David Abrams - Abrams Capital Management,
Period:    Q1 2026
Portfolio date:    31 Mar 2026
No. of stocks:    11
Portfolio value:    $4,638,238,227
Holdings Activity Buys Sells    History
History Stock Activity Share change % change to portfolio
Q1 2026
SGI - Somnigroup International Inc. Reduce 0.09% 5,360 0.01
GOOGL - Alphabet Inc. Reduce 2.65% 50,862 0.28
NUVB - Nuvation Bio Inc. Reduce 66.67% 2,541,009 0.40
ET - Energy Transfer LP Sell 100.00% 6,115,417 1.78
Q4 2025
SGI - Somnigroup International Inc. Reduce 0.70% 41,110 0.06
ET - Energy Transfer LP Reduce 1.46% 90,360 0.03
GOOGL - Alphabet Inc. Reduce 9.77% 207,500 0.82
META - Meta Platforms Inc. Reduce 17.63% 69,600 0.83
CRCL - Circle Internet Group Inc Sell 100.00% 275,000 0.59
Q2 2025
LOAR - Loar Holdings Inc Reduce 14.37% 5,377,677 6.74
CTLP - Cantaloupe Inc Sell 100.00% 7,180,000 1.00
Q1 2025
META - Meta Platforms Inc. Reduce 29.22% 162,997 1.53
ET - Energy Transfer LP Reduce 65.20% 11,628,545 3.66
Q4 2024
LOAR - Loar Holdings Inc Reduce 2.62% 1,006,461 1.21
UHAL.B - U Haul Holding Co Non Voting Reduce 4.47% 152,267 0.18
META - Meta Platforms Inc. Reduce 10.12% 62,795 0.58
CWH - Camping World Holdings, Inc. Sell 100.00% 3,108,808 1.21
Q3 2024
UHAL.B - U Haul Holding Co Non Voting Reduce 3.99% 141,484 0.17
CWH - Camping World Holdings, Inc. Reduce 39.15% 2,000,000 0.70
UHAL - U-Haul Holding Co. Reduce 51.47% 38,604 0.05
Q2 2024
UHAL - U-Haul Holding Co. Reduce 72.92% 202,006 0.42
Q1 2024
UHAL.B - U Haul Holding Co Non Voting Reduce 3.22% 118,023 0.26
WTW - Willis Towers Watson plc Reduce 10.67% 86,057 0.65
GOOGL - Alphabet Inc. Reduce 10.99% 255,145 1.11
META - Meta Platforms Inc. Reduce 12.79% 91,003 1.00
UHAL - U-Haul Holding Co. Reduce 31.94% 130,016 0.29
TEVA - Teva Pharmaceutical Industries Ltd. Sell 100.00% 5,996,836 1.95
USCB - Uscb Financial Holdings Inc Sell 100.00% 149,786 0.06
Q4 2023
META - Meta Platforms Inc. Reduce 23.36% 216,924 2.15
TEVA - Teva Pharmaceutical Industries Ltd. Reduce 24.72% 1,969,597 0.66
USCB - Uscb Financial Holdings Inc Reduce 76.92% 499,299 0.18
Q3 2023
META - Meta Platforms Inc. Reduce 18.42% 209,652 1.73
TDG - TransDigm Group Inc. Sell 100.00% 312,747 8.04
HZNP - Horizon Therapeutics Pub L Sell 100.00% 890,993 2.64
Q2 2023
GOOGL - Alphabet Inc. Reduce 0.73% 17,100 0.06
CPNG - Coupang Inc. Reduce 3.14% 422,000 0.21
TDG - TransDigm Group Inc. Reduce 14.59% 53,440 1.25
META - Meta Platforms Inc. Reduce 47.11% 1,013,732 6.79
Q1 2023
ABG - Asbury Automotive Group Inc. Reduce 0.46% 9,676 0.06
META - Meta Platforms Inc. Reduce 1.14% 24,876 0.11
TEVA - Teva Pharmaceutical Industries Ltd. Reduce 50.00% 7,966,432 2.59
Q4 2022
UHAL - U-Haul Holding Co. Reduce 3.76% 15,890 0.23
ET - Energy Transfer LP Reduce 19.01% 4,185,000 1.33
GOOGL - Alphabet Inc. Reduce 19.62% 571,160 1.58
USCB - Uscb Financial Holdings Inc Reduce 23.22% 196,309 0.07
