Mason Hawkins - Southeastern Asset Management Inc
Period:    Q1 2026
Portfolio date:    31 Mar 2026
No. of stocks:    49
Portfolio value:    $2,032,773,449
Holdings Activity Buys Sells    History
History Stock Activity Share change % change to portfolio
Q1 2026
AVTR - Avantor Inc. Reduce 0.80% 28,306 0.01
KHC - Kraft Heinz Co. Reduce 12.02% 539,403 0.58
SN - Sharkninja Inc Reduce 13.34% 38,600 0.19
CAH - Cardinal Health Inc. Reduce 15.17% 1,312 0.01
CNX - CNX Resources Corp. Reduce 15.24% 721,713 1.18
MGM - MGM Resorts International Reduce 18.22% 370,408 0.60
ALX - Alexander's Inc. Reduce 19.31% 23,699 0.23
SAM - Boston Beer Company Reduce 20.00% 29,596 0.26
REGN - Regeneron Pharmaceuticals Reduce 21.19% 35,130 1.21
BIO - Bio-Rad Laboratories Inc. Reduce 28.48% 64,826 0.87
FDX - FedEx Corp. Reduce 31.08% 111,627 1.44
WTM - White Mountains Insurance Reduce 40.40% 12,788 1.18
XPO - XPO Logistics Reduce 51.31% 6,676 0.04
ACMR - ACM Research Inc. Reduce 53.40% 897,281 1.58
PYPL - PayPal Holdings Inc. Reduce 95.95% 531,611 1.38
PCH - Potlatchdeltic Corporation Sell 100.00% 3,162,963 5.60
DIS - Walt Disney Co. Sell 100.00% 317,175 1.61
LPX - Louisiana-Pacific Corp. Sell 100.00% 272,123 0.98
ACH - Owens & Minor Inc New Sell 100.00% 181,735 0.02
Q4 2025
CNX - CNX Resources Corp. Reduce 0.35% 16,805 0.03
FIS - Fidelity National Information Services, Inc. Reduce 0.63% 3,960 0.01
PYPL - PayPal Holdings Inc. Reduce 0.91% 5,082 0.02
BIO - Bio-Rad Laboratories Inc. Reduce 4.06% 9,624 0.14
FDX - FedEx Corp. Reduce 4.08% 15,258 0.18
MLCO - Melco Resorts & Entertainment Ltd. Reduce 10.60% 213,165 0.10
XPO - XPO Logistics Reduce 18.57% 2,968 0.02
LAZ - Lazard Inc. Reduce 18.61% 4,255 0.01
AMG - Affiliated Managers Group Reduce 18.66% 1,276 0.01
H - Hyatt Hotels Corp. Reduce 18.67% 1,775 0.01
HSIC - Henry Schein Inc. Reduce 18.72% 3,924 0.01
ENOV - Enovis Corp. Reduce 18.73% 10,203 0.01
ACH - Owens & Minor Inc New Reduce 18.74% 41,925 0.01
CAH - Cardinal Health Inc. Reduce 18.74% 1,995 0.02
LYV - Live Nation Inc. Reduce 18.75% 1,946 0.02
RXO - Rxo Inc Reduce 18.98% 10,247 0.01
MSGS - Madison Square Garden Sports Corp. Reduce 20.11% 810 0.01
PVH - PVH Corp. Reduce 21.22% 198,463 0.85
AVTR - Avantor Inc. Reduce 31.09% 1,600,902 1.02
SN - Sharkninja Inc Reduce 42.99% 218,152 1.15
HTHT - H World Group Ltd ADR Reduce 73.61% 645,490 1.29
HDB - HDFC Bank Ltd. Reduce 79.02% 39,412 0.07
Q3 2025
KHC - Kraft Heinz Co. Reduce 1.00% 36,887 0.05
CNH - CNH Industrial NV Reduce 1.18% 44,439 0.03
PYPL - PayPal Holdings Inc. Reduce 1.18% 6,704 0.03
FDX - FedEx Corp. Reduce 1.36% 5,156 0.06
FBIN - Fortune Brands Innovations Inc. Reduce 1.52% 15,713 0.04
MGM - MGM Resorts International Reduce 1.53% 27,102 0.05
DIS - Walt Disney Co. Reduce 1.54% 4,470 0.03
HTHT - H World Group Ltd ADR Reduce 2.22% 19,894 0.03
SN - Sharkninja Inc Reduce 4.56% 24,242 0.12
