Natixis Investment Managers, L.P. (also a manager on 2 through 10)

Taken From the combined 2019-09-30 13F-HR Filing of VAUGHAN NELSON INVESTMENT MANAGEMENT, L.P.

Stock Symbol Security Type Shares Market Value
CACI International Inc. Class A CACI SH 417618 96.578 Million
Kosmos Energy Ltd KOS SH 15341473 95.731 Million
Cabot Microelectronics Corp CCMP SH 610738 86.242 Million
Sherwin-Williams Co. SHW SH 156566 86.091 Million
Home Depot, Inc. (The) HD SH 353580 82.038 Million
Electronic Arts, Inc. EA SH 793170 77.588 Million
Dollar Tree Inc. DLTR SH 665160 75.935 Million
Nexstar Media Group Inc NXST SH 711998 72.845 Million
Berkshire Hathaway Inc Class B BRK.B SH 341312 71 Million
Microsoft Corp. MSFT SH 497095 69.111 Million
Virtu Financial Inc VIRT SH 4085470 66.838 Million
Southwest Gas Holdings Inc SWX SH 722955 65.818 Million
Entegris Inc. ENTG SH 1388995 65.366 Million
AT&T Inc. (Southwestern Bell - SBC Corp.) T SH 1681060 63.611 Million
Walt Disney Co. (The) DIS SH 483954 63.069 Million
General Dynamics Corp. (Electric Boat) GD SH 335607 61.325 Million
Brady Corp. Class A BRC SH 1133090 60.11 Million
AbbVie Inc ABBV SH 792700 60.023 Million
Performance Food Group Co PFGC SH 1291175 59.407 Million
Element Solutions Inc ESI SH 5663585 57.655 Million
Spire Inc. (Laclede Gas Light) SR SH 658859 57.479 Million
Landstar System Inc LSTR SH 505890 56.953 Million
MGIC Investment Corp. (1984) MTG SH 4523835 56.91 Million
Tegna Inc. (Gannett Co.) TGNA SH 3662811 56.883 Million
Selective Insurance Group Inc. SIGI SH 723585 54.406 Million
Aarons Inc. Class A AAN SH 839935 53.974 Million
Charles Schwab Corp SCHW SH 1233775 51.609 Million
Brown & Brown Inc. BRO SH 1416665 51.085 Million
Mastercard Inc MA SH 181343 49.247 Million
UnitedHealth Group Inc. UNH SH 220051 47.821 Million
Brinks Company (The) BCO SH 567122 47.043 Million
Thermo Fisher Scientific, Inc. TMO SH 160369 46.711 Million
AMN Healthcare Services Inc AMN SH 793200 45.657 Million
United Community Banks Inc UCBI SH 1552842 44.023 Million
Albany International Corp. (DE) AIN SH 487700 43.971 Million
Booz Allen Hamilton Holding Corp BAH SH 614863 43.668 Million
PRA Health Sciences Inc PRAH SH 439964 43.658 Million
Integra LifeSciences Holdings Corp IART SH 718805 43.179 Million
Texas Instruments, Inc. TXN SH 333143 43.055 Million
Adtalem Global Education Inc. (Kellery & Taylor Corp. -Devry Inc.) ATGE SH 1126815 42.92 Million
Raytheon Co. RTN SH 218754 42.917 Million
Atlantic Union Bankshares Corp AUB SH 1152190 42.913 Million
First Financial Bancorp, Inc. (OH) FFBC SH 1697232 41.54 Million
GrafTech International Ltd EAF SH 3229553 41.338 Million
Knight Transportation Inc. KNX SH 1111500 40.347 Million
Ares Capital Corp ARCC SH 2145344 39.978 Million
First Merchants Corp. FRME SH 1041160 39.184 Million
FirstCash Inc FCFS SH 423616 38.833 Million
Cushman & Wakefield PLC CWK SH 2017560 37.385 Million
Mercury General Corp. MCY SH 664178 37.114 Million
Littelfuse Inc. LFUS SH 208460 36.962 Million
Cameco Corp. CCJ SH 3834814 36.431 Million
Moog Inc Class A MOG.A SH 433325 35.151 Million
QUALCOMM Inc. QCOM SH 459670 35.064 Million