WTW - Willis Towers Watson plc Reduce 24.51% 261,909 1.52
TDG - TransDigm Group Inc. Reduce 32.10% 173,118 2.62
TEVA - Teva Pharmaceutical Industries Ltd. Reduce 33.33% 7,966,431 1.85
CHNG - Change Healthcare Inc Sell 100.00% 15,908,220 12.61
OI - O-I Glass Inc Sell 100.00% 6,934,144 2.59
KMI - Kinder Morgan Sell 100.00% 3,377,688 1.62
Q3 2022
ET - Energy Transfer LP Reduce 0.47% 105,000 0.03
TEVA - Teva Pharmaceutical Industries Ltd. Reduce 0.61% 147,060 0.03
CPNG - Coupang Inc. Reduce 1.53% 208,045 0.07
USCB - Uscb Financial Holdings Inc Reduce 1.62% 13,960 0.00
CHNG - Change Healthcare Inc Reduce 6.30% 1,070,000 0.66
KMI - Kinder Morgan Reduce 72.93% 9,098,512 4.10
Q1 2022
UHAL - U-Haul Holding Co. Reduce 5.59% 25,061 0.40
Q4 2021
WTW - Willis Towers Watson plc Reduce 2.31% 25,256 0.13
UHAL - U-Haul Holding Co. Reduce 20.18% 113,280 1.60
Q3 2021
PCG - PG&E Corp. Sell 100.00% 21,177,838 4.79
Q2 2021
PCG - PG&E Corp. Reduce 6.89% 1,567,170 0.41
USAT - Usa Technologies Inc Sell 100.00% 2,090,000 0.50
Q1 2021
PCG - PG&E Corp. Reduce 1.94% 450,000 0.16
TMDX - TransMedics Group Inc. Sell 100.00% 3,499,859 1.96
BMY-R - Bristol-Myers Squibb Co Sell 100.00% 24,800,355 0.48
SCU - Sculptor Cap Mgmt Sell 100.00% 521,991 0.22
CCO - Clear Channel Outdoor Holdings Sell 100.00% 3,354,390 0.16
Q4 2020
PCG - PG&E Corp. Reduce 7.22% 1,804,992 0.54
SCU - Sculptor Cap Mgmt Reduce 67.19% 1,069,183 0.40
BEN - Franklin Resources Inc Sell 100.00% 8,203,848 5.28
AKBA - Akebia Therapeutics Inc Sell 100.00% 5,656,462 0.45
Q3 2020
BEN - Franklin Resources Inc Reduce 15.58% 1,513,993 1.03
CWH - Camping World Holdings, Inc. Reduce 16.37% 1,000,000 0.88
SCU - Sculptor Cap Mgmt Reduce 22.72% 467,686 0.20
BMY-R - Bristol-Myers Squibb Co Reduce 36.21% 8,402,514 0.97
PACDQ - Pacific Drilling SA Luxembou Sell 100.00% 406,076 0.01
Q2 2020
PACDQ - Pacific Drilling SA Luxembou Reduce 94.52% 7,008,461 0.12
AGN - Allergan Plc Sell 100.00% 1,238,000 8.63
SPH - Suburban Propane Partners L Sell 100.00% 2,667,512 1.48
Q1 2020
SPH - Suburban Propane Partners L Reduce 10.74% 320,834 0.22
ORLY - O'Reilly Automotive Sell 100.00% 519,476 7.07
Q4 2019
META - Meta Platforms Inc. Reduce 0.49% 5,011 0.02
BEN - Franklin Res Inc Reduce 0.56% 54,645 0.04
WTW - Willis Towers Watson plc Reduce 1.42% 15,810 0.09
GOOGL - Alphabet Inc. Reduce 2.50% 3,098 0.11
ORLY - O'Reilly Automotive Reduce 2.70% 14,410 0.16
LAD - Lithia Motors Inc. Reduce 3.21% 73,932 0.27
SCU - Sculptor Cap Mgmt Reduce 7.42% 165,000 0.09
CELG - Celgene Corp Sell 100.00% 6,752,869 18.77
AABA - Altaba Inc Sell 100.00% 12,650,000 6.90
Q3 2019
0KAO - Och Ziff Cptl Mangemnt Grp I Sell 100.00% 2,223,860 1.39
Q2 2019
ORLY - O'Reilly Automotive Reduce 28.64% 214,238 2.34
BNED - Barnes & Noble Ed Inc Sell 100.00% 4,260,401 0.50
C7C - Clear Channel Outdoor Hldgs Sell 100.00% 3,354,390 0.50
