Mario Gabelli profile
Mario Gabelli profile

Mario Gabelli

GAMCO Investors Holdings Strategy: Value Investor, Long Term Investor

Mario Joseph Gabelli, the son of Italian immigrants was born in the Bronx in 1942. He went on to become one of the country's most successful investors. He is the founder of GAMCO Investors, Inc. formerly known as Gabelli Asset Management Company. In an interview, he said, "It all started when I read market reports for fun as a child". When 13 years old he already bought his first stock. Mario Gabelli, a renowned investor, manages a diverse portfolio with an emphasis on value investing. Among his top selections are Herc Holdings Inc, a prominent equipment rental firm well-positioned to benefit from infrastructure spending upticks. Crane Co also features prominently in Gabelli's investments, capitalizing on its industrial products that span aerospace to electronics.Mueller Industries, Inc., is another significant stake for Gabelli, reflecting confidence in the company's proficiency in copper and brass manufacturing—a key component of various industries including plumbing and refrigeration. Additionally, GATX Corp stands out as a strategic choice due to its strong presence in global transportation assets, particularly railcar leasing which is integral to trade and commerce logistics.Lastly, Modine Manufacturing Co makes up a vital portion of Mario Gabelli's investment focus, banking on the corporation's expertise in thermal management technology across multiple markets such as automotive and industrial sectors.Potential investors can infer that Mario Gabelli’s approach leans towards companies with robust market positions in essential services and infrastructure—areas with steady demand ensuring long-term growth potential. Each of these stocks reflects a sector likely to withstand economic fluctuations and deliver consistent returns, aligning with the principles of value investment strategies.

Track Gabelli, It's Free!

Mario Gabelli Portfolio 2023

Performance

1 Year

-6.38%

3 Years

+8.62%

5 Years

+48.13%

10 years

+83.55%


Sectors

Loading...

Largest Holdings

Loading...


Trades

  • Mueller Industries, Inc. Mueller Industries, Inc. (MLI)
  • Sector: Copper Rolling, Drawing, Extruding, and Alloying
  • % of Portfolio: 2.6%
  • (Buy) $14.46 +353.0% $65.51 (Now)
  • Crane Co Crane Co (CR)
  • Sector: Iron and Steel Forging
  • % of Portfolio: 2.3%
  • (Buy) $31.87 +340.4% $140.34 (Now)
  • Herc Holdings Inc Herc Holdings Inc (HRI)
  • Sector: Other Commercial and Industrial Machinery and Equipment Rental and Leasing
  • % of Portfolio: 2.2%
  • (Buy) $36.48 +268.7% $134.51 (Now)
  • GATX Corp. GATX Corp. (GATX)
  • Sector: Commercial Air, Rail, and Water Transportation Equipment Rental and Leasing
  • % of Portfolio: 2.0%
  • (Buy) $33.46 +295.6% $132.38 (Now)
  • Modine Manufacturing Co. Modine Manufacturing Co. (MOD)
  • Sector: Motor Vehicle Gasoline Engine and Engine Parts Manufacturing
  • % of Portfolio: 1.8%
  • (Buy) $13.41 +629.4% $97.81 (Now)
  • Sony Corporation. - ADR Sony Corporation. - ADR (SNE)
  • Sector: Consumer Lending
  • % of Portfolio: 1.6%
  • (Buy) $18.99 +458.1% $106.01 (Now)
  • American Express Co. American Express Co. (AXP)
  • Sector: Other Activities Related to Credit Intermediation
  • % of Portfolio: 1.5%
  • (Buy) $41.38 +446.0% $225.92 (Now)
  • Textron Inc. Textron Inc. (TXT)
  • Sector: Aircraft Manufacturing
  • % of Portfolio: 1.4%
  • (Buy) $21.52 +294.5% $84.88 (Now)
  • Republic Services, Inc. Republic Services, Inc. (RSG)
  • Sector: Facilities Support Services
  • % of Portfolio: 1.2%
  • (Buy) $25.66 +660.5% $195.15 (Now)
  • Kaman Corp. Kaman Corp. (KAMN)
  • Sector: Other Aircraft Parts and Auxiliary Equipment Manufacturing
  • % of Portfolio: 1.2%
  • (Buy) $32.63 +41.0% $45.99 (Now)
  • Ametek Inc Ametek Inc (AME)
  • Sector: Motor and Generator Manufacturing
  • % of Portfolio: 1.2%
  • (Buy) $17.16 +801.3% $154.69 (Now)
  • Bank Of New York Mellon Corp Bank Of New York Mellon Corp (BK)
  • Sector: Securities and Commodity Exchanges
  • % of Portfolio: 1.1%
  • (Buy) $28.26 +117.3% $61.42 (Now)
  • CNH Industrial NV CNH Industrial NV (CNHI)
  • Sector: Construction Machinery Manufacturing
  • % of Portfolio: 1.0%
  • (Buy) $11.01 +4.0% $11.45 (Now)
  • ViacomCBS Inc - Class A ViacomCBS Inc - Class A (VIACA)
  • Sector: Television Broadcasting
  • % of Portfolio: 1.0%
  • (Buy) $42.14 -22.1% $32.83 (Now)
  • Rollins, Inc. Rollins, Inc. (ROL)
  • Sector: Exterminating and Pest Control Services
  • % of Portfolio: 1.0%
  • (Buy) $3.85 +1137.7% $47.63 (Now)
  • Enpro Inc Enpro Inc (NPO)
  • Sector: Gasket, Packing, and Sealing Device Manufacturing
  • % of Portfolio: 1.0%
  • (Buy) $68.56 +113.0% $146.02 (Now)
  • National Fuel Gas Co. National Fuel Gas Co. (NFG)
  • Sector: Natural Gas Distribution
  • % of Portfolio: 0.8%
  • (Buy) $41.90 +36.7% $57.28 (Now)
  • Genuine Parts Co. Genuine Parts Co. (GPC)
  • Sector: Automobile and Other Motor Vehicle Merchant Wholesalers
  • % of Portfolio: 0.8%
  • (Buy) $42.52 +225.4% $138.35 (Now)
  • Autonation Inc. Autonation Inc. (AN)
  • Sector: New Car Dealers
  • % of Portfolio: 0.8%
  • (Buy) $14.83 +1019.7% $166.06 (Now)
  • Flowserve Corp. Flowserve Corp. (FLS)
  • Sector: Pump and Pumping Equipment Manufacturing
  • % of Portfolio: 0.7%
  • (Buy) $26.11 +70.3% $44.46 (Now)
  • Southwest Gas Holdings Inc Southwest Gas Holdings Inc (SWX)
  • Sector: Fossil Fuel Electric Power Generation
  • % of Portfolio: 0.7%
  • (Buy) $65.57 +9.0% $71.46 (Now)
  • Graco Inc. Graco Inc. (GGG)
  • Sector: Pump and Pumping Equipment Manufacturing
  • % of Portfolio: 0.7%
  • (Buy) $14.91 +427.5% $78.68 (Now)
  • CTS Corp. CTS Corp. (CTS)
  • Sector: Bare Printed Circuit Board Manufacturing
  • % of Portfolio: 0.7%
  • (Buy) $9.31 +380.5% $44.74 (Now)
Stock % of
portfolio
Average
Buy Price
Current
Price
Position
Loading...
Loading...
Loading...
Loading...
Loading...
Loading...
Loading...

