Ronald Muhlenkamp Holdings Activity

Muhlenkamp & Co Portfolio 13F

Muhlenkamp & Co has disclosed a total of 26 changes to the portfolio in the latest (2026 Q1) SEC report(s): increased the number of shares of 5, bought 2 totally new, decreased the number of shares of 18 and completely sold out 1 position(s).

What stocks is Ronald Muhlenkamp buying now?

In the recent quarter Ronald Muhlenkamp has bought 7 securities out of which top 5 purchases (by % change to portfolio) are (FRDM) FREEDOM 100 EMEGING MRKT ETF (new buy), (XOM) EXXON MOBIL CORP (new buy), (LYB) LYONDELLBASELL INDU-CL A (added shares +0.72%), (CE) CELANESE CORP (added shares +0.67%) and (EQX) EQUINOX GOLD CORP (added shares +0.23%).

What does Ronald Muhlenkamp invest in?

Ronald Muhlenkamp's top 5 holdings (by % of portfolio) are (AEM) AGNICO EAGLE MINES LTD (7.41%), (EQT) EQT CORP (6.72%), (NEM) NEWMONT CORP (6.59%), (MCK) MCKESSON CORP (6.19%) and (RGLD) ROYAL GOLD INC (5.89%).

In the latest report(s) the following changes have been made to the top investments: (AEM) AGNICO EAGLE MINES LTD (reduced shares -8.38%), (EQT) EQT CORP (reduced shares -11.06%), (NEM) NEWMONT CORP (reduced shares -18.74%), (MCK) MCKESSON CORP (reduced shares -0.09%) and (RGLD) ROYAL GOLD INC (reduced shares -0.04%).

2022 Q2 (32 results)
FNV
+0.68%
+240
+0.01%
$131.58
59.19% $209.46
2.18%
RGLD
+0.67%
+279
+0.01%
$106.79
94.38% $207.57
2.11%
BMY
+0.51%
+650
+0.02%
$77.00
25.81% $57.13
4.60%
BRK.B
+0.21%
+78
+0.01%
$273.03
-
4.76%
UNH
+0.18%
+43
+0.01%
$513.62
20.46% $408.52
5.90%
CVS
-0.10%
-114
-0.00%
$92.66
10.03% $101.96
4.73%
AMLP
-0.21%
-593
-0.01%
$34.45
51.32% $52.13
4.53%
SLB
-0.24%
-754
-0.01%
$35.76
57.10% $56.18
5.20%
MSFT
-0.24%
-74
-0.01%
$256.84
52.13% $390.74
3.76%
OXY
-0.28%
-645
-0.02%
$58.88
3.97% $56.54
6.40%
WAB
-0.30%
-167
-0.01%
$82.08
223.11% $265.20
2.13%
DOW
-0.32%
-702
-0.02%
$51.61
34.41% $33.85
5.25%
MCHP
-0.36%
-402
-0.01%
$58.08
63.97% $95.24
3.04%
CCJ
-0.37%
-603
-0.01%
$21.02
380.32% $100.96
1.59%
AVGO
-0.37%
-600
-0.01%
$48.58
686.50% $382.07
3.66%
AAPL
-0.38%
-210
-0.01%
$136.72
112.94% $291.13
3.54%
EQT
-0.47%
-2,111
-0.03%
$34.40
50.99% $51.94
7.16%
PFE
-0.88%
-215
-0.01%
$52.43
50.01% $26.21
0.00%
KEX
-0.90%
-1,484
-0.04%
$60.84
135.72% $143.42
4.67%
MTZ
-0.90%
-1,164
-0.04%
$71.66
406.51% $362.97
4.29%
TEN
-1.61%
-9,050
-0.07%
$17.16
125.82% $38.75
4.44%
GLD
-5.89%
-916
-0.07%
$168.45
129.46% $386.54
1.16%
NMIH
-12.23%
-40,753
-0.32%
$16.65
122.50% $37.05
2.28%
MCK
-42.18%
-27,661
-4.23%
$326.21
140.35% $784.05
5.79%
EQC
-100.00%
-113,328
-1.50%
$28.21
-
0.00%
LYLT
-100.00%
-50,047
-0.39%
$16.52
-
0.00%
WCC
-100.00%
-78,911
-4.81%
$130.13
166.47% $346.77
0.00%
PKW
-100.00%
-5,699
-0.24%
$90.54
54.58% $139.96
0.00%
MTH
-100.00%
-97,114
-3.60%
$79.23
6.04% $74.44
0.00%
LEN
-100.00%
-68,866
-2.62%
$81.17
11.25% $90.30
0.00%
SPIP
-100.00%
-7,797
-0.11%
$30.27
15.13% $25.69
0.00%
LMT
-100.00%
-19,605
-4.05%
$441.42
22.41% $540.33
0.00%
32 of 1,867

Shares, change to shares, sold shares - split-adjusted.

Reported price - this doesn't represent the actual buy or sell price.
It is the split-adjusted price of the security as of the last day of the reported period.

Value or Price - If the security is completely sold out, we show the reported value (or price) prior to the actual period.