13F
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CAUSEWAY CAPITAL MANAGEMENT LLC

13F equity value
$8.1B
Positions
107
Top 10 concentration
62.1%
Quarters / total new picks
32 / 190
13F equity value over time
$0M$5B$10B2017201820192020202120222023202420252026

"13F equity value" = market value of this filer's US-listed long equity positions only. It excludes cash, bonds, non-US and short positions, so it understates a fund's true assets under management — often by a lot.

Not significant Verdict

13F holdings are disclosed ~45 days after quarter-end, and they never reveal when within the quarter a fund actually bought. So any 13F-based summary is structurally late and blurred — this applies to every fund, including this one.

We backtested copying it anyway. Buying this fund's new positions the day each filing went public, over 32 quarters, returned +3.2% per quarter — versus +2.7% per quarter from simply owning every 13F stock. It beat that baseline in only 62.5% of quarters (excess t = 0.15, not statistically significant). Its filings tell you what it bought — not what you should buy.

Avg 2Q excess
+0.4%
t-stat
0.15
Quarterly win rate
63%
Annualized excess
-0.5%
$1 → follow vs universe
$2.02 vs $2.09
Cumulative return: $1 invested in new picks vs universe
1.00 20180331: universe 1.04120180630: universe 0.95920180930: universe 1.00320181231: universe 0.99220190331: universe 0.97520190630: universe 1.04820190930: universe 1.12720191231: universe 0.90920200331: universe 1.09620200630: universe 1.21120200930: universe 1.48520201231: universe 1.55320210331: universe 1.56620210630: universe 1.69220210930: universe 1.51920211231: universe 1.29220220331: universe 1.38720220630: universe 1.28520220930: universe 1.38120221231: universe 1.28220230331: universe 1.35120230630: universe 1.30320230930: universe 1.47920231231: universe 1.54520240331: universe 1.58020240630: universe 1.72320240930: universe 1.70820241231: universe 1.59420250331: universe 1.73820250630: universe 1.79320250930: universe 2.01620251231: universe 2.085 20180331: follow 0.91020180630: follow 0.90020180930: follow 0.69920181231: follow 0.63920190331: follow 0.63720190630: follow 0.69420190930: follow 0.61120191231: follow 0.46420200331: follow 0.53420200630: follow 0.64820200930: follow 0.84520201231: follow 0.98020210331: follow 0.87220210630: follow 0.82720210930: follow 0.63220211231: follow 0.58820220331: follow 0.64520220630: follow 0.67620220930: follow 0.91720221231: follow 0.90320230331: follow 0.92920230630: follow 0.92320230930: follow 0.95920231231: follow 1.08320240331: follow 1.11520240630: follow 1.23720240930: follow 1.28720241231: follow 1.27820250331: follow 1.67420250630: follow 1.78220250930: follow 1.83020251231: follow 2.017 0.43 1.34 2.25 20182019202020212022202320242025 Follow Universe

Quarterly compounding, invested quarters only · entry 47 days after quarter-end (when 13F data becomes public)

Listed as facts. See the verdict above before treating this as signal.

Top 20 holdings of 107 · 2026 Q1

Ticker Value Weight QoQ
AZN $1.4B
17.7%
NEW
CCL $960M
11.8%
ADD
DB $723M
8.9%
ADD
CP $690M
8.5%
TRIM
SW $620M
7.6%
TRIM
TSM $172M
2.1%
HOLD
BABA $134M
1.7%
TRIM
CARR $118M
1.5%
ADD
MRK $103M
1.3%
TRIM
GOOG $97M
1.2%
TRIM
CTSH $92M
1.1%
TRIM
ALK $92M
1.1%
ADD
AU $86M
1.1%
ADD
BCS $86M
1.1%
ADD
BAP $83M
1.0%
HOLD
META $83M
1.0%
ADD
AXS $83M
1.0%
ADD
EG $82M
1.0%
ADD
LYV $80M
1.0%
ADD
SAP $78M
1.0%
ADD

QoQ vs previous quarter's share count · NEW = new position · ADD/TRIM = ±2% shares · HOLD = unchanged.

Listed as facts. See the verdict above before treating this as signal.

New positions in 2026 Q1

Method & Limitations

Method: a "new position" = held this quarter, absent last quarter (options excluded; stocks with <50 prior holders excluded to filter spin-off artifacts). Entry 47 days after quarter-end — the first day the public could act on the filing. Benchmark = equal-weighted universe of all 13F-held stocks. Limitations: quarterly snapshots can't see intra-quarter trades; survivorship bias — funds that shut down are absent, which flatters the sample. Statistics, not advice.