PRIVATE MANAGEMENT GROUP, INC.

Top Portfolio
Top Buys
Top Sells
New Buys
Exits
Berkshire Hathaway Inc
BRK.B
$83.67M13.85198,979-8.34%-$7.62M3.2
Park-Ohio Holdings Corp.
PKOH
$26.05M7.47976,552-0.49%-$129,718.161
Ardmore Shipping Corporation
ASC
$26.26M3.831.6M-0.65%-$172,015.921
Forward Air Corporation
FWRD
$31.01M3.77996,705New+$31.01M1.19
Piedmont Office Realty Trust, Inc.
PDM
$32.56M3.744.63M+0.32%+$103,931.531.25
BrightSpire Capital, Inc.
BRSP
$30.66M3.414.45M+0.39%+$117,894.791.17
SiriusPoint Ltd.
SPNT
$67.11M3.15.28M-4.68%-$3.3M2.57
Barings BDC, Inc.
BBDC
$28.17M2.863.03M+0.09%+$24,914.701.08
Telephone and Data Systems, Inc.
TDS
$36.41M2.142.27M-10.91%-$4.46M1.39
Brookfield Business Corporation
BBUC
$33.67M1.911.39M-0.86%-$290,887.001.29
JBG SMITH Properties
JBGS
$25.25M1.711.57M-0.38%-$96,861.750.97
O-I Glass, Inc.
OI
$34.27M1.332.07M+0.66%+$224,877.451.31
Cable One, Inc.
CABO
$28.16M1.1966,559+648.27%+$24.4M1.08
California Resources Corporation
CRC
$38.18M1.02692,938+0.86%+$324,979.801.46
Park Hotels & Resorts Inc.
PK
$34.62M0.941.98M-9.84%-$3.78M1.32
Organon & Co.
OGN
$43.53M0.92.32M-0.85%-$374,533.601.66
International Seaways, Inc.
INSW
$22.98M0.88431,990-0.82%-$190,296.400.88
DigitalBridge Group, Inc.
DBRG
$25.41M0.761.32M-0.89%-$228,811.980.97
Jefferies Financial Group Inc.
JEF
$56.27M0.61.28M-9.96%-$6.22M2.15
PBF Energy Inc.
PBF
$38.68M0.57671,932-4.89%-$1.99M1.48
Prosperity Bancshares, Inc.
PB
$35.43M0.56538,557-0.56%-$198,392.481.35
Old National Bancorp
ONB
$30.85M0.561.77M-0.51%-$158,239.491.18
Nexstar Media Group, Inc.
NXST
$28.27M0.5164,056-9.48%-$2.96M1.08
Vornado Realty Trust
VNO
$25.57M0.47888,751-9.53%-$2.69M0.98
Pinnacle Financial Partners, Inc.
PNFP
$30.77M0.46358,290-9.81%-$3.35M1.18
AutoNation, Inc.
AN
$24.24M0.36146,371-1.05%-$258,470.380.93
Darling Ingredients Inc.
DAR
$24.43M0.33525,190+16.63%+$3.48M0.93
Vontier Corporation
VNT
$22.94M0.33505,811-33.8%-$11.71M0.88
CNA Financial Corporation
CNA
$36.1M0.29794,755-8.79%-$3.48M1.38
Penske Automotive Group, Inc.
PAG
$31.49M0.29194,399-10.57%-$3.72M1.2
Albertsons Companies, Inc.
ACI
$33.25M0.271.55M+0.2%+$68,157.761.27
Crown Holdings, Inc.
CCK
$24M0.25302,842-0.42%-$102,324.660.92
Ally Financial Inc.
ALLY
$30.26M0.25745,614-7.58%-$2.48M1.16
Tenet Healthcare Corporation
THC
$24.22M0.24230,381-18.86%-$5.63M0.93
Sun Communities, Inc.
SUI
$29.78M0.19231,605-2.27%-$690,217.441.14
State Street Corporation
STT
$41.59M0.18537,901-1.03%-$433,069.321.59
The Carlyle Group Inc.
CG
$28.46M0.17606,656-2.9%-$851,416.501.09
Warner Bros. Discovery, Inc.
WBD
$34M0.163.89M+14.23%+$4.23M1.3
Valero Energy Corporation
VLO
$62.94M0.11368,716-9.25%-$6.42M2.41
The Bank of New York Mellon Corporation
BK
$45.65M0.11792,299-3.08%-$1.45M1.75
MetLife, Inc.
MET
$25.36M0.05342,216+0.97%+$243,673.900.97
Brookfield Corporation
BN
$28.2M0.04673,541-0.64%-$180,710.921.08
Gilead Sciences, Inc.
GILD
$33.06M0.04451,366+0.07%+$23,879.501.26
FedEx Corporation
FDX
$22.89M0.0379,000-2.41%-$564,993.050.88
Verizon Communications Inc.
VZ
$46.78M0.031.11M-2.2%-$1.05M1.79
Comcast Corporation
CMCSA
$35.06M0.02808,724-0.71%-$252,297.051.34
Alibaba Group Holding Limited
BABA
$23.34M0.01322,541+26.79%+$4.93M0.89
JPMorgan Chase & Co.
JPM
$38.18M0.01190,590-38.25%-$23.65M1.46
Alphabet Inc.
GOOGL
$27.66M<0.01183,252-3.88%-$1.12M1.06
Vanguard Short-Term Corporate Bond Index Fund
VCSH
$29.16M<0.01377,137-13.84%-$4.68M1.11