Christopher Davis - Davis Selected Advisers
Period:    Q1 2026
Portfolio date:    31 Mar 2026
No. of stocks:    112
Portfolio value:    $21,781,443,023
Holdings Activity Buys Sells    History
Holding/activity history for  Covad Communications Group, Inc.Common Stock (DVW)
Period Shares % of Portfolio Activity % Change to Portfolio Reported Price Value Filing
2007   Q4 0 0.00 Sell 100.00% <0.01 SEC
2007   Q3 10,626,374 <0.01 Reduce 10.70% <0.01 $0.26 $2,777,000 SEC
2007   Q2 11,899,759 0.02 Add 13.69% <0.01 $0.90 $10,710,000 SEC
2007   Q1 10,467,230 0.02 Add 24.34% <0.01 $1.27 $13,293,000 SEC
2006   Q4 8,418,355 0.02 Add 9.14% <0.01 $1.38 $11,617,000 SEC
2006   Q3 7,713,285 0.02 Add 9.59% <0.01 $1.49 $11,493,000 SEC
2006   Q2 7,038,065 0.03 Add 10.14% <0.01 $2.01 $14,147,000 SEC
2006   Q1 6,390,158 0.02 Add 12.53% <0.01 $1.93 $12,333,000 SEC
2005   Q4 5,678,798 0.01 Add 13.11% <0.01 $0.98 $5,565,000 SEC
2005   Q3 5,020,800 0.01 Add 15.50% <0.01 $1.06 $5,322,000 SEC
2005   Q2 4,347,146 <0.01 Buy <0.01 $1.40 $6,086,000 SEC
2005   Q1 0 0.00 Sell 100.00% SEC
2004   Q4 2,590,975 0.00 Add 4.10% $2.15 $5,571,000 SEC
2004   Q3 2,488,863 <0.01 Add 0.78% $1.68 $4,181,000 SEC
2004   Q2 2,469,600 <0.01 Add 112.24% <0.01 $2.40 $5,927,000 SEC
2003   Q4 1,163,600 <0.01 $3.60 $4,189,000 SEC
2003   Q3 1,163,600 0.01 Reduce 32.35% <0.01 $5.53 $6,435,000 SEC
2003   Q2 1,720,104 <0.01 Reduce 30.35% <0.01 $1.39 $2,385,000 SEC
2003   Q1 2,469,600 0.02 Add 43.55% <0.01 $2.52 $6,223,000 SEC
2002   Q4 1,720,393 4.27 Add 0.00% <0.01 $2,668.25 $4,590,442,000 SEC
2002   Q3 1,720,361 3.74 Reduce 0.06% $2,668.83 $4,591,353,000 SEC
2002   Q2 1,721,445 0.00 Buy $2,773.00 $4,773,559,000 SEC