Joel Greenblatt profile
Joel Greenblatt profile

Joel Greenblatt

Gotham Asset Management Holdings Strategy: Value Investor, Long Term Investor

Joel Greenblatt is a US-American asset manager, author, and adjunct professor at Columbia University. In his book, he describes his investment strategy called β€žMagic Formula Investingβ€œ. Magic Formula Investing is an investment strategy that filters out the best stocks through two metrics; RoIC (Return on Invested Capital) and profit yield. Furthermore, Greenblatt is the founder of the website Value Investors Club where a limited number of investors share advice.

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Joel Greenblatt Portfolio 2023

Performance

1 Year

+6.12%

3 Years

+18.74%

5 Years

+48.77%

10 years

+112.68%


Sectors

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Largest Holdings

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Trades

  • Apple Inc Apple Inc (AAPL)
  • Sector: Electronic Computer Manufacturing
  • % of Portfolio: 1.6%
  • (Buy) $36.29 ― +427.2% β†’$191.31 (Now)
  • Microsoft Corporation Microsoft Corporation (MSFT)
  • Sector: Data Processing, Hosting, and Related Services
  • % of Portfolio: 1.4%
  • (Buy) $106.81 ― +253.8% β†’$377.85 (Now)
  • Snowflake Inc - Class A Snowflake Inc - Class A (SNOW)
  • Sector: Software Publishers
  • % of Portfolio: 1.3%
  • (Buy) $165.57 ― +2.0% β†’$168.92 (Now)
  • Alphabet Inc - Class A Alphabet Inc - Class A (GOOGL)
  • Sector: All Other Telecommunications
  • % of Portfolio: 1.0%
  • (Buy) $53.80 ― +157.4% β†’$138.49 (Now)
  • Meta Platforms Inc - Class A Meta Platforms Inc - Class A (META)
  • Sector: Data Processing, Hosting, and Related Services
  • % of Portfolio: 0.9%
  • (Buy) $172.54 ― +97.9% β†’$341.49 (Now)
  • Amazon.com Inc. Amazon.com Inc. (AMZN)
  • Sector: Electronic Shopping and Mail-Order Houses
  • % of Portfolio: 0.8%
  • (Buy) $81.03 ― +81.0% β†’$146.71 (Now)
  • NVIDIA Corp NVIDIA Corp (NVDA)
  • Sector: Semiconductor and Related Device Manufacturing
  • % of Portfolio: 0.8%
  • (Buy) $176.83 ― +175.5% β†’$487.16 (Now)
  • Applied Materials Inc. Applied Materials Inc. (AMAT)
  • Sector: Semiconductor and Related Device Manufacturing
  • % of Portfolio: 0.5%
  • (Buy) $31.16 ― +379.7% β†’$149.48 (Now)
  • Broadcom Inc Broadcom Inc (AVGO)
  • Sector: Semiconductor and Related Device Manufacturing
  • % of Portfolio: 0.5%
  • (Buy) $436.46 ― +122.7% β†’$972.00 (Now)
  • Salesforce Inc Salesforce Inc (CRM)
  • Sector: Software Publishers
  • % of Portfolio: 0.5%
  • (Buy) $192.55 ― +16.3% β†’$223.84 (Now)
  • Lam Research Corp. Lam Research Corp. (LRCX)
  • Sector: Semiconductor and Related Device Manufacturing
  • % of Portfolio: 0.4%
  • (Buy) $105.45 ― +580.4% β†’$717.46 (Now)
  • Caterpillar Inc. Caterpillar Inc. (CAT)
  • Sector: Heavy Duty Truck Manufacturing
  • % of Portfolio: 0.4%
  • (Buy) $123.32 ― +99.5% β†’$246.01 (Now)
  • Cisco Systems, Inc. Cisco Systems, Inc. (CSCO)
  • Sector: Telephone Apparatus Manufacturing
  • % of Portfolio: 0.4%
  • (Buy) $32.85 ― +46.3% β†’$48.08 (Now)
  • Skyworks Solutions, Inc. Skyworks Solutions, Inc. (SWKS)
  • Sector: Semiconductor and Related Device Manufacturing
  • % of Portfolio: 0.4%
  • (Buy) $95.33 ― -1.1% β†’$94.27 (Now)
  • Johnson & Johnson Johnson & Johnson (JNJ)
  • Sector: Pharmaceutical Preparation Manufacturing
  • % of Portfolio: 0.4%
  • (Buy) $127.23 ― +18.5% β†’$150.82 (Now)
  • Netflix Inc. Netflix Inc. (NFLX)
  • Sector: Internet Publishing and Broadcasting and Web Search Portals
  • % of Portfolio: 0.4%
  • (Buy) $376.15 ― +27.1% β†’$478.00 (Now)
  • Emerson Electric Co. Emerson Electric Co. (EMR)
  • Sector: Instruments and Related Products Manufacturing for Measuring, Displaying, and Controlling Industrial Process Variables
  • % of Portfolio: 0.4%
  • (Buy) $63.00 ― +41.0% β†’$88.84 (Now)
  • Exxon Mobil Corp. Exxon Mobil Corp. (XOM)
  • Sector: Petroleum Refineries
  • % of Portfolio: 0.4%
  • (Buy) $69.22 ― +50.3% β†’$104.01 (Now)
  • Oracle Corp. Oracle Corp. (ORCL)
  • Sector: Data Processing, Hosting, and Related Services
  • % of Portfolio: 0.3%
  • (Buy) $44.99 ― +158.4% β†’$116.24 (Now)
  • Pfizer Inc. Pfizer Inc. (PFE)
  • Sector: Pharmaceutical Preparation Manufacturing
  • % of Portfolio: 0.3%
  • (Buy) $36.00 ― -15.8% β†’$30.32 (Now)
  • Adobe Inc Adobe Inc (ADBE)
  • Sector: Software Publishers
  • % of Portfolio: 0.3%
  • (Buy) $187.77 ― +230.0% β†’$619.72 (Now)
  • Coca-Cola Co Coca-Cola Co (KO)
  • Sector: Soft Drink Manufacturing
  • % of Portfolio: 0.3%
  • (Buy) $47.78 ― +22.3% β†’$58.42 (Now)
Stock % of
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Position
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Options

Can't find any put or calls that Joel Greenblatt has in Gotham Asset Management



Average Portfolio Company Metrics

  • Market Cap: $183 Billion
  • Dividend Yield 1.53 %
  • Beta 0.9607
  • P/E Ratio 39.03
  • Negative P/E Ratio -30.54
  • Profit Margin 9.39%
  • PEG 539.65
  • Price to Sales Ratio 4.63
  • Price to Book Ratio 6.16
  • Enterprise Value to EBIT: 13.51
  • Enterprise Value to Revenue 4.93
  • Total Debt to Enterprise Value 0.24
  • Debt to Equity -0.8181
  • Quarterly Earnings Growth (YoY) -
  • Return on Equity -5.18%
  • Return on Assets 8.23%
  • Return on Invested Capital 16.12%

About Joel Greenblatt

Joel Greenblatt is a US-American asset manager, author, and adjunct professor at Columbia University. In his book, he describes his investment strategy called β€žMagic Formula Investingβ€œ. Magic Formula Investing is an investment strategy that filters out the best stocks through two metrics; RoIC (Return on Invested Capital) and profit yield. Furthermore, Greenblatt is the founder of the website Value Investors Club where a limited number of investors share advice.


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