Sarah Ketterer - Causeway Capital Management
Period:    Q1 2026
Portfolio date:    31 Mar 2026
No. of stocks:    107
Portfolio value:    $8,146,199,181
Holdings Activity Buys Sells    History
Holding/activity history for  Vodafone Group Plc New (VODD)
Period Shares % of Portfolio Activity % Change to Portfolio Reported Price Value Filing
2015   Q2 0 0.00 Sell 100.00% 0.33 SEC
2015   Q1 379,659 0.33 Reduce 5.24% 0.02 $32.68 $12,407,000 SEC
2014   Q4 400,647 0.40 Reduce 0.31% <0.01 $34.17 $13,690,000 SEC
2014   Q3 401,886 0.46 Add 5.72% 0.02 $32.89 $13,218,000 SEC
2014   Q2 380,139 0.52 Add 12.10% 0.06 $33.22 $12,628,000 SEC
2014   Q1 339,104 0.57 Reduce 24.14% 0.24 $36.81 $12,482,000 SEC
2013   Q4 447,031 1.01 Add 186.74% 0.66 $39.31 $17,573,000 SEC
2013   Q3 155,901 0.45 Add 18.90% 0.07 $35.18 $5,485,000 SEC
2013   Q2 131,121 0.41 Add 34.24% 0.10 $28.74 $3,769,000 SEC
2013   Q1 97,674 0.39 Add 2.27% <0.01 $28.40 $2,774,000 SEC
2012   Q4 95,505 0.47 Add 220.17% 0.32 $25.19 $2,406,000 SEC
2012   Q3 29,829 0.22 Reduce 14.10% 0.05 $28.50 $850,000 SEC
2012   Q2 34,727 0.34 Reduce 21.11% 0.06 $28.19 $979,000 SEC
2012   Q1 44,017 0.27 Reduce 18.81% 0.11 $27.67 $1,218,000 SEC
2011   Q4 54,214 0.61 Reduce 12.56% 0.50 $28.04 $1,520,000 SEC
2009   Q3 61,999 3.97 Reduce 12.45% 0.26 $22.50 $1,395,000 SEC
2009   Q1 70,815 2.10 Buy 2.10 $17.43 $1,234,000 SEC
2008   Q4 0 0.00 Sell 100.00% 0.40 SEC
2008   Q3 20,218 0.40 Reduce 82.23% 2.90 $22.11 $447,000 SEC
2007   Q4 113,787 3.53 Reduce 48.57% 4.01 $37.21 $4,234,000 SEC
2007   Q3 221,231 8.26 Reduce 36.68% 4.70 $35.77 $7,913,000 SEC
2007   Q2 349,407 12.81 Buy 12.81 $33.63 $11,751,000 SEC