KSPI - Jsc Kaspi.kz ADR Reduce 5.49% 10,362 0.04
PPLI - People Inc. Reduce 5.58% 163,469 0.31
TRIP - TripAdvisor Inc. Reduce 9.49% 245,964 0.16
REGN - Regeneron Pharmaceuticals Reduce 9.95% 15,974 0.42
GHC - Graham Holdings Co. Reduce 17.58% 7,542 0.36
DOLE - Dole Food Company Reduce 21.05% 515,436 0.36
BIO - Bio-Rad Laboratories Inc. Reduce 24.75% 78,031 0.95
LYV - Live Nation Inc. Reduce 26.31% 3,706 0.03
PVH - PVH Corp. Reduce 31.72% 434,456 1.50
FIS - Fidelity National Information Services, Inc. Reduce 34.04% 323,148 1.33
MLCO - Melco Resorts & Entertainment Ltd. Reduce 68.57% 4,386,852 1.60
H - Hyatt Hotels Corp. Reduce 96.90% 296,984 2.09
DINO - HF Sinclair Corp. Sell 100.00% 1,751,822 3.63
TIGO - Millicom Intl Cellular S.a. Sell 100.00% 1,037,634 1.96
ANGI - Angi Inc. Sell 100.00% 2,067,648 1.59
OSCR - Oscar Health Inc Sell 100.00% 881,857 0.95
WEST - Westrock Coffee Co Sell 100.00% 2,670,176 0.77
PK - Park Hotels & Resorts Inc. Sell 100.00% 1,337,878 0.69
Q2 2025
HTHT - H World Group Ltd ADR Reduce 0.90% 8,136 0.02
PYPL - PayPal Holdings Inc. Reduce 0.92% 5,233 0.02
FDX - FedEx Corp. Reduce 2.36% 9,178 0.12
SN - Sharkninja Inc Reduce 2.52% 13,743 0.06
BIO - Bio-Rad Laboratories Inc. Reduce 2.63% 8,520 0.11
CNH - CNH Industrial NV Reduce 2.63% 101,519 0.07
CNX - CNX Resources Corp. Reduce 6.76% 323,422 0.54
MGM - MGM Resorts International Reduce 7.98% 153,859 0.24
HDB - HDFC Bank Ltd. Reduce 16.68% 7,828 0.03
BATRK - Atlanta Braves Holdings Inc. Series C Reduce 21.15% 180,003 0.38
H - Hyatt Hotels Corp. Reduce 21.61% 84,507 0.55
GHC - Graham Holdings Co. Reduce 22.22% 12,258 0.63
FIS - Fidelity National Information Services, Inc. Reduce 26.85% 348,426 1.39
ACI - Albertsons Co Inc. Reduce 31.69% 1,605,998 1.88
DINO - HF Sinclair Corp. Reduce 34.36% 916,856 1.61
CAH - Cardinal Health Inc. Reduce 39.46% 6,937 0.05
PK - Park Hotels & Resorts Inc. Reduce 42.11% 973,100 0.56
WEST - Westrock Coffee Co Reduce 45.28% 2,209,751 0.85
TIGO - Millicom Intl Cellular S.a. Reduce 48.58% 980,339 1.58
OSCR - Oscar Health Inc Reduce 57.94% 1,214,928 0.85
AMG - Affiliated Managers Group Reduce 98.57% 472,933 4.24
HHH - Howard Hughes Holdings Inc. Sell 100.00% 217,395 0.86
GOOG - Alphabet Inc. CL C Sell 100.00% 6,527 0.05
Q1 2025
H - Hyatt Hotels Corp. Reduce 0.91% 3,589 0.03
PYPL - PayPal Holdings Inc. Reduce 1.46% 8,444 0.03
MLCO - Melco Resorts & Entertainment Ltd. Reduce 2.82% 146,901 0.04
HTHT - H World Group Ltd ADR Reduce 2.90% 27,029 0.04
DINO - HF Sinclair Corp. Reduce 2.91% 80,077 0.13
WTM - White Mountains Insurance Reduce 3.95% 760 0.07
GHC - Graham Holdings Co. Reduce 6.61% 3,902 0.16
FDX - FedEx Corp. Reduce 9.67% 41,625 0.55
MAT - Mattel Inc. Reduce 10.40% 793,410 0.66
FIS - Fidelity National Information Services, Inc. Reduce 10.54% 152,876 0.58
PPLI - People Inc. Reduce 10.77% 296,448 0.60