Options

Can't find any put or calls that Mario Gabelli has in Gamco



Metrics

Performance

1 Year

-6.38%

3 Years

+8.62%

5 Years

+48.13%

10 years

+83.55%

Averaged Ratio's of Portfolio Stocks

  • Market Cap: $126 Billion
  • Dividend Yield 1.61 %
  • Beta 0.935
  • P/E Ratio 33.09
  • Negative P/E Ratio -94.63
  • Profit Margin 10.34%
  • PEG 256.89
  • Price to Sales Ratio 3.05
  • Price to Book Ratio 5.13
  • Enterprise Value to EBIT: 56.55
  • Enterprise Value to Revenue 3.73
  • Total Debt to Enterprise Value 0.28
  • Debt to Equity 0.854
  • Quarterly Earnings Growth (YoY) -
  • Return on Equity 18.09%
  • Return on Assets 6.64%
  • Return on Invested Capital 13.64%


About Mario Gabelli

Mario Joseph Gabelli, the son of Italian immigrants was born in the Bronx in 1942. He went on to become one of the country's most successful investors. He is the founder of GAMCO Investors, Inc. formerly known as Gabelli Asset Management Company. In an interview, he said, "It all started when I read market reports for fun as a child". When 13 years old he already bought his first stock. Mario Gabelli, a renowned investor, manages a diverse portfolio with an emphasis on value investing. Among his top selections are Herc Holdings Inc, a prominent equipment rental firm well-positioned to benefit from infrastructure spending upticks. Crane Co also features prominently in Gabelli's investments, capitalizing on its industrial products that span aerospace to electronics.Mueller Industries, Inc., is another significant stake for Gabelli, reflecting confidence in the company's proficiency in copper and brass manufacturing—a key component of various industries including plumbing and refrigeration. Additionally, GATX Corp stands out as a strategic choice due to its strong presence in global transportation assets, particularly railcar leasing which is integral to trade and commerce logistics.Lastly, Modine Manufacturing Co makes up a vital portion of Mario Gabelli's investment focus, banking on the corporation's expertise in thermal management technology across multiple markets such as automotive and industrial sectors.Potential investors can infer that Mario Gabelli’s approach leans towards companies with robust market positions in essential services and infrastructure—areas with steady demand ensuring long-term growth potential. Each of these stocks reflects a sector likely to withstand economic fluctuations and deliver consistent returns, aligning with the principles of value investment strategies.


Track Gabelli

Don't miss a trade. Get notified when Mario Gabelli makes his next trade, It's Free!