Q1 2019
TEVA - Teva Pharmaceutical Industries Ltd. Reduce 2.57% 476,016 0.30
UHAL - U-Haul Holding Co. Reduce 2.57% 14,787 0.20
BEN - Franklin Res Inc Reduce 2.64% 265,220 0.32
KMI - Kinder Morgan Reduce 2.64% 231,589 0.15
ORLY - O'Reilly Automotive Reduce 13.01% 111,857 1.59
BNED - Barnes & Noble Ed Inc Reduce 27.45% 1,612,064 0.27
WU - Western Union Co. Sell 100.00% 10,434,763 7.36
35OA - Och Ziff Cap Mgmt Group Sell 100.00% 22,238,592 0.85
ENT1USD - Global Eagle Entmt Inc Sell 100.00% 6,069,147 0.56
Q4 2018
ORLY - O'Reilly Automotive Reduce 2.63% 23,213 0.21
TEVA - Teva Pharmaceutical Industries Ltd. Reduce 5.12% 1,000,000 0.57
WTW - Willis Towers Watson plc Reduce 6.21% 73,476 0.27
ENT1USD - Global Eagle Entmt Inc Reduce 6.95% 453,282 0.03
WU - Western Union Co. Reduce 50.70% 10,730,735 5.40
SHPG - Shire Plc Sell 100.00% 2,247,133 10.77
ESRX - Express Scripts Hldg Co Sell 100.00% 3,192,304 8.02
AABA - Altaba Inc Sell 100.00% 3,769,842 6.79
AET - Aetna Inc New Sell 100.00% 823,555 4.42
KERX - Keryx Biopharmaceuticals Inc Sell 100.00% 9,108,867 0.82
Q3 2018
WU - Western Union Co. Reduce 0.87% 186,300 0.11
TEVA - Teva Pharmaceutical Industries Ltd. Reduce 1.12% 220,751 0.15
AABA - Altaba Inc Reduce 1.37% 52,463 0.11
ENT1USD - Global Eagle Entmt Inc Reduce 6.82% 477,571 0.03
KERX - Keryx Biopharmaceuticals Inc Reduce 8.45% 841,188 0.09
AET - Aetna Inc New Reduce 47.71% 751,445 3.84
PCG - PG&E Corp. Sell 100.00% 3,911,357 4.63
QCP - Quality Care Pptys Inc Sell 100.00% 7,025,579 4.20
GPI - Group 1 Automotive Sell 100.00% 457,301 0.80
Q2 2018
WU - Western Union Co. Reduce 1.19% 256,909 0.15
AABA - Altaba Inc Reduce 2.36% 92,500 0.21
BNED - Barnes & Noble Ed Inc Reduce 3.95% 241,410 0.05
GPI - Group 1 Automotive Reduce 8.63% 43,170 0.09
TWX - Time Warner Inc Sell 100.00% 3,346,103 9.92
Q1 2018
BNED - Barnes & Noble Ed Inc Reduce 6.51% 425,833 0.12
WFC - Wells Fargo Sell 100.00% 2,863,662 5.85
6CL - Colony Northstar Inc Sell 100.00% 4,888,139 1.88
Q4 2017
TEVA - Teva Pharmaceutical Industries Ltd. Reduce 8.70% 1,880,763 1.29
6CL - Colony Northstar Inc Reduce 14.10% 802,471 0.39
WFC - Wells Fargo Reduce 14.32% 478,681 1.03
BNED - Barnes & Noble Ed Inc Reduce 25.44% 2,231,784 0.57
Q3 2017
6CL - Colony Northstar Inc Reduce 39.59% 3,728,847 2.09
TWX - Time Warner Inc Sell 100.00% 3,050,000 12.17
WBT - Welbilt Inc Sell 100.00% 5,967,907 4.47
CARS - Cars Com Inc Sell 100.00% 2,500,000 2.65
VEON - VEON Sell 100.00% 14,055,481 2.18
BKS - Barnes & Noble Inc Sell 100.00% 3,508,735 1.06
Q2 2017
6CL - Colony Northstar Inc Reduce 13.65% 1,488,688 0.74
WBT - Welbilt Inc Reduce 20.86% 1,573,159 1.18
VEON - VEON Reduce 25.12% 4,715,469 0.74
BKS - Barnes & Noble Inc Reduce 66.32% 6,910,040 2.45
MSFT - Microsoft Corp. Sell 100.00% 4,980,000 12.57
Q1 2017
NSAM - Northstar Asset Mgmt Group I Sell 100.00% 10,908,145 6.49