ACI - Albertsons Co Inc. Reduce 12.11% 698,544 0.65
KHC - Kraft Heinz Co. Reduce 13.17% 373,567 0.54
TIGO - Millicom Intl Cellular S.a. Reduce 16.31% 393,284 0.46
PCH - Potlatchdeltic Corporation Reduce 17.07% 168,811 0.31
CNH - CNH Industrial NV Reduce 18.65% 885,456 0.47
MGM - MGM Resorts International Reduce 19.93% 480,184 0.79
HDB - HDFC Bank Ltd. Reduce 26.09% 16,567 0.05
AMG - Affiliated Managers Group Reduce 31.70% 222,716 1.94
OSCR - Oscar Health Inc Reduce 33.03% 1,034,299 0.66
RTX - RTX Corp. Sell 100.00% 524,993 2.87
HOUS - Anywhere Real Estate Inc Sell 100.00% 3,490,923 0.54
LM0G - Liberty Media Corp Del Sell 100.00% 159,319 0.51
LM0H - Liberty Media Corp Del Sell 100.00% 55,259 0.17
Q4 2024
H - Hyatt Hotels Corp. Reduce 1.71% 6,854 0.05
PVH - PVH Corp. Reduce 2.38% 12,427 0.06
RTX - RTX Corp. Reduce 2.56% 13,784 0.08
PK - Park Hotels & Resorts Inc. Reduce 2.94% 69,921 0.05
AMG - Affiliated Managers Group Reduce 3.08% 22,342 0.19
BIO - Bio-Rad Laboratories Inc. Reduce 3.10% 9,867 0.16
FIS - Fidelity National Information Services, Inc. Reduce 3.15% 47,245 0.19
FDX - FedEx Corp. Reduce 3.26% 14,523 0.19
CNH - CNH Industrial NV Reduce 3.61% 177,681 0.00
MAT - Mattel Inc. Reduce 4.48% 357,980 0.32
WTM - White Mountains Insurance Reduce 7.20% 1,494 0.00
HTHT - H World Group Ltd ADR Reduce 12.13% 128,606 0.23
MLCO - Melco Resorts & Entertainment Ltd. Reduce 13.37% 803,457 0.30
ESRT - Empire State Realty Trust Inc. Reduce 17.01% 319,070 0.17
GHC - Graham Holdings Co. Reduce 18.88% 13,747 0.53
SN - Sharkninja Inc Reduce 24.60% 143,016 0.73
CNX - CNX Resources Corp. Reduce 27.30% 1,684,858 2.59
PYPL - PayPal Holdings Inc. Reduce 31.24% 263,361 0.97
HHH - Howard Hughes Holdings Inc. Reduce 32.02% 102,418 0.37
HDB - HDFC Bank Ltd. Reduce 34.63% 33,630 0.10
LM0H - Liberty Media Corp Del Reduce 53.91% 64,628 0.15
LM0G - Liberty Media Corp Del Reduce 71.15% 392,821 0.95
LYV - Live Nation Inc. Reduce 98.41% 869,299 4.49
WMG - Warner Music Group Corp. CL A Sell 100.00% 1,825,879 2.70
WBD - Warner Bros. Discovery Inc. Sell 100.00% 6,671,354 2.60
SEG - Seaport Entertainment Group Sell 100.00% 35,533 0.05
SEG-R - Seaport Entertainment Grp Sell 100.00% 34 0.00
Q3 2024
RTX - RTX Corp. Reduce 0.04% 207 0.00
MLCO - Melco Resorts & Entertainment Ltd. Reduce 1.15% 69,960 0.02
MGM - MGM Resorts International Reduce 1.57% 35,056 0.07
PK - Park Hotels & Resorts Inc. Reduce 1.94% 47,109 0.03
FIS - Fidelity National Information Services, Inc. Reduce 1.95% 29,716 0.10
BIO - Bio-Rad Laboratories Inc. Reduce 2.05% 6,677 0.08
LYV - Live Nation Inc. Reduce 2.11% 19,078 0.08
SN - Sharkninja Inc Reduce 2.64% 15,765 0.05
MAT - Mattel Inc. Reduce 2.66% 218,184 0.15
WTM - White Mountains Insurance Reduce 3.20% 685 0.05
HTHT - H World Group Ltd ADR Reduce 3.41% 37,412 0.05
H - Hyatt Hotels Corp. Reduce 5.59% 23,748 0.16
PPLI - People Inc. Reduce 6.83% 166,355 0.34
