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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 Portfolio (reported on 2020-05-05)
Company (links to holding history) Ticker Value On
2020-03-31
No of Shares % of portfolio
NextEra Energy Inc    (COM) NEE 180,763,000 751,239 4.39%
BCE Inc.    (COM) BCE 175,866,000 4,304,113 4.27%
Johnson & Johnson    (COM) JNJ 167,714,000 1,278,987 4.08%
Intel Corp.    (COM) INTC 151,569,000 2,800,613 3.68%
Cisco Systems Inc.    (COM) CSCO 149,097,000 3,792,858 3.62%
AT&T Inc.    (COM) T 145,774,000 5,000,808 3.54%
JP Morgan Chase & Co.    (COM) JPM 145,535,000 1,616,520 3.54%
Pfizer Inc.    (COM) PFE 139,587,000 4,276,561 3.39%
Merck & Co. Inc.    (COM) MRK 138,293,000 1,797,420 3.36%
Chubb Ltd.    (COM) CB 130,510,000 1,168,503 3.17%
Philip Morris International In    (COM) PM 129,470,000 1,774,541 3.15%
Chevron Corp.    (COM) CVX 120,756,000 1,666,522 2.93%
Kimberly-Clark Corp.    (COM) KMB 104,287,000 815,567 2.53%
Johnson Controls International    (COM) 103,704,000 3,846,575 2.52%
Raytheon Co.    (COM) RTN 100,881,000 769,200 2.45%
Welltower Inc.    (COM) HCN 97,502,000 2,129,793 2.37%
Target Corp.    (COM) TGT 96,664,000 1,039,732 2.35%
Wells Fargo & Co.    (COM) WFC 95,967,000 3,343,789 2.33%
Microsoft Corp.    (COM) MSFT 95,904,000 608,101 2.33%
Eli Lilly & Co.    (COM) LLY 95,333,000 687,234 2.31%
Truist Financial Corp    (COM) 94,978,000 3,079,688 2.31%
ConocoPhillips    (COM) COP 94,145,000 3,056,660 2.29%
Genuine Parts Co.    (COM) GPC 84,382,000 1,253,267 2.05%
Walgreens Boots Alliance Inc.    (COM) WBA 84,041,000 1,836,954 2.04%
Exxon Mobil Corp.    (COM) XOM 82,067,000 2,161,353 1.99%
3M Co.    (COM) MMM 80,873,000 592,431 1.96%
Healthpeak Properties Inc    (COM) 77,987,000 3,269,891 1.89%
Citigroup Inc.    (COM) C 70,959,000 1,684,677 1.72%
Altria Group Inc.    (COM) MO 70,517,000 1,823,565 1.71%
General Dynamics Corp.    (COM) GD 70,121,000 529,977 1.70%
Bank of America Corp.    (COM) BAC 67,024,000 3,157,040 1.63%
Medtronic PLC    (COM) MDT 64,783,000 718,379 1.57%
The Travelers Companies Inc.    (COM) TRV 59,390,000 597,788 1.44%
Dow Inc    (COM) 56,553,000 1,934,095 1.37%
Lowe's Cos. Inc.    (COM) LOW 52,658,000 611,942 1.28%
Duke Energy Corp.    (COM) DUK 49,782,000 615,508 1.21%
Manulife Financial Corp.    (COM) MFC 31,196,000 2,487,683 0.75%
iShares MSCI EAFE ETF    (COM) EFA 25,608,000 479,007 0.62%
Las Vegas Sands Corp.    (COM) LVS 20,403,000 480,408 0.49%
Corning Inc.    (COM) GLW 19,761,000 962,077 0.48%
Verizon Communications Inc.    (COM) VZ 17,033,000 317,017 0.41%
Eaton Corp. PLC    (COM) ETN 16,164,000 208,057 0.39%
General Mills Inc.    (COM) GIS 15,199,000 288,031 0.36%
ConAgra Brands Inc    (COM) CAG 14,490,000 493,879 0.35%
Financial Select Sector SPDR F    (COM) XLF 13,888,000 667,056 0.33%
PPL Corp.    (COM) PPL 10,372,000 420,248 0.25%