MGI - Moneygram Intl Inc Sell 100.00% 5,130,000 2.42
SYT - Syngenta Ag Sell 100.00% 315,024 0.99
Q4 2016
NRF - Northstar Rlty Fin Corp Sell 100.00% 3,279,651 2.36
OPB - Opus Bk Irvine Calif Sell 100.00% 1,052,433 2.03
Q2 2016
OPB - Opus Bk Irvine Calif Reduce 34.07% 543,962 0.95
TWC - Time Warner Cable Inc Sell 100.00% 661,000 6.93
INXN - Interxion Holding N.v Sell 100.00% 2,347,788 4.16
Q1 2016
CNL - Cleco Corp New Sell 100.00% 2,362,366 7.18
Q4 2015
OPB - Opus Bk Irvine Calif Reduce 22.21% 455,685 1.32
Q3 2015
OPB - Opus Bk Irvine Calif Reduce 9.61% 218,185 0.54
DIG1 - Directv Sell 100.00% 1,714,262 10.80
WEN - Wendy's Co. Sell 100.00% 4,250,000 3.25
Q2 2015
CST - Cst Brands Inc Sell 100.00% 794,686 2.59
Q1 2015
CST - Cst Brands Inc Reduce 70.20% 1,871,994 4.23
COV - Covidien Plc Sell 100.00% 2,950,000 15.63
AIG - American International Group Sell 100.00% 4,801,276 13.93
RYAM - Rayonier Advanced Matls Inc Sell 100.00% 2,430,800 2.81
JCP* - Penney J C Inc Sell 100.00% 1,500,000 0.50
Q4 2014
RYAM - Rayonier Advanced Matls Inc Reduce 2.77% 69,200 0.13
CST - Cst Brands Inc Reduce 28.70% 1,073,624 2.28
Q3 2014
NAVI - Navient Corp Sell 100.00% 5,170,518 6.49
RYN - Rayonier Inc. Sell 100.00% 920,710 2.32
GTIV - Gentiva Health Services Inc Sell 100.00% 975,170 1.04
Q2 2014
SLM - SLM Corp. Sell 100.00% 8,200,487 15.93
WAIR - Wesco Aircraft Hldgs Inc Sell 100.00% 1,410,141 2.46
Q1 2014
SLM - SLM Corp. Reduce 19.33% 1,965,423 4.09
WAIR - Wesco Aircraft Hldgs Inc Reduce 75.54% 4,355,398 7.56
GCVRZ - Sanofi Sell 100.00% 11,658,873 0.31
Q4 2013
WAIR - Wesco Aircraft Hldgs Inc Reduce 33.61% 2,918,673 5.12
GCVRZ - Sanofi Reduce 62.61% 19,520,764 3.30
MANT - Mantech Intl Corp Sell 100.00% 860,920 2.07
Q3 2013
GCVRZ - Sanofi Reduce 0.29% 89,450 0.01
WAIR - Wesco Aircraft Hldgs Inc Reduce 3.78% 341,123 0.38
SLM - SLM Corp. Reduce 33.33% 5,082,954 7.04
MANT - Mantech Intl Corp Reduce 51.29% 906,410 1.44
DLCA - Dell Inc Sell 100.00% 15,000,000 12.12
TEVA - Teva Pharmaceutical Industries Ltd. Sell 100.00% 2,561,269 6.09
AIZ - Assurant Inc Sell 100.00% 1,500,000 4.63
BMC - Bmc Software Inc Sell 100.00% 1,230,000 3.36
Q2 2013
LAMR - Lamar Advertising Co. Sell 100.00% 1,271,460 6.41
Q1 2013
LAMR - Lamar Advertising Co. Reduce 76.87% 4,226,600 17.18
NXY - Nexen Inc Sell 100.00% 7,146,479 20.20
SLGN - Silgan Holdings Inc Sell 100.00% 757,104 3.30
Q4 2012
LAMR - Lamar Advertising Co. Reduce 26.10% 1,941,416 8.99
CDN1 - NAME OF ISSUER TITLE OF CLASS CUSIP (x$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE ARBITRON INC Sell 100.00% 2,292,309 10.85
Q3 2012
LAMR - Lamar Advertising Co. Reduce 14.67% 1,278,977 4.26
CDN1 - NAME OF ISSUER TITLE OF CLASS CUSIP (x$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE ARBITRON INC Reduce 15.60% 423,634 1.73
HRB - H&R Block Inc. Sell 100.00% 6,724,792 12.51
Q2 2012