WEST - Westrock Coffee Co Reduce 7.69% 406,744 0.18
AMG - Affiliated Managers Group Reduce 8.86% 70,420 0.48
GHC - Graham Holdings Co. Reduce 11.53% 9,490 0.29
FDX - FedEx Corp. Reduce 12.81% 65,371 0.85
BATRK - Atlanta Braves Holdings Inc. Series C Reduce 13.45% 132,245 0.23
OSCR - Oscar Health Inc Reduce 14.30% 343,467 0.24
CNX - CNX Resources Corp. Reduce 14.33% 1,032,240 1.09
WMG - Warner Music Group Corp. CL A Reduce 15.80% 342,689 0.46
HDB - HDFC Bank Ltd. Reduce 21.09% 25,956 0.07
CNH - CNH Industrial NV Reduce 29.90% 2,100,915 0.93
ESRT - Empire State Realty Trust Inc. Reduce 30.93% 840,125 0.34
WBD - Warner Bros. Discovery Inc. Reduce 38.41% 4,160,040 1.35
HOUS - Anywhere Real Estate Inc Reduce 39.37% 2,267,111 0.33
K - Kellanova Sell 100.00% 1,969,069 4.95
FISV - Fiserv Inc. Sell 100.00% 211,917 1.38
IMKTA - Ingles Markets Incorporated - Sell 100.00% 440,648 1.32
IBTA - Ibotta Inc Sell 100.00% 70,000 0.23
GEHC - GE HealthCare Technologies Inc. Sell 100.00% 15,627 0.05
Q2 2024
HDB - HDFC Bank Ltd. Reduce 1.05% 1,300 0.00
H - Hyatt Hotels Corp. Reduce 3.87% 17,137 0.10
MAT - Mattel Inc. Reduce 3.89% 332,176 0.25
WEST - Westrock Coffee Company Reduce 4.00% 220,325 0.09
AMG - Affiliated Managers Group Reduce 5.09% 42,629 0.27
BIO - Bio-Rad Laboratories Inc. Reduce 5.51% 18,946 0.25
K - Kellanova Reduce 5.74% 119,813 0.26
FIS - Fidelity National Information Services, Inc. Reduce 5.76% 93,403 0.27
PYPL - PayPal Holdings Inc. Reduce 5.83% 52,194 0.13
FDX - FedEx Corp. Reduce 5.90% 32,015 0.36
PPLI - People Inc. Reduce 5.97% 154,696 0.32
WMG - Warner Music Group Corp. CL A Reduce 6.06% 139,917 0.18
CNH - CNH Industrial NV Reduce 6.14% 459,903 0.23
GHC - Graham Holdings Co. Reduce 6.22% 5,455 0.16
WBD - Warner Bros. Discovery Inc. Reduce 6.54% 758,233 0.25
FISV - Fiserv Inc. Reduce 6.57% 14,893 0.09
ESRT - Empire State Realty Trust Inc. Reduce 11.47% 351,935 0.14
WTM - White Mountains Insurance Reduce 13.30% 3,285 0.23
SN - Sharkninja Inc Reduce 17.41% 125,889 0.30
CNX - CNX Resources Corp. Reduce 20.43% 1,849,703 1.69
OSCR - Oscar Health Inc Reduce 21.82% 670,260 0.38
LYV - Live Nation Inc. Reduce 22.64% 264,114 1.07
RTX - RTX Corp. Reduce 32.26% 256,720 0.96
LBRDK - Liberty Broadband Corp. CL C Sell 100.00% 944,340 2.08
DEI - Douglas Emmett Inc. Sell 100.00% 1,331,344 0.71
Q1 2024
LBRDK - Liberty Broadband Corp. CL C Reduce 0.09% 845 0.00
RTX - RTX Corp. Reduce 0.14% 1,106 0.00
MAT - Mattel Inc. Reduce 3.39% 299,727 0.22
AMG - Affiliated Managers Group Reduce 5.04% 44,497 0.26
LYV - Live Nation Inc. Reduce 5.48% 67,679 0.24
BIO - Bio-Rad Laboratories Inc. Reduce 5.52% 20,099 0.25
K - Kellanova Reduce 5.54% 122,572 0.26
XPO - XPO Logistics Reduce 13.26% 1,989 0.01
MGM - MGM Resorts International Reduce 18.56% 461,656 0.79
WMG - Warner Music Group Corp. CL A Reduce 18.83% 535,614 0.74