DuPont De Nemour    (COM) 10,103,000 296,272 0.24%
AIA Group Ltd    (COM) AAIGF 9,861,000 1,089,829 0.23%
Power Assets    (COM) HGKGF 9,757,000 1,631,945 0.23%
Honeywell International Inc.    (COM) HON 7,324,000 54,746 0.17%
iShares MSCI India ETF    (COM) INDA 7,023,000 291,305 0.17%
Industrial Select Sector SPDR    (COM) XLI 6,797,000 115,184 0.16%
Bristol-Myers Squibb Co.    (COM) BMY 6,623,000 118,815 0.16%
Consumer Staples Select Sector    (COM) XLP 6,378,000 117,083 0.15%
Energy Select Sector SPDR Fund    (COM) XLE 6,187,000 212,896 0.15%
The Allstate Corp.    (COM) ALL 5,482,000 59,762 0.13%
Oracle Corp.    (COM) ORCL 5,329,000 110,257 0.12%
Morgan Stanley    (COM) MS 5,250,000 154,402 0.12%
Samsung Electronics Co. Ltd. -    (COM) SSNGY 4,482,000 5,393 0.10%
Mondelez International Inc.    (COM) MDLZ 4,328,000 86,426 0.10%
The Walt Disney Co.    (COM) DIS 4,309,000 44,604 0.10%
Canadian National Railway Co.    (COM) CNI 4,244,000 54,666 0.10%
PT Bank Rakyat Indonesia    (COM) BKRKF 4,209,000 22,698,884 0.10%
iShares MSCI Taiwan ETF    (COM) 4,104,000 124,487 0.09%
iShares MSCI South Korea ETF    (COM) EWY 4,042,000 86,157 0.09%
Thermo Fisher Scientific Inc.    (COM) TMO 3,690,000 13,011 0.08%
Arrow Electronics Inc.    (COM) ARW 3,654,000 70,439 0.08%
Sempra Energy    (COM) SRE 3,444,000 30,478 0.08%
Samsung Electronics GDR    (COM) SSNHY 3,427,000 3,451 0.08%
iShares MSCI ACWI ex US ETF    (COM) ACWX 3,420,000 90,838 0.08%
Health Care Select Sector SPDR    (COM) XLV 3,418,000 38,586 0.08%
iShares US Telecommunications    (COM) IYZ 3,401,000 136,817 0.08%
Newmont Corp    (COM) NEM 3,394,000 74,960 0.08%
Comcast Corp. (Cl A)    (COM) CMCSA 3,294,000 95,813 0.08%
BOEING CO/THE    (COM) BA 2,884,000 19,341 0.07%
Credicorp Ltd.    (COM) BAP 2,627,000 18,363 0.06%
Indo Tambangraya Megah PT    (COM) PTIZF 2,596,000 5,219,054 0.06%
BorgWarner Inc.    (COM) BWA 2,447,000 100,391 0.05%
CVS Healthcare Corp    (COM) CVS 2,432,000 40,993 0.05%
Union Pacific Corp.    (COM) UNP 2,386,000 16,914 0.05%
Globaltrans Investment PLC GDR    (COM) 2,221,000 419,088 0.05%
PepsiCo Inc.    (COM) PEP 1,846,000 15,370 0.04%
Wal-Mart Stores Inc.    (COM) WMT 1,836,000 16,162 0.04%
iShares Russell 1000 Value ETF    (COM) IWD 1,767,000 17,821 0.04%
McDonald's Corp.    (COM) MCD 1,672,000 10,113 0.04%
Archer-Daniels-Midland Co.    (COM) ADM 1,545,000 43,920 0.03%
Consumer Discretionary Select    (COM) XLY 1,468,000 14,969 0.03%
Public Service Enterprise Grou    (COM) PEG 1,437,000 31,990 0.03%
Sonic Healthcare Ltd.    (COM) SKHCF 1,411,000 94,278 0.03%
The Procter & Gamble Co.    (COM) PG 1,198,000 10,895 0.02%
Materials Select Sector SPDR F    (COM) XLB 1,171,000 26,002 0.02%
Technology Select Sector SPDR    (COM) XLK 1,069,000 13,301 0.02%
VanEck Vectors Vietnam ETF    (COM) 990,000 94,040 0.02%
