Top Funds / GAMCO INVESTORS, INC. ET AL


Mario Gabelli

2017Q1 Portfolio

SEC 13F Filing

Position #Shares $Value % # vs. 2016Q4 $ vs. 2016Q4
Bank of New York Mellon Corp 5,636,095 $266,193,000 1.69% -146,157 -$7,770,000
Ryman Hospitality Properties, Inc. 4,085,554 $252,610,000 1.60% -184,540 -$16,449,000
Time Warner Inc 2,502,161 $244,486,000 1.55% -265,320 -$22,659,000
HONEYWELL INTERNATIONAL INC 1,632,586 $203,861,000 1.29% -81,726 +$5,258,000
CRANE CO /DE/ 2,677,612 $200,366,000 1.27% -57,651 +$3,099,000
AMERICAN EXPRESS CO 2,464,906 $194,999,000 1.23% -107,122 +$4,463,000
SONY CORP 5,449,344 $183,806,000 1.16% -134,158 +$27,300,000
E.W. SCRIPPS Co 7,793,577 $182,681,000 1.16% -82,713 +$30,432,000
NATIONAL FUEL GAS CO 3,028,135 $180,537,000 1.14% -113,963 +$2,569,000
DISH Network CORP 2,830,720 $179,722,000 1.14% -114,418 +$9,110,000
Madison Square Garden Sports Corp. 898,667 $179,473,000 1.14% -22,473 +$21,488,000
WELLS FARGO & COMPANY/MN 3,179,061 $176,947,000 1.12% -70,869 -$2,157,000
KAMAN Corp 3,561,554 $171,418,000 1.09% -44,517 -$5,027,000
Gatx Corp 2,804,677 $170,973,000 1.08% -64,216 -$5,693,000
Xylem Inc. 3,365,236 $169,002,000 1.07% -273,503 -$11,188,000
GENUINE PARTS CO 1,825,773 $168,720,000 1.07% -104,930 -$15,739,000
REPUBLIC SERVICES, INC. 2,642,022 $165,945,000 1.05% -121,780 +$8,270,000
NAVISTAR INTERNATIONAL CORP 6,682,918 $164,533,000 1.04% New +$164,533,000
Viacom Inc 3,043,161 $148,354,000 0.94% -78,574 +$28,167,000
HERC HOLDINGS INC 2,950,887 $144,269,000 0.91% -66,535 +$23,089,000
EDGEWELL PERSONAL CARE Co 1,930,745 $141,215,000 0.89% +58,805 +$4,582,000
Chemtura Corp 4,064,898 $135,768,000 0.86% -509,438 -$16,100,000
Mondelez International, Inc. 3,143,374 $135,417,000 0.86% -32,526 -$5,371,000
CBS CORP CLASS A 1,890,871 $133,042,000 0.84% -65,764 +$6,221,000
MUELLER INDUSTRIES INC 3,882,699 $132,905,000 0.84% -151,201 -$28,290,000