FIS - Fidelity National Information Services, Inc. Reduce 19.18% 384,715 0.89
MLCO - Melco Resorts & Entertainment Ltd. Reduce 23.28% 27,399 0.01
WTM - White Mountains Insurance Reduce 23.85% 7,738 0.45
ESRT - Empire State Realty Trust Inc. Reduce 25.92% 1,073,399 0.40
FISV - Fiserv Inc. Reduce 44.69% 183,231 0.93
H - Hyatt Hotels Corp. Reduce 44.71% 357,676 1.79
OSCR - Oscar Health Inc Reduce 46.29% 2,646,821 0.93
SN - Sharkninja Inc Reduce 54.67% 872,071 1.72
PVH - PVH Corp. Reduce 58.08% 436,135 2.05
FBIN - Fortune Brands Innovations Inc. Sell 100.00% 452,101 1.32
KNF - Knife River Corp. Sell 100.00% 320,291 0.81
DOOR - Masonite International Corpora Sell 100.00% 142,416 0.46
Q4 2023
WTM - White Mountains Insurance Reduce 1.51% 499 0.03
WEST - Westrock Coffee Company Reduce 1.53% 85,581 0.03
LBRDK - Liberty Broadband Corp. CL C Reduce 1.57% 15,039 0.05
FISV - Fiserv Inc. Reduce 1.60% 6,668 0.03
RTX - RTX Corp. Reduce 1.62% 13,148 0.04
MAT - Mattel Inc. Reduce 1.74% 156,755 0.13
GHC - Graham Holdings Co. Reduce 2.09% 1,864 0.04
LYV - Live Nation Inc. Reduce 2.60% 32,958 0.10
PPLI - People Inc. Reduce 2.61% 60,510 0.11
AMG - Affiliated Managers Group Reduce 2.83% 25,664 0.12
MGM - MGM Resorts International Reduce 3.29% 84,732 0.12
XPO - XPO Logistics Reduce 6.76% 1,088 0.00
HTHT - H World Group Ltd ADR Reduce 7.50% 29,256 0.04
CNX - CNX Resources Corp. Reduce 11.07% 1,037,431 0.87
CAH - Cardinal Health Inc. Reduce 15.00% 2,518 0.01
ESRT - Empire State Realty Trust Inc. Reduce 15.67% 769,842 0.23
SN - Sharkninja Inc Reduce 16.27% 310,024 0.53
WMG - Warner Music Group Corp. CL A Reduce 17.61% 608,006 0.71
DEI - Douglas Emmett Inc. Reduce 17.74% 287,133 0.13
FDX - FedEx Corp. Reduce 18.72% 111,715 1.10
WBD - Warner Bros. Discovery Inc. Reduce 20.73% 2,527,667 1.02
OSCR - Oscar Health Inc Reduce 22.80% 1,689,008 0.35
H - Hyatt Hotels Corp. Reduce 24.18% 255,182 1.00
GOOG - Alphabet Inc. CL C Reduce 30.76% 2,354 0.01
PVH - PVH Corp. Reduce 37.72% 454,701 1.29
DOOR - Masonite International Corpora Reduce 56.73% 186,700 0.65
KNF - Knife River Corp. Reduce 58.04% 443,081 0.80
FBIN - Fortune Brands Innovations Inc. Reduce 66.33% 890,658 2.05
MSGS - Madison Square Garden Sports Corp. Reduce 94.90% 59,872 0.39
LAZ - Lazard Inc. Reduce 97.39% 695,086 0.80
GE - GE Aerospace Sell 100.00% 10,625 0.04
Q3 2023
LBRDK - Liberty Broadband Corp. CL C Reduce 0.59% 5,738 0.02
GHC - Graham Holdings Co. Reduce 0.73% 652 0.01
PVH - PVH Corp. Reduce 1.06% 12,967 0.04
AMG - Affiliated Managers Group Reduce 1.41% 12,996 0.07
LYV - Live Nation Inc. Reduce 1.44% 18,572 0.06
CNH - CNH Industrial NV Reduce 1.86% 36,570 0.02
HTHT - H World Group Ltd ADR Reduce 2.07% 8,226 0.01
MAT - Mattel Inc. Reduce 3.51% 327,081 0.23
BATRK - Atlanta Braves Holdings Inc. Series C Reduce 6.57% 69,121 0.10
WMG - Warner Music Group Corp. CL A Reduce 7.10% 263,741 0.24
