,000 359,250 0.46%
Charles River Laboratories    (CSD) CRL 23,118,000 174,650 0.45%
Centene Corp.    (CSD) CNC 22,558,000 521,450 0.44%
Koninklijke Ahold Delhaize NV    (CSD) 22,344,000 893,422 0.44%
Lowe's Cos., Inc.    (CSD) LOW 22,058,000 200,600 0.43%
Mondelez International, Inc.    (CSD) MDLZ 22,039,000 398,400 0.43%
FMC Corp.    (CSD) FMC 21,889,000 249,650 0.43%
FI Investment Grade - I Shares    (CSD) 21,792,000 2,187,959 0.43%
Suncor Energy, Inc.    (CSD) SU 21,569,000 683,007 0.42%
American Financial Group, Inc.    (CSD) AFG 21,473,000 199,100 0.42%
Gilead Sciences, Inc.    (CSD) GILD 21,080,000 332,600 0.41%
U.S. Foods Holding Corp.    (CSD) USFD 20,982,000 510,500 0.41%
Brixmor Property Group, Inc.    (CSD) BRX 20,921,000 1,031,100 0.41%
Popular, Inc.    (CSD) BPOP 20,572,000 380,400 0.40%
Cree, Inc.    (CSD) CREE 20,281,000 413,900 0.40%
Fiserv, Inc.    (CSD) FISV 20,096,000 194,000 0.39%
Bank of New York Mellon Corp.    (CSD) BK 19,868,000 439,450 0.39%
Performance Food Group Co.    (CSD) PFGC 19,554,000 425,000 0.38%
NextEra Energy, Inc.    (CSD) NEE 19,361,000 83,100 0.38%
Oracle Corp.    (CSD) ORCL 19,038,000 345,950 0.37%
Brown & Brown, Inc.    (CSD) BRO 18,917,000 524,600 0.37%
Walt Disney Co.    (CSD) DIS 18,669,000 143,255 0.37%
MetLife, Inc.    (CSD) MET 18,510,000 392,500 0.36%
iShares    (CSD) IYR 18,475,000 197,507 0.36%
Penske Automtv Group, Inc.    (CSD) PAG 18,378,000 388,700 0.36%
Maxim Integrated Prods, Inc    (CSD) MXIM 18,245,000 315,050 0.36%
Korn/Ferry    (CSD) KFY 18,120,000 468,950 0.35%
FleetCor Technologies, Inc.    (CSD) FLT 17,924,000 62,500 0.35%
Nasdaq, Inc.    (CSD) NDAQ 17,804,000 179,200 0.35%
Anthem, Inc.    (CSD) ANTM 17,372,000 72,355 0.34%
AllianceBernstein Holding, LP    (CSD) AB 17,249,000 587,700 0.34%
CenterPoint Energy, Inc.    (CSD) CNP 17,249,000 571,550 0.34%
PBF Energy, Inc.    (CSD) PBF 17,105,000 629,100 0.33%
Ross Stores, Inc.    (CSD) ROST 16,988,000 154,650 0.33%
Synchrony Financial    (CSD) SYF 16,689,000 489,550 0.33%
Fidelity National Financial, I    (CSD) FNF 16,600,000 373,800 0.32%
Old National Bancorp Indiana    (CSD) ONB 16,500,000 959,000 0.32%
Applied Materials, Inc.    (CSD) AMAT 16,481,000 330,284 0.32%
American Elec Pwr Co., Inc.    (CSD) AEP 16,096,000 171,800 0.31%
ServiceMaster Holdings, Inc.    (CSD) SERV 15,739,000 281,550 0.31%
CBS Corp.    (CSD) CBS 15,598,000 386,385 0.30%
FirstEnergy Corp.    (CSD) FE 15,537,000 322,149 0.30%
Eli Lilly & Co.    (CSD) LLY 15,522,000 138,800 0.30%
Burlington Stores, Inc.    (CSD) BURL 15,386,000 77,000 0.30%
Crown Castle Intern'l Corp.    (CSD) CCI 15,361,000 110,500 0.30%
Morgan Stanley    (CSD) MS 15,241,000 357,180 0.30%
Eaton Corp., PLC    (CSD) ETN 15,058,000 181,090 0.29%
Adobe, Inc.    (CSD) ADBE 15,028,000 54,400 0.29%
Black Hills Corp.    (CSD) BKH 14,993,000 195,400 0.29%