Physicians Realty Trust DOC SH 1963747 34.857 Million
Facebook Inc FB SH 195015 34.728 Million
Citigroup, Inc. C SH 495213 34.209 Million
Franklin Electric Co FELE SH 712930 34.085 Million
LPL Financial Holdings Inc LPLA SH 413484 33.864 Million
First Bancorp (NC) FBNC SH 866175 31.096 Million
Fabrinet FN SH 588490 30.778 Million
Enterprise Financial Services Corp EFSC SH 755085 30.77 Million
National Storage Affiliates Trust NSA SH 915499 30.55 Million
Emergent BioSolutions Inc EBS SH 569765 29.787 Million
Webster Financial Corp. WBS SH 626420 29.36 Million
Perspecta Inc PRSP SH 1110370 29.003 Million
Lantheus Holdings Inc LNTH SH 1117229 28.003 Million
Community Healthcare Trust Inc CHCT SH 622506 27.733 Million
Dunkin Brands Group Inc DNKN SH 337201 26.76 Million
Lakeland Financial Corp. LKFN SH 537153 23.624 Million
Nova Measuring Instruments Ltd NVMI SH 731875 23.252 Million
MaxLinear Inc MXL SH 1036362 23.194 Million
Rambus Inc. RMBS SH 1718840 22.56 Million
Wheaton Precious Metals Corp WPM SH 851775 22.351 Million
Versum Materials Inc VSM SH 420995 22.283 Million
Moodys Corp MCO SH 106255 21.764 Million
Roper Technologies Inc ROP SH 60425 21.548 Million
Gray Television Inc GTN SH 1299113 21.202 Million
Newpark Resource Inc NR SH 2703790 20.603 Million
LivaNova PLC LIVN SH 278557 20.555 Million
Casella Waste Systems Inc CWST SH 455575 19.562 Million
Brandywine Realty Trust BDN SH 1060801 16.071 Million
Casa Systems Inc CASA SH 1918740 15.072 Million
Enterprise Products Partners LP EPD SH 486425 13.902 Million
Lattice Semconductor Corp. LSCC SH 736840 13.473 Million
Silicon Laboratories Inc SLAB SH 119224 13.276 Million
Callon Petroleum Co. (1994) CPE SH 3038952 13.189 Million
Power Integrations, Inc. POWI SH 137553 12.439 Million
Vistra Energy Cp VST SH 382065 10.213 Million
Arthur J. Gallagher & Co Inc AJG SH 111700 10.005 Million
FIserv Inc. FISV SH 94720 9.812 Million
Fidelity National Information Services Inc FIS SH 72855 9.672 Million
Evergy (Kansas Power & Light - Western Resources - Westar Energy Inc.) EVRG SH 144345 9.608 Million
Constellation Brands, Inc. STZ SH 43030 8.919 Million
Allstate Corp (The) ALL SH 77805 8.456 Million
Ameren Corporation AEE SH 103770 8.307 Million
SolarWinds Corp SWI SH 449655 8.296 Million
WEC Energy Group (Wisconsin Electric Power) WEC SH 86205 8.198 Million
Global Payments Inc. GPN SH 51335 8.162 Million
Eversource Energy (Western Massachusetts Cos./Northeast Utilities) ES SH 95485 8.161 Million
Green Dot Corp GDOT SH 322823 8.151 Million
CMS Energy Corp. (Consumers Power Co.) CMS SH 127110 8.129 Million
CyberArk Software Ltd CYBR SH 80065 7.992 Million
Nasdaq Inc NDAQ SH 78365 7.786 Million
IQVIA Holdings Inc IQV SH 51999 7.768 Million
CyrusOne Inc CONE SH 93635 7.407 Million
TCF Financial Corp (Delisted merged with Chemical Financial) TCF SH 184495 7.024 Million
Crown Holdings Inc. (Crown Cork & Seal) CCK SH 105075 6.941 Million
Atlantica Yield Plc AY SH 270205 6.509 Million
FMC Corp. (Food Machinery & Chemical Corp.) FMC SH 74215 6.507 Million
Reinsurance Group of America Inc RGA SH 40270 6.438 Million
