
THOMPSON INVESTMENT MANAGEMENT, INC.
Latest 13F filing data - Q1 2026
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
![]() | VTRS | 1.11M | $14.93M |
![]() | KRNT | 900K | $13.20M |
![]() | OI | 764K | $8.03M |
![]() | WBD | 583K | $16.01M |
![]() | FLG | 522K | $6.87M |
![]() | PFE | 464K | $13.03M |
![]() | AMN | 457K | $8.38M |
![]() | NOMD | 423K | $4.06M |
![]() | LKQ | 395K | $11.59M |
![]() | CNXC | 315K | $8.61M |
![]() | CHWY | 266K | $7.18M |
![]() | BAC | 239K | $11.65M |
![]() | PYPL | 230K | $10.39M |
![]() | VIAV | 220K | $7.32M |
![]() | ARE | 181K | $8.39M |
![]() | XOM | 151K | $25.55M |
![]() | CSCO | 148K | $11.50M |
![]() | GOOGL | 143K | $41.21M |
![]() | C | 140K | $15.89M |
![]() | CVS | 128K | $9.21M |

Viatris Inc.
VTRS
Shares Held
1.11M
Value
$14.93M

Kornit Digital Ltd.
KRNT
Shares Held
900K
Value
$13.20M

O-I Glass, Inc.
OI
Shares Held
764K
Value
$8.03M

Warner Bros. Discovery, Inc.
WBD
Shares Held
583K
Value
$16.01M

Flagstar Financial, Inc.
FLG
Shares Held
522K
Value
$6.87M

Pfizer Inc.
PFE
Shares Held
464K
Value
$13.03M

AMN Healthcare Services, Inc.
AMN
Shares Held
457K
Value
$8.38M

Nomad Foods Limited
NOMD
Shares Held
423K
Value
$4.06M

LKQ Corporation
LKQ
Shares Held
395K
Value
$11.59M

Concentrix Corporation
CNXC
Shares Held
315K
Value
$8.61M

Chewy, Inc.
CHWY
Shares Held
266K
Value
$7.18M

Bank of America Corporation
BAC
Shares Held
239K
Value
$11.65M

PayPal Holdings, Inc.
PYPL
Shares Held
230K
Value
$10.39M

Viavi Solutions Inc.
VIAV
Shares Held
220K
Value
$7.32M

Alexandria Real Estate Equities, Inc.
ARE
Shares Held
181K
Value
$8.39M

Exxon Mobil Corporation
XOM
Shares Held
151K
Value
$25.55M

Cisco Systems, Inc.
CSCO
Shares Held
148K
Value
$11.50M

Alphabet Inc.
GOOGL
Shares Held
143K
Value
$41.21M

Citigroup Inc.
C
Shares Held
140K
Value
$15.89M

CVS Health Corporation
CVS
Shares Held
128K
Value
$9.21M
