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  Name: DEROY & DEVEREAUX PRIVATE INVESTMENT COUNSEL INC
  City: SOUTHFIELD
  State: MI
  Zip: 48076
   
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Portfolio Summary View Filing
  Filing Report Date : 2024-03-31
  Total Value : $1,640,494,000
  Total Value Change : $139,664,000
  Securities Held Change : 6
   
All Securities Held : 172
  New Positions : 9
  Closed Positions : 4
  Increased Positions : 45
  Unchanged Positions : 37
  Decreased Positions : 81

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Holdings Found : 45     View All Holdings Currently Viewing:  Increased Positions     Page 1 of 1
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Ticker Company Name Position
Rank
New/Closed
Postion
Last
Close
    Value Shares Held
% of
Portfolio
Value
Change
Change In
Shares Held
   % of Company    Industry
   (CACI)1 Year Chart         CACI CACI International Inc 15 - $407.70 $31,345,000 82,741 1.91% 9,278,000 14,602 0.328    Technical Services
   (DELL)1 Year Chart         DELL Dell Technologies Inc 26 - $118.78 $25,862,000 226,639 1.58% 13,520,000 65,309 0.087    N/A
   (VSH)1 Year Chart         VSH Vishay Intertechnology Inc 28 - $21.42 $25,020,000 1,103,189 1.53% -677,000 31,148 0.832    Diversified Electronics
   (WBS)1 Year Chart         WBS Webster Financial Corp 33 - $44.38 $21,781,000 429,020 1.33% 5,087,000 100,139 0.244    Savings & Loans
   (JBT)1 Year Chart         JBT John Bean Technologies Corp 40 - $88.84 $19,912,000 189,835 1.21% 7,577,000 65,804 0.588    Diversified Machinery
   (VTI)1 Year Chart         VTI Vanguard Total Stock Market... 58 - $247.99 $9,676,000 37,229 0.59% 3,236,000 10,080 0.004    Closed - End Fund - E...
   (EPD)1 Year Chart         EPD Enterprise Products Partner... 60 - $27.74 $8,082,000 276,960 0.49% 897,000 4,300 0.013    Independent Oil & Gas
   (UHS)1 Year Chart         UHS Universal Health Services Inc 61 - $170.19 $6,287,000 34,455 0.38% 1,169,000 880 0.044    Hospitals
   (EVR)1 Year Chart         EVR Evercore Partners Inc. 62 - $184.08 $5,808,000 30,155 0.35% 777,000 740 0.074    Asset Management
   (TTWO)1 Year Chart         TTWO Take-Two Interactive 65 - $142.74 $4,613,000 31,064 0.28% -258,000 800 0.019    Technical & System So...
   (AUB)1 Year Chart         AUB Atlantic Union Bankshares Corp 66 - $32.62 $4,581,000 129,730 0.28% 14,000 4,745 0.165    Domestic Regional Banks
   (ALK)1 Year Chart         ALK Alaska Air Group Inc 67 - $42.18 $4,435,000 103,170 0.27% 449,000 1,160 0.083    Regional Airlines
   (SNV)1 Year Chart         SNV Synovus Financial Corp 68 - $36.40 $4,386,000 109,475 0.27% 3,000,000 72,670 0.074    Domestic Regional Banks
   (VVI)1 Year Chart         VVI Viad Corp 69 - $34.26 $4,351,000 110,185 0.27% 1,166,000 22,205 0.539    Business Services
   (NOMD)1 Year Chart         NOMD Nomad Foods Ltd 70 - $18.03 $3,900,000 199,410 0.24% 610,000 5,290 0.101    N/A
   (STE)1 Year Chart         STE Steris Corp 71 - $205.04 $3,811,000 16,950 0.23% 191,000 485 0.017    Medical Appliances & ...
   (REYN)1 Year Chart         REYN Reynolds Consumer Products ... 72 - $28.57 $3,809,000 133,380 0.23% 308,000 2,940 0.064    N/A
   (DINO)1 Year Chart         DINO Hf Sinclair Corp 73 - $53.63 $3,795,000 62,855 0.23% 393,000 1,630 0.028    N/A
   (VCSH)1 Year Chart         VCSH Vanguard Scottsdale Funds 75 - $76.46 $3,782,000 48,920 0.23% 372,000 4,850 0    N/A
