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Corbyn Investment Management Inc/md

CIK:0000919538
Asset Manager
$1B AUM
67 holdings
Baltimore, MD, US
Founded:1973
9 employees
Latest filing:Sep 30, 2025

Corbyn Investment Management, Inc. is an employee-owned, independent asset management firm founded in 1973 and headquartered in Baltimore, Maryland. The firm specializes in separately managed accounts and also manages two mutual funds. Its team provides investment management services for individuals, institutions, businesses, and non-profit organizations, partnering with registered investment advisors. Corbyn focuses on delivering attractive, less volatile investment results through disciplined valuation and risk management, serving clients with value-oriented fixed income and equity strategies. The firm's current employee count is approximately 9.

Investment Strategy

Corbyn employs a disciplined, bottom-up investment philosophy focused on higher-yielding, short-duration bonds and value-oriented equities. The firm seeks to minimize portfolio volatility by purchasing securities at discounts to their intrinsic value, preserving capital through turbulent markets. Fixed income strategies use a conservative approach within the high-yield segment, while equity strategies target well-capitalized companies generating strong free cash flow and run by experienced management. Blended strategies combine these components, tailoring portfolios to specific client goals with the overarching emphasis on risk mitigation, value investing, and capital preservation over full market cycles.

Latest 13F Filing Activity

Corbyn Investment Management Inc/md filed their most recent 13F report on Sep 30, 2025 disclosing 52 equity positions with a total 13F market value of $341M. The fund increased holdings in Alphabet, Inc. - CL C (goog), Nextracker Inc. Class A (nxt), Emcor Group, Inc. (eme) among other positions. Corbyn Investment Management Inc/md reduced exposure to Primo Brands Corporation Class, Teleflex, Inc. (tfx), Republic Services, Inc. (rsg) among others.

Top Buys
G
GOOGAlphabet, Inc. - Cl C (GOOG)
+$2.3M
N
NXTNextracker Inc. Class A (NXT)
+$1.6M
E
EMEEMCOR Group, Inc. (EME)
+$1.3M
M
MYRGMYR Group, Inc. (MYRG)
+$884.1K
R
ROPRoper Technologies, Inc. (ROP)
+$728.7K
Top Sells
P
PRMBPrimo Brands Corporation Class
-$2.8M
T
TFXTeleflex, Inc. (TFX)
-$2.1M
R
RSGRepublic Services, Inc. (RSG)
-$1.8M
L
LEVILevi Strauss & Co. Class A (LE
-$1.2M
D
DARDarling Ingredients Inc. (DAR)
-$620.4K

Top Holdings

E
EMEEMCOR Group, Inc. (EME)
+6.3%$21.4M
R
RSGRepublic Services, Inc. (RSG)
+5.9%$20.2M
M
MYRGMYR Group, Inc. (MYRG)
+4.5%$15.5M
K
KBRKBR, Inc. (KBR)
+3.9%$13.4M
G
GOOGAlphabet, Inc. - Cl C (GOOG)
+3.2%$10.9M

Equity Positions (52)

TickerSecurityWeightMarket ValueSharesAvg CostPriceChange (QoQ)
E
EME
EMCOR Group, Inc. (EME)6.25%$21.4M32,882$32.39$649.54+$1.3M
R
RSG
Republic Services, Inc. (RSG)5.90%$20.2M87,815$27.10$229.48-$1.8M
M
MYRG
MYR Group, Inc. (MYRG)4.53%$15.5M74,346$30.54$208.03+$884.1K
K
KBR
KBR, Inc. (KBR)3.92%$13.4M283,369$23.84$47.29-$295.3K
G
GOOG
Alphabet, Inc. - Cl C (GOOG)3.18%$10.9M44,626$55.14$243.55+$2.3M

Industry Allocation

SERVICES-COMPUTER PROGRAMMING, DATA PROCESSING, ETC.
+6.4%
ELECTRICAL WORK
+6.3%
REFUSE SYSTEMS
+5.9%
WATER, SEWER, PIPELINE, COMM & POWER LINE CONSTRUCTION
+4.5%
FIRE, MARINE & CASUALTY INSURANCE
+4.0%