These 3 Stocks Account for Nearly 30% of Billionaire Leon Cooperman's Portfolio.
Briefly

Billionaire investor Leon Cooperman, approaching 82, continues to actively manage his investments, currently holding $2.64 billion across 45 stocks. Notably, over 38% of his portfolio is now in finance-related businesses, compared to 30% a decade ago. His top three finance stocks—Mr. Cooper Group, Vertiv Holdings, and Apollo Global Management—account for nearly 30% of his assets. Cooperman has maintained ownership of these stocks for several years, indicating a long-term investment strategy in the finance sector.
Leon Cooperman, with over 50 years in investing, currently allocates 30% of his $2.64 billion portfolio to three key finance stocks, showcasing his strategic focus.
Cooperman's substantial investment in finance-related companies highlights a shift in his portfolio over the last decade, reflecting his confidence in the sector's profitability.
Read at 24/7 Wall St.
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