Titelia

Holdings of BrandywineGLOBAL - Diversified US Large Cap Value Fund

Legg Mason Global Asset Management Trust ·221 declared positions · as of Mar 31, 2026

Original filing · Net assets 102.2M $ · Ten largest lines: 28.3 % of the equity sleeve

Sector breakdown

  • Financials 27.2 %
  • Health care 14.3 %
  • Energy 9.9 %
  • Communication 8.1 %
  • Consumer staples 6.6 %
  • Consumer discretionary 6.4 %
  • Industrials 5.8 %
  • Technology 4.1 %
  • Materials 3.9 %
  • Utilities 2.9 %
  • Funds 1.6 %
  • Unattributed 9.2 %

Titelia classification, company by company. The unattributed share stays visible.

Currency breakdown

  • USD 100.0 %

The quoted currency of each line, as declared.

Country breakdown

  • US 99.3 %
  • BM 0.4 %
  • IE 0.3 %
  • NL 0.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US216101.1M $99.28 %
2BM2368.5K $0.36 %
3IE2321.3K $0.32 %
4NL138.5K $0.04 %

Positions

RankCompanySharesValueWeight
1Exxon Mobil Corp 29,9005.1M $4.96 %
2JPMorgan Chase & Co 16,7024.9M $4.81 %
3Johnson & Johnson 16,5004M $3.95 %
4Bank of America Corp 53,8002.6M $2.57 %
5Morgan Stanley 13,2002.2M $2.13 %
6Goldman Sachs Group Inc/The 2,5602.2M $2.12 %
7Walt Disney Co/The 21,9002.1M $2.06 %
8Wells Fargo & Co 25,3002M $1.97 %
9Verizon Communications Inc 37,5001.9M $1.84 %
10AT&T Inc 63,2001.8M $1.79 %
11QUALCOMM Inc 13,1001.7M $1.65 %
12Procter & Gamble Co/The 11,6001.7M $1.64 %
13iShares Trust 7,8001.7M $1.63 %
14PepsiCo Inc 10,6001.6M $1.61 %
15Amgen Inc 4,3001.5M $1.48 %
16Merck & Co Inc 12,4001.5M $1.46 %
17Lowe's Cos Inc 6,3001.5M $1.46 %
18Citigroup Inc 12,7001.4M $1.41 %
19HCA Healthcare Inc 3,0001.4M $1.39 %
20Altria Group, Inc. 20,7001.4M $1.34 %
21Gilead Sciences Inc 9,4001.3M $1.28 %
22Micron Technology Inc 3,8001.3M $1.26 %
23Newmont Corp 11,0001.2M $1.16 %
24Chubb Ltd 3,6001.2M $1.15 %
25T-Mobile US Inc 5,5001.2M $1.13 %
26Medtronic PLC 13,3001.2M $1.13 %
27FedEx Corp 3,0001.1M $1.05 %
28American Express Co 3,5001.1M $1.04 %
293M Co 6,500944K $0.92 %
30Travelers Cos Inc/The 3,200933.4K $0.91 %
31Kinder Morgan, Inc. 27,600925.4K $0.91 %
32Phillips 66 5,000910.9K $0.89 %
33United Parcel Service Inc 9,100895.3K $0.88 %
34Duke Energy Corp 6,500851.1K $0.83 %
35Charles Schwab Corp/The 8,800827K $0.81 %
36EOG Resources Inc 5,700824K $0.81 %
37General Dynamics Corp 2,400823.7K $0.81 %
38CVS Health Corp 11,200804.4K $0.79 %
39Meta Platforms Inc 1,350772.4K $0.76 %
40General Motors Co 10,100752.5K $0.74 %
41Diamondback Energy Inc 3,600712K $0.70 %
42Bank of New York Mellon Corp/The 5,900699.9K $0.68 %
43Mondelez International Inc 11,800680.2K $0.67 %
44Dell Technologies Inc 4,100672.9K $0.66 %
45Target Corp 5,500666.6K $0.65 %
46Cencora Inc 2,000628.3K $0.61 %
47PNC Financial Services Group Inc/The 3,000624.3K $0.61 %
48Corteva Inc 7,200602.7K $0.59 %
49Ford Motor Co 49,400570.1K $0.56 %
50Pfizer Inc 19,700553.2K $0.54 %
51Aflac Inc 4,800526.6K $0.52 %
52Kroger Co/The 7,000506.5K $0.50 %
53eBay Inc 5,500500.6K $0.49 %
54US Bancorp 9,600499.3K $0.49 %
55DR Horton Inc 3,600494K $0.48 %
56Public Service Enterprise Group Inc 6,100493.8K $0.48 %
57United Rentals Inc 650473.6K $0.46 %
58Nucor Corp 2,800473.5K $0.46 %
59ConocoPhillips 3,500462K $0.45 %
60MetLife Inc 6,100431.4K $0.42 %
61Sysco Corp 5,800413.7K $0.40 %
62Southern Co/The 4,200405.4K $0.40 %
63Halliburton Co 10,300401.6K $0.39 %
64American International Group Inc 5,200391.3K $0.38 %
65Devon Energy Corp 7,700387.5K $0.38 %
66Ameriprise Financial Inc 870386.6K $0.38 %
67Regeneron Pharmaceuticals, Inc. 500386.3K $0.38 %
68United Airlines Holdings Inc 4,000368.3K $0.36 %
69Delta Air Lines Inc 5,400359K $0.35 %
70Truist Financial Corp 7,800358.6K $0.35 %
71CRH PLC 3,400357.4K $0.35 %
72FirstEnergy Corp 7,000354.6K $0.35 %
73Hartford Insurance Group Inc/The 2,600351.6K $0.34 %
74State Street Corp 2,600329.1K $0.32 %
75Steel Dynamics Inc 1,800324K $0.32 %
76Expedia Group Inc 1,400323.2K $0.32 %
77Aon PLC 1,000322.8K $0.32 %
78Allstate Corp/The 1,500311K $0.30 %
79DTE Energy Co 2,100307.1K $0.30 %
80Tapestry Inc 2,100296.3K $0.29 %
81United Therapeutics Corp 490290.6K $0.28 %
82Comcast Corp 10,100290K $0.28 %
83PPG Industries Inc 2,700288.6K $0.28 %
84PulteGroup Inc 2,400282.3K $0.28 %
85Darden Restaurants Inc 1,400274.5K $0.27 %
86Raymond James Financial Inc 1,800260.6K $0.26 %
87Prudential Financial, Inc. 2,600254K $0.25 %
88Arch Capital Group Ltd 2,600249.6K $0.24 %
89Labcorp Holdings Inc 900240.1K $0.23 %
90Synchrony Financial 3,500238.1K $0.23 %
91Northern Trust Corp 1,700237.3K $0.23 %
92Williams-Sonoma Inc 1,300237K $0.23 %
93NetApp Inc 2,300235.5K $0.23 %
94Quest Diagnostics Inc 1,200235.2K $0.23 %
95Lennar Corp 2,700234.5K $0.23 %
96Leidos Holdings Inc 1,500233.3K $0.23 %
97Dollar Tree Inc 2,100230K $0.23 %
98Alliant Energy Corp 3,200229.6K $0.22 %
99Evergy Inc 2,800229.4K $0.22 %
100Willis Towers Watson PLC 780226.7K $0.22 %