Exelon Corp.    (CSD) EXC 14,679,000 303,850 0.29%
IBERIABANK Corp.    (CSD) IBKC 14,613,000 193,450 0.28%
UnitedHealth Group, Inc.    (CSD) UNH 14,584,000 67,110 0.28%
LyondellBasell Indst NV    (CSD) LALLF 14,418,000 161,150 0.28%
eBay, Inc.    (CSD) EBAY 14,341,000 367,900 0.28%
Booking Holdings, Inc.    (CSD) 14,327,000 7,300 0.28%
Koninklijke Philips NV    (CSD) PHG 14,316,000 310,350 0.28%
DuPont de Nemours, Inc.    (CSD) 14,017,000 196,566 0.27%
Zebra Technologies Corp.    (CSD) ZBRA 13,909,000 67,400 0.27%
Prestige Brands, Inc.    (CSD) PBH 13,866,000 399,700 0.27%
Fox Corp.    (CSD) 13,788,000 437,166 0.27%
FI Int'l Ops. Bond - I Shares    (CSD) 13,773,000 1,570,463 0.27%
SS&C Technologies Hldgs, Inc.    (CSD) SSNC 13,635,000 264,400 0.27%
SPX Corp.    (CSD) SPW 13,439,000 335,900 0.26%
Advanced Micro Devices, Inc.    (CSD) AMD 13,392,000 461,950 0.26%
Global Life, Inc.    (CSD) 13,387,000 139,800 0.26%
KLA Corp.    (CSD) KLAC 13,330,000 83,600 0.26%
IAC/InterActiveCorp    (CSD) IACI 13,296,000 61,000 0.26%
Zoetis, Inc.    (CSD) ZTS 13,286,000 106,637 0.26%
Oxford Industries, Inc.    (CSD) OXM 13,239,000 184,650 0.26%
Americold Realty Trust    (CSD) 13,191,000 355,850 0.26%
IDACORP, Inc.    (CSD) IDA 13,182,000 117,000 0.26%
ASML Holdings NV - NY Reg Shs    (CSD) ASML 13,147,000 52,922 0.26%
Republic Services, Inc.    (CSD) RSG 12,944,000 149,550 0.25%
Visa, Inc.    (CSD) V 12,815,000 74,500 0.25%
Aspen Technology, Inc.    (CSD) AZPN 12,677,000 103,000 0.25%
Phibro Animal Health Corp.    (CSD) PAHC 12,488,000 585,472 0.24%
Selective Insurance Group Inc.    (CSD) SIGI 12,380,000 164,650 0.24%
TE Connectivity, Ltd.    (CSD) TEL 12,258,000 131,550 0.24%
Celanese Corp.    (CSD) CE 12,223,000 99,950 0.24%
Pinnacle West Capital Corp.    (CSD) PNW 11,998,000 123,600 0.23%
Autodesk, Inc.    (CSD) ADSK 11,964,000 81,000 0.23%
ITT, Inc.    (CSD) 11,901,000 194,500 0.23%
CNO Financial Group Inc.    (CSD) CNO 11,885,000 750,800 0.23%
Texas Instruments, Inc.    (CSD) TXN 11,851,000 91,700 0.23%
Perficient, Inc.    (CSD) PRFT 11,813,000 306,200 0.23%
Entergy Corp.    (CSD) ETR 11,673,000 99,460 0.23%
ESCO Technologies, Inc.    (CSD) ESE 11,632,000 146,200 0.23%
Qorvo, Inc.    (CSD) QRVO 11,595,000 156,400 0.22%
Ameriprise Financial, Inc.    (CSD) AMP 11,496,000 78,150 0.22%
Jazz Pharmaceuticals PLC    (CSD) JAZZ 11,404,000 89,000 0.22%
American International Group    (CSD) AIG 11,396,000 204,600 0.22%
Hamilton Lane, Inc.    (CSD) 11,227,000 197,100 0.22%
MasTec, Inc.    (CSD) MTZ 11,226,000 172,900 0.22%
Simmons First National Corp.    (CSD) SFNC 11,220,000 450,600 0.22%
Facebook, Inc.    (CSD) FB 11,041,000 62,000 0.21%
First Republic Bank    (CSD) FRC 10,765,000 111,321 0.21%
Noble Energy, Inc.    (CSD) NBL 10,607,000 472,250 0.21%
Energizer Holdings, Inc.    (CSD) 10,546,000 242,000 0.20%