MGM - MGM Resorts International Reduce 7.41% 205,886 0.32
PPLI - People Inc. Reduce 9.21% 235,440 0.52
FDX - FedEx Corp. Reduce 9.64% 63,695 0.56
H - Hyatt Hotels Corp. Reduce 13.89% 170,171 0.69
SAM - Boston Beer Company Reduce 16.47% 20,957 0.23
ESRT - Empire State Realty Trust Inc. Reduce 19.73% 1,206,935 0.32
WTM - White Mountains Insurance Reduce 21.96% 9,272 0.45
CNX - CNX Resources Corp. Reduce 22.89% 2,783,383 1.74
FISV - Fiserv Inc. Reduce 37.40% 248,924 1.11
MSGS - Madison Square Garden Sports Corp. Reduce 49.97% 63,019 0.42
LAZ - Lazard Inc. Reduce 59.37% 1,042,834 1.18
GE - GE Aerospace Reduce 98.86% 922,315 3.58
HAS - Hasbro Inc. Sell 100.00% 665,106 1.52
SYNH - Syneos Health Inc Sell 100.00% 19,655 0.03
LBRDA - Liberty Broadband Corp. CL A Sell 100.00% 2,624 0.01
Q2 2023
AMG - Affiliated Managers Group Reduce 0.25% 2,323 0.01
PPLI - People Inc. Reduce 0.29% 7,549 0.01
HAS - Hasbro Inc. Reduce 0.32% 2,143 0.00
K - Kellogg Company Reduce 0.36% 4,716 0.01
WBD - Warner Bros. Discovery Inc. Reduce 0.36% 35,217 0.02
LBRDK - Liberty Broadband Corp. CL C Reduce 1.33% 13,011 0.04
HTHT - H World Group Ltd ADR Reduce 2.07% 8,440 0.01
CNX - CNX Resources Corp. Reduce 11.63% 1,599,627 0.87
PVH - PVH Corp. Reduce 13.10% 183,665 0.55
HOUS - Anywhere Real Estate Inc Reduce 14.78% 996,921 0.18
FISV - Fiserv Inc. Reduce 15.00% 117,499 0.45
MGM - MGM Resorts International Reduce 15.18% 497,301 0.75
MAT - Mattel Inc. Reduce 17.24% 1,942,421 1.21
H - Hyatt Hotels Corp. Reduce 18.22% 273,029 1.03
WTM - White Mountains Insurance Reduce 21.14% 11,316 0.53
GHC - Graham Holdings Co. Reduce 21.23% 24,207 0.49
WEST - Westrock Coffee Company Reduce 22.50% 1,528,930 0.63
LAZ - Lazard Inc. Reduce 23.00% 524,667 0.59
GE - GE Aerospace Reduce 24.35% 300,365 0.97
ESRT - Empire State Realty Trust Inc. Reduce 26.01% 2,150,978 0.47
DOOR - Masonite International Corpora Reduce 27.07% 109,404 0.34
MSGS - Madison Square Garden Sports Corp. Reduce 27.67% 48,233 0.32
OSCR - Oscar Health Inc Reduce 45.84% 5,010,863 1.11
BATRK - Atlanta Braves Holdings Inc. Series C Reduce 50.50% 1,073,750 1.22
GOOG - Alphabet Inc. CL C Reduce 99.09% 829,951 2.92
LUMN - Lumen Technologies Inc. Sell 100.00% 32,090,038 2.88
JOYY - JOYY Inc. Sell 100.00% 770,815 0.81
VMEO - Vimeo Inc. Sell 100.00% 6,245,394 0.81
RNR - RenaissanceRe Holdings Ltd. Sell 100.00% 8,830 0.06
Q1 2023
WMG - Warner Music Group Corp. CL A Reduce 0.88% 19,529 0.02
AMG - Affiliated Managers Group Reduce 0.90% 8,423 0.05
PPLI - People Inc. Reduce 0.94% 24,408 0.04
PVH - PVH Corp. Reduce 1.00% 14,139 0.03
LBRDK - Liberty Broadband Corp. CL C Reduce 1.16% 11,494 0.03
GHC - Graham Holdings Co. Reduce 1.47% 1,698 0.04
CNH - CNH Industrial NV Reduce 2.70% 46,748 0.03
WTM - White Mountains Insurance Reduce 3.53% 1,960 0.10
MAT - Mattel Inc. Reduce 6.38% 767,914 0.48
