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Smead Capital Management, Inc.tracked

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CIK 1427008

13F portfolio (2026-Q1)
$4.6B
Positions
32
Implied 1Y CAGR
+38.2%
modeled · as filed

Reported long US book (13F) · Δ vs 2025-Q4 · methodology

Implied return what this book implies methodology →

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As filed = each book applied at quarter-end (what it did) · As copyable = applied at the 45-day filing deadline (what a follower could have earned).

Computing…

Exposures · what it owns, by sector & size (2026-Q1)

Holdings
32
Top 5
34.4%
Top 10
57.6%
Effective N
21.5
HHI
0.047

By sector

Energy: 30.0%Financials: 19.8%Health Care: 11.8%Real Estate: 11.3%Consumer Discretionary: 10.2%Industrials: 7.6%Consumer Staples: 3.9%Unclassified: 2.7%Other: 2.6%Sector
Energy30.0%
Financials19.8%
Health Care11.8%
Real Estate11.3%
Consumer Discretionary10.2%
Industrials7.6%
Consumer Staples3.9%
Unclassified2.7%
Other2.6%

By market cap

Large ($10–200B): 52.9%Mega (>$200B): 25.6%Unknown: 11.5%Mid ($2–10B): 10.1%Size
Large ($10–200B)52.9%
Mega (>$200B)25.6%
Unknown11.5%
Mid ($2–10B)10.1%

By region

North America: 97.3%Other: 2.7%Region
North America97.3%
Other2.7%

By industry group GICS — finer than sector

Industry groupWeightNames
Oil, Gas & Consumable Fuels29.99%5
Banks17.77%7
Pharmaceuticals & Biotechnology11.81%2
Equity Real Estate Investment Trusts (REITs)11.33%2
Construction & Engineering10.55%3
Specialty Retail7.55%3
Commercial Services & Supplies3.51%1
Unclassified2.72%4
Insurance2.04%1
Communications Equipment1.53%1
Chemicals0.93%1
Paper & Forest Products0.16%1
Automobiles & Components0.10%1

Top holdings

#TickerNameSectorWeight
1CVECENOVUS ENERGYEnergy8.58%
2APAAPA CorpEnergy7.63%
3MRKMerck & Co., Inc.Health Care6.47%
4SPGSIMON PROPERTY GROUP INC.Real Estate6.33%
5AMGNAMGEN INCHealth Care5.34%
6MACMACERICH COReal Estate5.00%
7COPCONOCOPHILLIPSEnergy4.80%
8FANGDiamondback Energy, Inc.Energy4.60%
9DHIHORTON D R INC /DE/Industrials4.47%
10OXYOCCIDENTAL PETROLEUM CORP /DE/Energy4.38%

28/32 classified; unclassified names are still shown.

Sector allocation over time · how the sector mix & top names shifted each quarter

top 5 per sector, the rest → “Other” · 52 quarters
0%25%50%75%100%20132014201520162017201820192020202120222023202420252026AXPJPMBACAFLBRK.BOther FinancialsAMGNMRKPFEMDTGILDOther Health CareEBAYLENHDHRBSBUXOther Consumer DiscretionaryOXYCOPAPAOVVCVEOther EnergyNVRDHIUHALALKCMISPGMACMRPDISCMCSAWBDNWSASIRITGTKRACNQCOMCARSMSFTCROXWFGDISCOVERY INCCABELAS INCCONTINENTAL RES INCTGNAGANNETT INCOther Unclassified

Sector allocation over 52 reported quarters, 2013-Q2 to 2026-Q1, 51 bands (top holdings within each sector). Latest quarter 2026-Q1: Other Financials 10.3%, CVE 8.6%, APA 7.6%, MRK 6.5%, SPG 6.3%. Use the arrow keys to read a quarter.

FinancialsAXP, JPM, BAC, AFL, BRK.B · other
Health CareAMGN, MRK, PFE, MDT, GILD · other
Consumer DiscretionaryEBAY, LEN, HD, HRB, SBUX · other
EnergyOXY, COP, APA, OVV, CVE · other
IndustrialsNVR, DHI, UHAL, ALK, CMI
Real EstateSPG, MAC, MRP
Communication ServicesDIS, CMCSA, WBD, NWSA, SIRI
Consumer StaplesTGT, KR
Information TechnologyACN, QCOM, CARS, MSFT
MaterialsCROX, WFG
UnclassifiedDISCOVERY INC, CABELAS INC, CONTINENTAL RES INC, TGNA, GANNETT INC · other

Sector is classified on each name's CURRENT fundamentals, not point-in-time — apparent sector drift can reflect the market re-rating a holding, not a manager trade. 13F is a lagged quarterly snapshot of long positions in US-listed securities only — foreign companies held via a US listing or ADR ARE included, but shares listed only on non-US exchanges (plus shorts, options and cash) are not. Latest quarter: 97.3% of the book is classified (unclassified names are still shown).

Style box · size × value-growth placement (2026-Q1), classified on today's fundamentals (not point-in-time) — load into PORT to overlay your own book

ValueCore (blend)GrowthSmallMidLarge4%0.1%27%20%11%20%
holdings, colored by sector (24 classified)Smead Capital Management, Inc. centroid (Mid Value)
EnergyFinancialsHealth CareConsumer DiscretionaryIndustrialsReal EstateConsumer StaplesInformation Technology

Style box summary for Smead Capital Management, Inc.: centroid Mid Value. Heaviest cells: Mid Value 26.7%, Large Core 20.5%, Mid Core 19.8%.