   (MRO)1 Year Chart         MRO Marathon Oil Corp 76 - $26.10 $3,584,000 126,460 0.22% 599,000 2,925 0.016    Oil & Gas Refining, P...
   (HSIC)1 Year Chart         HSIC Henry Schein Inc 77 - $68.78 $3,494,000 46,270 0.21% 79,000 1,160 0.032    Medical Equipment Who...
   (OUT)1 Year Chart         OUT Outfront Media Inc 78 - $16.29 $3,461,000 206,125 0.21% 648,000 4,595 0.116    Domestic Regional Banks
   (IWW)1 Year Chart         IWW iShares Russell 3000 Value 79 - $86.26 $3,412,000 37,730 0.21% 277,000 550 0.004    Closed - End Fund - E...
   (WAT)1 Year Chart         WAT Waters Corp 81 - $315.92 $3,225,000 9,370 0.2% 234,000 285 0.015    Scientific & Technica...
   (PNM)1 Year Chart         PNM PNM Resources Inc 82 - $37.39 $3,105,000 82,490 0.19% 1,260,000 38,145 0.096    Multi Utilities
   (NWE)1 Year Chart         NWE Northwestern Corp 83 - $50.85 $3,097,000 60,810 0.19% 48,000 900 0.102    Multi Utilities
   (LKQ)1 Year Chart         LKQ LKQ Corp 84 - $43.13 $3,092,000 57,890 0.19% 1,091,000 16,015 0.019    Auto Parts Wholesale
   (GLPI)1 Year Chart         GLPI Gaming & Leisure Properties... 86 - $43.13 $2,916,000 63,300 0.18% -115,000 1,875 0.025    REIT - Diversified
   (APLE)1 Year Chart         APLE Apple Hospitality REIT Inc 88 - $14.85 $2,730,000 166,637 0.17% 31,000 4,135 0.075    N/A
   (HTLF)1 Year Chart         HTLF Heartland Financial USA Inc 90 - $42.08 $2,665,000 75,830 0.16% -109,000 2,070 0.206    Savings & Loans
   (MTCH)1 Year Chart         MTCH Match Group, Inc. 91 - $107.05 $2,495,000 68,780 0.15% 85,000 2,765 0.025    N/A
   (CCK)1 Year Chart         CCK Crown Holdings Inc 92 - $83.06 $2,325,000 29,330 0.14% -299,000 840 0.022    Packaging & Containers
   (FUN)1 Year Chart         FUN Cedar Fair LP 93 - $38.10 $2,162,000 51,600 0.13% 116,000 200 0.091    Sporting and Park Ent...
   (OLN)1 Year Chart         OLN Olin Corp 96 - $52.06 $1,932,000 32,865 0.12% 216,000 1,050 0.021    Synthetics
   (VEU)1 Year Chart         VEU Vanguard FTSE All-World ETF 97 - $57.31 $1,847,000 31,491 0.11% 296,000 3,868 0.006    Closed - End Fund - F...
   (IWM)1 Year Chart         IWM iShares Tr Russell 2000 Indx 99 - $196.31 $1,380,000 6,562 0.08% 70,000 35 0    Closed - End Fund - E...
   (MRK)1 Year Chart         MRK Merck & Co Inc 100 - $131.20 $1,314,000 9,961 0.08% 291,000 580 0    Drug Manufacturers - ...
   (NVDA)1 Year Chart         NVDA NVIDIA Corporation 106 - $830.41 $1,084,000 1,200 0.07% 527,000 75 0    Semiconductor - Speci...
   (IWB)1 Year Chart         IWB ishares trust Russell 1000 107 - $275.18 $826,000 2,868 0.05% 79,000 20 0.002    Closed - End Fund - E...
   (VTWO)1 Year Chart         VTWO Vanguard Russell 2000 Etf 108 - $79.36 $819,000 9,631 0.05% 265,000 2,795 0.014    N/A
   (WMT)1 Year Chart         WMT Wal-Mart Stores Inc 115 - $60.24 $695,000 11,550 0.04% 88,000 7,700 0    Discount, Variety Stores
   (QQQ)1 Year Chart         QQQ Invesco QQQ Trust Series I 127 - $421.52 $561,000 1,264 0.03% 47,000 9 0    Closed - End Fund - Debt
   (VNQ)1 Year Chart         VNQ Vanguard REIT Index VIPERs 133 - $79.64 $489,000 5,660 0.03% 50,000 692 0.002    Closed - End Fund - E...
   (VCIT)1 Year Chart         VCIT Vanguard Intermediate-Term 139 - $78.35 $428,000 5,320 0.03% 13,000 220 0.001    Closed - End Fund - Debt
   (PG)1 Year Chart         PG Procter & Gamble Co 165 - $163.40 $213,000 1,310 0.01% 213,000 1,310 0    Cleaning Products

      45 Records Found
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