LBRDA - Liberty Broadband Corp. CL A Reduce 7.08% 200 0.00
BATRK - Atlanta Braves Holdings Inc. Series C Reduce 10.47% 248,514 0.28
LAZ - Lazard Inc. Reduce 10.65% 271,943 0.33
MGM - MGM Resorts International Reduce 12.03% 448,062 0.53
FISV - Fiserv Inc. Reduce 12.78% 114,752 0.41
WEST - Westrock Coffee Company Reduce 15.16% 1,214,216 0.57
FDX - FedEx Corp. Reduce 16.90% 132,668 0.81
H - Hyatt Hotels Corp. Reduce 17.37% 314,921 1.00
WBD - Warner Bros. Discovery Inc. Reduce 17.58% 2,109,843 0.70
LUMN - Lumen Technologies Inc. Reduce 19.55% 7,796,103 1.43
GOOG - Alphabet Inc. CL C Reduce 23.79% 261,532 0.81
OSCR - Oscar Health Inc Reduce 25.02% 3,646,821 0.32
HTHT - H World Group Ltd ADR Reduce 30.71% 180,311 0.27
GE - GE Aerospace Reduce 33.73% 627,780 1.85
VMEO - Vimeo Inc. Reduce 39.19% 4,025,123 0.48
MSGS - Madison Square Garden Sports Corp. Reduce 54.07% 205,226 1.32
SWK - Stanley Black & Decker Inc. Sell 100.00% 435,400 1.15
DEI - Douglas Emmett Inc. Sell 100.00% 1,976,071 1.09
PAYA - Paya Holdings Inc Sell 100.00% 92,048 0.03
CMCSA - Comcast Corp. Sell 100.00% 9,531 0.01
Q4 2022
JOYY - JOYY Inc. Reduce 3.93% 30,716 0.02
PPLI - People Inc. Reduce 5.73% 157,214 0.22
SWK - Stanley Black & Decker Inc. Reduce 5.84% 27,016 0.05
HTHT - H World Group Ltd ADR Reduce 6.59% 41,392 0.03
VMEO - Vimeo Inc. Reduce 9.08% 1,025,803 0.10
WBD - Warner Bros. Discovery Inc. Reduce 12.64% 1,736,917 0.50
MAT - Mattel Inc. Reduce 13.49% 1,876,157 0.89
PAYA - Paya Holdings Inc Reduce 16.35% 17,997 0.00
FISV - Fiserv Inc. Reduce 21.09% 240,040 0.57
CAH - Cardinal Health Inc. Reduce 22.32% 4,823 0.01
CNX - CNX Resources Corp. Reduce 24.35% 3,695,897 1.44
BATRK - Atlanta Braves Holdings Inc. Series C Reduce 24.95% 789,324 0.55
GOOG - Alphabet Inc. CL C Reduce 26.53% 396,993 0.96
MGM - MGM Resorts International Reduce 29.73% 1,575,625 1.18
LBRDK - Liberty Broadband Corp. CL C Reduce 30.61% 436,983 0.81
H - Hyatt Hotels Corp. Reduce 31.88% 848,762 1.73
LUMN - Lumen Technologies Inc. Reduce 31.97% 18,741,439 3.44
FDX - FedEx Corp. Reduce 33.84% 401,444 1.50
WMG - Warner Music Group Corp. CL A Reduce 33.90% 1,141,831 0.67
ESRT - Empire State Realty Trust Inc. Reduce 37.27% 4,913,741 0.81
HOUS - Anywhere Real Estate Inc Reduce 38.15% 4,035,619 0.82
PVH - PVH Corp. Reduce 40.29% 955,856 1.08
GE - GE Aerospace Reduce 40.91% 1,288,569 2.01
AMG - Affiliated Managers Group Reduce 42.42% 686,331 1.93
LAZ - Lazard Inc. Reduce 48.25% 2,380,724 1.91
WTM - White Mountains Insurance Reduce 50.72% 57,104 1.87
CNH - CNH Industrial NV Reduce 51.44% 1,834,465 0.51
MSGS - Madison Square Garden Sports Corp. Reduce 53.59% 438,303 1.51
GHC - Graham Holdings Co. Reduce 54.69% 139,685 1.89
DEI - Douglas Emmett Inc. Reduce 56.58% 2,575,505 1.16
LBRDA - Liberty Broadband Corp. CL A Reduce 84.75% 15,695 0.03
RNR - RenaissanceRe Holdings Ltd. Reduce 97.26% 313,207 1.11
Q3 2022