MAXIMUS, Inc. MMS SH 77430 5.982 Million
Aramark ARMK SH 135365 5.899 Million
Dollar General Corp. DG SH 37100 5.897 Million
Keysight Technologies Inc KEYS SH 59970 5.832 Million
Check Point Software Technologies Ltd CHKP SH 53220 5.828 Million
Hologic Inc. HOLX SH 102770 5.189 Million
Laureate Education Inc, Class A LAUR SH 310385 5.145 Million
WillScot Corp WSC SH 309400 4.82 Million
Ametek Inc. AME SH 49935 4.585 Million
Grand Canyon Education Inc LOPE SH 44185 4.339 Million
WPX Energy Inc WPX SH 408480 4.326 Million
Centene Corp CNC SH 99290 4.295 Million
Analog Devices Inc ADI SH 38260 4.275 Million
Bank of NT Butterfield & Son Limited NTB SH 142010 4.209 Million
Constellium SE CSTM SH 322495 4.099 Million
Allegion plc ALLE SH 37425 3.879 Million
Ares Management LP ARES SH 140255 3.76 Million
Avery Dennison Corp. AVY SH 32645 3.707 Million
Agilent Technologies Inc A SH 48120 3.687 Million
AptarGroup, Inc. ATR SH 30860 3.655 Million
New Residential Investment Corp. NRZ SH 232430 3.645 Million
Gildan Activewear Inc GIL SH 100650 3.573 Million
Cooper Companies (The) COO SH 10475 3.111 Million
Timken (Roller Bearing Axle) Co. TKR SH 69810 3.037 Million
CDW Corp. CDW SH 24405 3.008 Million
Oshkosh Corporation OSK SH 39145 2.967 Million
Synchrony Financial SYF SH 83420 2.844 Million
Baker Hughes Class A BHGE PRN 121095 2.809 Million
Alliance Data Systems Corp ADS SH 21275 2.726 Million
Athene Holding Ltd Class A ATH SH 64640 2.719 Million
PacWest Bancorp (DE) PACW SH 74680 2.714 Million
Continental Resources Inc CLR SH 86215 2.655 Million
Hubbell Inc Class B HUBB SH 19360 2.544 Million
Ringcentral Inc RNG SH 18880 2.372 Million
Radian Group Inc. RDN SH 102720 2.346 Million
Essent Group Ltd ESNT SH 44440 2.118 Million
QEP Resources Inc QEP SH 568655 2.104 Million
Pool Corp POOL SH 10030 2.023 Million
Merck & Co MRK SH 23300 1.961 Million
ServiceMaster Global Holdings Inc SERV SH 34735 1.942 Million
Scientific Games Corp. Class A SGMS SH 94475 1.923 Million
West Pharmaceutical Services Inc WST SH 13125 1.861 Million
nVent Electric PLC NVT SH 78925 1.74 Million
Broadcom Ltd. (Avago Technologies) AVGO SH 6100 1.684 Million
Chevron Corp. (Standard Oil of California) CVX SH 13830 1.64 Million
Coca Cola Co. KO SH 30000 1.633 Million
JPMorgan Chase & Co. (Chemical Bank) JPM SH 13495 1.588 Million
Verizon Communications VZ SH 25750 1.554 Million
Cisco Systems, Inc. CSCO SH 30500 1.507 Million
Dominion Energy Inc D SH 18375 1.489 Million
Emerson Electric Co. EMR SH 21000 1.404 Million
Intel Corp. INTC SH 27000 1.391 Million
Duke Energy Corp. DUK SH 13675 1.311 Million
Pfizer, Inc. PFE SH 35250 1.267 Million
Markel Corp. (Holding Co.) MKL SH 1030 1.217 Million
United Parcel Service, Inc. Class B UPS SH 10000 1.198 Million
Wells Fargo & Co. (Northwest Bancorporation) WFC SH 22455 1.133 Million
ExxonMobil Corp. (Standard Oil of New Jersey) XOM SH 15764 1.113 Million
Johnson & Johnson Co. JNJ SH 8300 1.074 Million
ConocoPhillips (Phillips Petroleum) COP SH 17325 987 Thousand
Occidental Petroleum Corp. OXY SH 16400 729 Thousand

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