National Bank of Canada    (COM) NTIOF 853,000 22,160 0.02%
Nippon Telegraph & Telephone C    (COM) NPPXF 816,000 34,045 0.01%
iShares MSCI Emerging Markets    (COM) EEM 802,000 23,512 0.01%
GlaxoSmithKline PLC    (COM) GLAXF 711,000 37,766 0.01%
BAE Systems PLC    (COM) BAESF 685,000 105,558 0.01%
Amgen Inc.    (COM) AMGN 580,000 2,860 0.01%
Royal Bank of Canada    (COM) RY 566,000 9,195 0.01%
Britvic PLC    (COM) 558,000 63,980 0.01%
Utilities Select Sector SPDR F    (COM) XLU 510,000 9,213 0.01%
Public Storage    (COM) PSA 475,000 2,390 0.01%
MKS Instruments Inc.    (COM) MKSI 440,000 5,400 0.01%
AbbVie Inc.    (COM) ABBV 439,000 5,765 0.01%
WP Carey Inc.    (COM) WPC 405,000 6,965 0.00%
Quanta Services Inc.    (COM) PWR 401,000 12,630 0.00%
US Bancorp    (COM) USB 389,000 11,297 0.00%
The Blackstone Group Inc    (COM) 387,000 8,500 0.00%
KLA Corp.    (COM) KLAC 380,000 2,643 0.00%
Columbia Sportswear Co.    (COM) COLM 368,000 5,270 0.00%
Lumentum Holdings Inc.    (COM) 368,000 4,995 0.00%
Sanmina Corp.    (COM) SANM 358,000 13,124 0.00%
PXP Vietnam Emerging Equity Fu    (COM) 337,000 55,277 0.00%
Royal Dutch Shell Class B    (COM) RYDBF 327,000 19,354 0.00%
Avnet Inc.    (COM) AVT 323,000 12,885 0.00%
Enterprise Products Partners L    (COM) EPD 304,000 21,230 0.00%
The Carlyle Group Inc.    (COM) 303,000 13,990 0.00%
Seagate Technology PLC    (COM) STX 295,000 6,040 0.00%
Sykes Enterprises Inc.    (COM) SYKE 293,000 10,805 0.00%
The Bank of New York Mellon Co    (COM) BK 286,000 8,499 0.00%
Huntsman Corp.    (COM) HUN 286,000 19,840 0.00%
Canadian Pacific Railway Ltd.    (COM) CP 284,000 1,295 0.00%
Rayonier Inc.    (COM) RYN 274,000 11,625 0.00%
Weyerhaeuser Co.    (COM) WY 270,000 15,941 0.00%
Imperial Brands PLC    (COM) ITYBF 264,000 14,175 0.00%
Mahindra & Mahindra Reg S (GDR    (COM) MAHMF 263,000 68,156 0.00%
Smiths Group PLC    (COM) SMGKF 260,000 17,053 0.00%
Acadian Timber Corp.    (COM) ACAZF 259,000 29,250 0.00%
The JM Smucker Co.    (COM) SJM 259,000 2,330 0.00%
Ameris Bancorp    (COM) ABCB 248,000 10,420 0.00%
WestRock Co.    (COM) WRK 246,000 8,705 0.00%
BOC Hong Kong Holdings Ltd.    (COM) BNKHF 238,000 86,000 0.00%
Magellan Health Inc.    (COM) MGLN 236,000 4,900 0.00%
Enterprise Financial Services    (COM) EFSC 225,000 8,059 0.00%
Crane Co.    (COM) CR 222,000 4,510 0.00%
Domtar Corp.    (COM) UFS 212,000 9,775 0.00%
RCI Hospitality Holdings Inc.    (COM) RICK 189,000 19,000 0.00%
Link REIT    (COM) LKREF 178,000 21,000 0.00%
Spirit of Texas Bancshares In    (COM) 163,000 15,773 0.00%
Fluor Corp.    (COM) FLR 113,000 16,400 0.00%
Greatview Aseptic Packaging    (COM) GRVWF 86,000 279,000 0.00%
Tassal Group Ltd    (COM) 28,000 12,910 0.00%
Total Value As 2020-03-31: 4,109,289,000 SEC FILING
* Portfolios do not reflect changes after reporting
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