Classified: 82.6% of book weight (24/32 names) · unclassified 17.4%.

Contribution holdings-based, any period

Attribution lands once this book has priced history across the window. Try a longer period.

Holdings· 32 positions (2026-Q1) · largest first · Δ vs 2025-Q4

#SecuritySharesValueWeightΔ QoQ
1CVECENOVUS ENERGY INC14,868,003$394M8.6%TRIM −11%
2APAAPA CORPORATION8,269,815$351M7.6%TRIM −13%
3MRKMERCK & CO INC2,471,398$297M6.5%TRIM −13%
4SPGSIMON PPTY GROUP INC NEW1,559,860$291M6.3%TRIM −13%
5AMGNAMGEN INC697,919$246M5.3%TRIM −13%
6MACMACERICH CO12,155,332$230M5.0%TRIM −13%
7COPCONOCOPHILLIPS1,671,303$221M4.8%TRIM −13%
8FANGDIAMONDBACK ENERGY INC1,069,328$212M4.6%TRIM −13%
9DHID R HORTON INC1,497,723$206M4.5%TRIM −13%
10OXYOCCIDENTAL PETE CORP3,095,535$201M4.4%TRIM −13%
11AXPAMERICAN EXPRESS CO602,643$182M4.0%TRIM −22%
12TGTTARGET CORP1,492,670$181M3.9%TRIM −13%
13EBAYEBAY INC.1,771,494$161M3.5%TRIM −13%
14NVRNVR INC21,538$142M3.1%TRIM −13%
15LENLENNAR CORP1,586,225$138M3.0%TRIM −13%
16BACBANK AMERICA CORP2,759,684$135M2.9%TRIM −13%
17FITBFIFTH THIRD BANCORP2,831,423$132M2.9%TRIM −13%
18JPMJPMORGAN CHASE & CO416,094$122M2.7%TRIM −26%
19HDHOME DEPOT INC307,339$101M2.2%TRIM −13%
20WALWESTERN ALLIANCE BANCORP1,355,591$96M2.1%TRIM −13%
21UHAL.BU HAUL HOLDING COMPANY2,146,425$96M2.1%TRIM −13%
22UNHUNITEDHEALTH GROUP INC347,102$94M2.0%ADD 12%
23CACCCREDIT ACCEP CORP MICH210,470$89M1.9%ADD 12%
24QCOMQUALCOMM INC545,810$70M1.5%TRIM −13%
25ULTAULTA BEAUTY INC124,895$65M1.4%TRIM −13%
26MTBM & T BK CORP293,869$61M1.3%TRIM −13%
27CROXCROCS INC517,170$43M0.9%TRIM −13%
28FROFrontline, LTD.610,694$21M0.5%ADD 4%
29WFGWEST FRASER TIMBER CO LTD114,778$7M0.2%ADD 110%
30OXY.WSOCCIDENTAL PETE CORP151,211$6M0.1%HOLD
31GTXGARRETT MOTION INC254,910$5M0.1%ADD 4%
32IWDISHARES TR6,264$1M0.0%ADD 43%

Position trends· top 15 holdings · shares held over 6 quarters

green added · red trimmed
Security2024-Q42025-Q12025-Q22025-Q32025-Q42026-Q1Latest value
CVECENOVUS ENERGY INC15.1M15.5M17.6M16.4M16.8M14.9M$394M
APAAPA CORPORATION12.7M12.4M10.9M10.2M9.5M8.3M$351M
MRKMERCK & CO INC3.3M3.3M3.3M3.0M2.8M2.5M$297M
SPGSIMON PPTY GROUP INC NEW2.6M2.3M2.1M1.9M1.8M1.6M$291M
AMGNAMGEN INC1.1M1.0M923K857K802K698K$246M
MACMACERICH CO19.9M18.2M16.1M14.9M14.0M12.2M$230M
COPCONOCOPHILLIPS2.1M2.1M1.9M1.8M1.9M1.7M$221M
FANGDIAMONDBACK ENERGY INC1.1M1.3M1.2M1.1M$212M
DHID R HORTON INC2.5M2.2M2.0M1.8M1.7M1.5M$206M
OXYOCCIDENTAL PETE CORP6.5M5.9M4.1M3.8M3.5M3.1M$201M
AXPAMERICAN EXPRESS CO1.3M1.2M885K822K768K603K$182M
TGTTARGET CORP1.5M1.6M2.0M1.8M1.7M1.5M$181M
EBAYEBAY INC.3.6M3.3M2.9M2.2M2.0M1.8M$161M
NVRNVR INC35K32K28K26K25K22K$142M
LENLENNAR CORP2.6M2.4M2.1M1.9M1.8M1.6M$138M

Green = added, red = trimmed, grey = held; a dash is a quarter with no 13F on file — a gap, not an exit.

Related· where to look next

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Firm lineageForm ADV + cited

Where this firm's principals came from, and what its alumni went on to found.

joins filed 13F data only — no style, strategy or performance similarity is claimed · 13F 2026-Q1
Similar managers — “Similar” = same top sector (Energy) + closest 13F size, self excluded; NOT a style or performance match, and a filer whose real business is elsewhere (shorts, private, non-13F) can still surface.
Also hold CVE — other Section 13(f) filers reporting a long position in this book's largest tickered holding for 2026-Q1. Lagged quarterly filings (up to 45 days after quarter-end); “% of shares out” is omitted where the reported share count can't carry it.
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