C000044903 Holdings — ClearBridge All Cap Value Fund

All 70 reported holdings of ClearBridge All Cap Value Fund (C000044903) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Oracle Corp.2.91%$45.89M
Bank of America Corp2.90%$45.74M
American International Group I2.82%$44.54M
Fiserv Inc2.60%$40.99M
Johnson & Johnson2.50%$39.46M
Micron Technology Inc2.50%$39.46M
AbbVie Inc2.50%$39.45M
Freeport-McMoRan Inc2.31%$36.45M
Murphy USA Inc2.23%$35.21M
Fairfax Financial Holdings Ltd2.08%$32.91M
Vistra Corp2.04%$32.24M
Noble Corp PLC1.98%$31.25M
Vulcan Materials Co1.97%$31.09M
Meta Platforms Inc1.92%$30.25M
TotalEnergies SE1.90%$30.01M
T-Mobile US Inc1.90%$29.95M
Baker Hughes Co1.78%$28.14M
Aes Corp.1.78%$28.11M
Goldman Sachs Group Inc/The1.72%$27.14M
Onemain Holdings, Inc.1.69%$26.67M
Gilead Sciences Inc1.63%$25.73M
Uber Technologies Inc1.61%$25.44M
American Tower Corp1.60%$25.27M
ConocoPhillips1.59%$25.16M
Nestle SA1.56%$24.59M
Block Inc1.53%$24.18M
EQT Corp1.52%$24.04M
MGIC Investment Corp1.50%$23.70M
Hess Corp1.49%$23.60M
Corebridge Financial Inc1.48%$23.30M
Clean Harbors Inc1.43%$22.61M
Target Corp1.41%$22.21M
Constellation Energy Corp1.40%$22.03M
JPMorgan 100% US Treasury Securities Money Market Fund1.33%$20.94M
Western Asset Premier Institutional US Treasury Reserves1.33%$20.94M
Capital One Financial Corp1.32%$20.77M
Exelon Corp.1.31%$20.77M
M&T Bank Corp1.29%$20.43M
Gen Digital Inc1.27%$19.98M
Air Liquide SA1.26%$19.84M
Seagate Technology Holdings PL1.24%$19.62M
Corteva Inc1.20%$18.88M
Autozone, Inc.1.13%$17.78M
Medtronic PLC1.12%$17.71M
Marvell Technology Inc1.11%$17.48M
American Homes 4 Rent1.06%$16.72M
Six Flags Entertainment Corp1.05%$16.57M
Haleon PLC1.05%$16.52M
Alaska Air Group Inc1.02%$16.16M
Icon PLC0.99%$15.67M
Zebra Technologies Corp0.98%$15.45M
Everest Group Ltd0.97%$15.24M
Coty Inc0.95%$15.03M
Canadian Pacific Kansas City L0.95%$14.96M
Skyworks Solutions Inc0.94%$14.92M
GE Vernova Inc0.87%$13.72M
Wheaton Precious Metals Corp0.83%$13.11M
Euronet Worldwide Inc0.82%$12.94M
Boeing Co/The0.81%$12.74M
Atlas Energy Solutions Inc0.79%$12.46M
PPL Corp0.79%$12.44M
PG&E Corp0.77%$12.22M
GATX Corp0.75%$11.91M
WESCO International Inc0.75%$11.89M
Performance Food Group Co0.73%$11.57M
Lithia Motors Inc0.72%$11.36M
Biogen Inc0.59%$9.27M
Airbnb Inc0.58%$9.10M
Hillman Solutions Corp0.56%$8.85M
Olin Corp0.51%$8.02M

C000044903 overview: performance, fees, allocation and SEC filings