LAMR - Lamar Advertising Co. Reduce 6.32% 587,688 1.92
CDN1 - NAME OF ISSUER TITLE OF CLASS CUSIP (x$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE ARBITRON INC Reduce 7.73% 227,615 0.85
HRB - H&R Block Inc. Reduce 46.98% 5,958,382 9.88
OHI - Omega Healthcare Invs Inc Sell 100.00% 695,673 1.49
Q1 2012
OHI - Omega Healthcare Invs Inc Reduce 53.62% 804,327 1.36
CCI* - Crown Castle Intl Corp Sell 100.00% 2,697,983 10.55
CFN - Carefusion Corp Sell 100.00% 2,828,384 6.28
GNW - Genworth Finl Inc Com Cl A Sell 100.00% 3,000,000 1.72
PMT - Pennymac Mtg Invt Tr Sell 100.00% 553,494 0.80
Q4 2011
PMT - Pennymac Mtg Invt Tr Reduce 51.60% 590,106 1.00
CEPH - Cephalon Inc Sell 100.00% 930,000 7.95
Q3 2011
CDN1 - NAME OF ISSUER TITLE OF CLASS CUSIP (x$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE ARBITRON INC Reduce 0.71% 20,917 0.12
Q2 2011
CDN1 - NAME OF ISSUER TITLE OF CLASS CUSIP (x$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE ARBITRON INC Reduce 0.11% 3,300 0.02
LZ - Lubrizol Corp. Sell 100.00% 600,000 9.86
IRM* - Iron Mtn Inc Sell 100.00% 2,000,000 7.66
Q1 2011
CDN1 - NAME OF ISSUER TITLE OF CLASS CUSIP (x$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE ARBITRON INC Reduce 16.67% 593,835 4.90
CFFN - Capitol Fed Finl Sell 100.00% 150,000 0.35
Q4 2010
MHK - Mohawk Industries Sell 100.00% 411,723 5.27
SAFT - Safety Ins Group Inc Sell 100.00% 77,345 0.78
Q3 2010
CCI* - Crown Castle Intl Corp Reduce 55.38% 3,349,170 25.97
CIT - Cit Group Inc Sell 100.00% 659,719 4.65
Q2 2010
CIT - Cit Group Inc Reduce 64.59% 1,203,338 7.50
MHK - Mohawk Industries Reduce 67.14% 841,355 7.32
1455797D - Tal Intl Group Inc Sell 100.00% 744,774 2.38
Q1 2010
CIT - Cit Group Inc Reduce 14.10% 305,813 1.26
MHK - Mohawk Industries Reduce 20.05% 314,327 2.23
1455797D - Tal Intl Group Inc Reduce 68.54% 1,622,418 3.20
DISH - Dish Network Corp Sell 100.00% 2,403,346 7.45
Q4 2009
CCI* - Crown Castle Intl Corp Reduce 24.85% 2,000,000 8.83
DISH - Dish Network Corp Reduce 44.82% 1,951,954 5.29
GETI - Gentek Inc Sell 100.00% 1,835,898 9.83
FUR - Winthrop Rlty Tr Sell 100.00% 1,499,998 2.06
Q3 2009
ABG - Asbury Automotive Group Inc. Sell 100.00% 1,160,800 2.15
MWA - Mueller Wtr Prods Inc Sell 100.00% 2,281,283 1.55
Q2 2009
MHK - Mohawk Industries Reduce 16.07% 300,000 1.65
ABG - Asbury Automotive Group Inc. Reduce 22.61% 339,200 0.27
MWA - Mueller Wtr Prods Inc Reduce 26.50% 822,600 0.50
AYE - Allegheny Energy Inc Sell 100.00% 4,097,533 17.52
GPI - Group 1 Automotive Sell 100.00% 1,098,600 2.83
Q1 2009
1455797D - Tal Intl Group Inc Reduce 4.77% 115,564 0.29
MWA/B - Mueller Wtr Prods Inc Sell 100.00% 4,000,000 6.02
GHSEQ - Gatehouse Media Inc Sell 100.00% 2,690,350 0.02
Q4 2008
AYE - Allegheny Energy Inc Reduce 1.92% 80,141 0.30
SLM - SLM Corp. Reduce 4.64% 383,493 0.48
MWA/B - Mueller Wtr Prods Inc Reduce 30.34% 1,742,065 1.14