Aramark Holdings Corp.    (CSD) ARMK 10,444,000 239,650 0.20%
Roper Technologies, Inc.    (CSD) ROP 10,431,000 29,250 0.20%
Taylor Morrison Home Corp.    (CSD) TMHC 10,427,000 401,950 0.20%
Discover Financial Services    (CSD) DFS 10,424,000 128,543 0.20%
American Tower Corp.    (CSD) AMT 10,393,000 47,000 0.20%
American Campus Communities    (CSD) ACC 10,359,000 215,450 0.20%
Waddell & Reed Fin'l, Inc.    (CSD) WDR 10,274,000 598,000 0.20%
Quest Diagnostics, Inc.    (CSD) DGX 10,200,000 95,300 0.20%
LKQ Corp.    (CSD) LKQX 10,176,000 323,550 0.20%
Great Western Bancorp, Inc.    (CSD) GWB 10,144,000 307,400 0.20%
Waters Corp.    (CSD) WAT 10,079,000 45,150 0.19%
Timken Co.    (CSD) TKR 10,029,000 230,500 0.19%
Xcel Energy, Inc.    (CSD) XEL 9,781,000 150,726 0.19%
Owens Corning    (CSD) OC 9,761,000 154,450 0.19%
Prosperity Bancshares, Inc.    (CSD) PRSP 9,747,000 138,000 0.19%
Sensient Technologies Corp.    (CSD) SXT 9,735,000 141,800 0.19%
Hess Corp.    (CSD) HES 9,589,000 158,550 0.19%
Tootsie Roll Industries, Inc.    (CSD) TR 9,569,000 257,648 0.18%
McCormick & Co., Inc.    (CSD) MKC 9,534,000 61,000 0.18%
PerkinElmer, Inc.    (CSD) PKI 9,531,000 111,900 0.18%
Designer Brands, Inc.    (CSD) 9,518,000 555,950 0.18%
AAR CORP.    (CSD) AIR 9,507,000 230,700 0.18%
Proofpoint, Inc.    (CSD) PFPT 9,356,000 72,500 0.18%
Wyndham Hotels & Resorts, Inc.    (CSD) 9,339,000 180,500 0.18%
Helen of Troy, Ltd.    (CSD) HELE 9,286,000 58,900 0.18%
TCF Financial Corp.    (CSD) 9,264,000 243,343 0.18%
Kimberly-Clark Corp.    (CSD) KMB 9,255,000 65,150 0.18%
Synovus Financial Corp.    (CSD) SNV 9,194,000 257,100 0.18%
Berkshire Hills Bancorp, Inc.    (CSD) BHLB 9,077,000 309,900 0.17%
NVIDIA Corp.    (CSD) NVDA 9,034,000 51,900 0.17%
Acushnet Holdings Corp.    (CSD) 8,960,000 339,400 0.17%
Delek U.S. Holdings, Inc.    (CSD) 8,923,000 245,800 0.17%
Atkore International Grp Co.    (CSD) 8,923,000 294,000 0.17%
MKS Instruments, Inc.    (CSD) MKSI 8,794,000 95,300 0.17%
Columbus McKinnon Corp    (CSD) CMCO 8,714,000 239,200 0.17%
TRI Pointe Group, Inc.    (CSD) TPH 8,707,000 578,900 0.17%
Cadence Design Systems, Inc.    (CSD) CDNS 8,571,000 129,700 0.16%
1 2 Next >Full Portfolio View
Total Value As 2019-09-30: 5,045,426,000 SEC FILING
* Portfolios do not reflect changes after reporting
LATEST NEWS OR LINKS >Contribute a new link
Investing Just Like
FORESTERS INVESTMENT MANAGEMENT COMP

Matching performance of FORESTERS INVESTMENT MANAGEMENT COMP by investing same stocks.

Get the number of shares each stock for investing:





MAJOR GURUS:
Warren Buffett
John Paulson
George Soros

*Data and information is provided for informational purposes only, and is not intended for trading purposes.*
*By accessing the Relationalstocks.com web site, a user agrees that RelationalStocks.com shall be not liable for any errors or delays in the content.*