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  Nokia Corp. (NOK)
Period Shares % of Portfolio Activity % Change to Portfolio Reported Price Value Filing
2013   Q2 0 0.00 Sell 100.00% 0.01 SEC
2012   Q2 1,055,972 0.01 Add 242.99% <0.01 $2.07 $2,186,000 SEC
2012   Q1 307,874 <0.01 Buy <0.01 $5.49 $1,690,000 SEC
2010   Q1 0 0.00 Sell 100.00% <0.01 SEC
2009   Q4 21,209 <0.01 $12.87 $273,000 SEC
2009   Q3 21,209 <0.01 Reduce 2.37% $14.62 $310,000 SEC
2009   Q2 21,724 <0.01 Add 11.75% <0.01 $14.59 $317,000 SEC
2009   Q1 19,439 <0.01 Reduce 63.54% <0.01 $11.68 $227,000 SEC
2008   Q4 53,309 <0.01 Add 61.84% <0.01 $15.61 $832,000 SEC
2008   Q3 32,940 <0.01 Reduce 20.36% <0.01 $18.64 $614,000 SEC
2008   Q2 41,360 <0.01 $24.49 $1,013,000 SEC
2008   Q1 41,360 <0.01 Add 19.33% <0.01 $31.82 $1,316,000 SEC
2007   Q4 34,660 <0.01 Add 31.24% <0.01 $38.40 $1,331,000 SEC
2007   Q3 26,410 <0.01 Buy <0.01 $37.94 $1,002,000 SEC
2007   Q2 0 0.00 Sell 100.00% 0.31 SEC
2007   Q1 8,200,660 0.31 Reduce 0.12% <0.01 $22.92 $187,959,000 SEC
2006   Q4 8,210,550 0.27 Add 0.64% <0.01 $20.32 $166,838,000 SEC
2006   Q3 8,158,150 0.30 Add 0.42% <0.01 $19.69 $160,634,000 SEC
2006   Q2 8,124,110 0.31 Reduce 0.26% <0.01 $20.26 $164,594,000 SEC
2006   Q1 8,145,500 0.34 Add 0.62% <0.01 $20.72 $168,775,000 SEC
2005   Q4 8,095,100 0.31 Reduce 0.78% <0.01 $18.30 $148,140,000 SEC
2005   Q3 8,158,500 0.31 Reduce 0.47% <0.01 $16.91 $137,960,000 SEC
2005   Q2 8,196,800 0.09 Reduce 5.30% $16.64 $136,395,000 SEC
2005   Q1 8,655,100 0.00 Reduce 6.64% $15.43 $133,548,000 SEC
2004   Q4 9,270,497 0.00 Add 0.98% $733.09 $6,796,103,000 SEC
2004   Q3 9,180,074 4.29 Buy 4.29 $1,381.21 $12,679,646,000 SEC