MHK - Mohawk Industries Reduce 85.50% 1,651,122 11.18
PM - Philip Morris Intl. Sell 100.00% 587,225 2.84
POOL - Pool Corp. Sell 100.00% 820,423 1.92
Q3 2008
GPI - Group 1 Automotive Reduce 0.25% 2,800 0.00
1455797D - Tal Intl Group Inc Reduce 3.18% 79,522 0.11
DISH - Dish Network Corp Reduce 4.52% 206,000 0.38
MHK - Mohawk Industries Reduce 6.03% 124,000 0.50
CDN1 - Arbitron Inc Reduce 9.53% 338,027 1.01
POOL - Pool Corp. Reduce 15.11% 146,000 0.16
PM - Philip Morris Intl. Reduce 79.83% 2,324,475 7.23
NVR - NVR Inc. Sell 100.00% 130,500 4.11
2968900Q - Clear Channel Communications Sell 100.00% 1,777,778 3.94
MO - Altria Group Inc. Sell 100.00% 2,911,700 3.77
SAFT - Safety Ins Group Inc Sell 100.00% 865,411 1.94
URI - United Rentals Sell 100.00% 1,500,000 1.85
Q2 2008
CDN1 - Arbitron Inc Reduce 7.54% 289,264 0.82
GHSEQ - Gatehouse Media Inc Reduce 12.94% 400,000 0.15
NVR - NVR Inc. Reduce 41.77% 93,600 3.66
2968900Q - Clear Channel Communications Reduce 69.01% 3,959,538 7.57
Q1 2008
AYE - Allegheny Energy Inc Reduce 2.57% 93,013 0.30
NVR - NVR Inc. Reduce 42.32% 164,450 4.30
EOR - Echostar Communications New Sell 100.00% 4,535,300 8.53
XCO - Exco Resources Inc Sell 100.00% 9,000,000 6.95
Q4 2007
2968900Q - Clear Channel Communications Reduce 8.27% 426,884 0.85
EOR - Echostar Communications New Reduce 11.43% 585,300 1.46
AYE - Allegheny Energy Inc Reduce 12.54% 518,913 1.45
Q3 2007
HSP - Hospira Inc Sell 100.00% 2,382,700 4.27
MA - Mastercard Inc. Sell 100.00% 535,000 4.07
ERIE - Erie Indemnity Co. CL A Sell 100.00% 1,324,192 3.29
SGI - Somnigroup International Inc. Sell 100.00% 2,536,400 3.02
BIIB - Biogen Inc. Sell 100.00% 700,000 1.70
Q2 2007
EOR - Echostar Communications New Reduce 4.48% 240,000 0.59
SGI - Somnigroup International Inc. Reduce 9.67% 271,400 0.40
CCI* - Crown Castle Intl Corp Reduce 10.20% 630,000 1.15
GHSEQ - Gatehouse Media Inc Sell 100.00% 75,000 0.09
POR - Portland Gen Elec Co Sell 100.00% 9,374 0.02
Q1 2007
SGI - Somnigroup International Inc. Reduce 17.72% 604,900 0.70
POR - Portland Gen Elec Co Reduce 81.64% 41,676 0.07
2279928Q - Global Signal Inc Sell 100.00% 7,576,703 22.66
Q4 2006
SONC - Sonic Corp Sell 100.00% 536,537 0.81
GDW - Golden West Finl Corp Del Sell 100.00% 49,100 0.25
Q3 2006
MO - Altria Group Inc. Reduce 7.16% 133,000 0.67
NVR - NVR Inc. Reduce 36.36% 154,725 5.22
GDW - Golden West Finl Corp Del Reduce 93.52% 708,200 3.61
SPNT - Sprint Nextel Corp Sell 100.00% 1,000,000 1.37
POR - Portland Gen Elec Co Sell 100.00% 263,622 0.45
Q2 2006
1455797D - TAL Intl Group Inc Reduce 3.12% 55,000 0.10
GDW - Golden West Finl Corp Del Reduce 41.26% 532,000 2.79
MS - Morgan Stanley Sell 100.00% 544,200 2.65
BCO - Brink's Co. Sell 100.00% 412,600 1.62
GPI - Group 1 Automotive Sell 100.00% 371,800 1.37
BKD - Brookdale Senior Living Inc. Sell 100.00% 200,000 0.58