GHC - Graham Holdings Co. Reduce 1.25% 3,221 0.04
LBRDK - Liberty Broadband Corp. CL C Reduce 1.73% 25,155 0.06
DEI - Douglas Emmett Inc. Reduce 1.89% 87,500 0.04
FISV - Fiserv Inc. Reduce 2.08% 24,225 0.05
SWK - Stanley Black & Decker Inc. Reduce 2.62% 12,459 0.03
GE - GE Aerospace Reduce 3.83% 125,436 0.17
CNX - CNX Resources Corp. Reduce 4.01% 633,714 0.22
MGM - MGM Resorts International Reduce 4.27% 236,456 0.14
LAZ - Lazard Inc. Reduce 5.02% 260,944 0.18
LUMN - Lumen Technologies Inc. Reduce 5.43% 3,363,096 0.77
HOUS - Anywhere Real Estate Inc Reduce 6.90% 784,137 0.16
ESRT - Empire State Realty Trust Inc. Reduce 7.28% 1,034,729 0.15
AMG - Affiliated Managers Group Reduce 7.69% 134,723 0.33
H - Hyatt Hotels Corp. Reduce 8.01% 231,956 0.36
WBD - Warner Bros. Discovery Inc. Reduce 8.06% 1,204,080 0.34
PPLI - People Inc. Reduce 8.16% 243,769 0.39
WTM - White Mountains Insurance Reduce 10.35% 13,006 0.34
FDX - FedEx Corp. Reduce 13.43% 184,083 0.88
MAT - Mattel Inc. Reduce 13.79% 2,225,453 1.05
RNR - RenaissanceRe Holdings Ltd. Reduce 54.42% 384,509 1.27
IMKTA - Ingles Markets Incorporated - Sell 100.00% 142,580 0.26
Q2 2022
MAT - Mattel Inc. Reduce 0.17% 26,928 0.01
FISV - Fiserv Inc. Reduce 0.22% 2,512 0.00
JOYY - JOYY Inc. Reduce 0.30% 2,330 0.00
LBRDA - Liberty Broadband Corp. CL A Reduce 0.43% 80 0.00
LUMN - Lumen Technologies Inc. Reduce 0.83% 516,982 0.10
AMG - Affiliated Managers Group Reduce 1.26% 22,395 0.06
FDX - FedEx Corp. Reduce 1.30% 18,024 0.07
LAZ - Lazard Inc. Reduce 1.72% 90,997 0.06
MGM - MGM Resorts International Reduce 3.08% 175,874 0.13
ESRT - Empire State Realty Trust Inc. Reduce 3.91% 578,903 0.10
CNH - CNH Industrial NV Reduce 4.02% 118,306 0.03
BATRK - Atlanta Braves Holdings Inc. Series C Reduce 7.86% 269,955 0.13
MSGS - Madison Square Garden Sports Corp. Reduce 9.46% 85,463 0.27
GHC - Graham Holdings Co. Reduce 9.50% 27,159 0.29
DEI - Douglas Emmett Inc. Reduce 11.69% 614,379 0.36
RNR - RenaissanceRe Holdings Ltd. Reduce 24.78% 232,746 0.65
CNX - CNX Resources Corp. Reduce 30.46% 6,925,266 2.54
MLCO - Melco Resorts & Entertainment Ltd. Reduce 93.49% 1,161,783 0.16
DISCK - Discovery Inc - C Sell 100.00% 11,942,540 5.27
BIIB - Biogen Inc. Sell 100.00% 842,962 3.14
WMB - Williams Cos. Sell 100.00% 2,164,165 1.28
BATRA - Atlanta Braves Holdings Inc. Series A Sell 100.00% 95,304 0.05
Q1 2022
BIIB - Biogen Inc. Reduce 1.81% 15,561 0.06
DEI - Douglas Emmett Inc. Reduce 2.24% 120,629 0.07
MGM - MGM Resorts International Reduce 2.31% 135,120 0.10
MSGS - Madison Square Garden Sports Corp. Reduce 2.56% 23,742 0.07
ESRT - Empire State Realty Trust Inc. Reduce 2.61% 395,908 0.06
LUMN - Lumen Technologies Inc. Reduce 3.02% 1,945,424 0.41
FDX - FedEx Corp. Reduce 4.06% 58,788 0.26
LBRDA - Liberty Broadband Corp. CL A Reduce 4.22% 819 0.00
DISCK - Discovery Inc - C Reduce 4.36% 544,104 0.21
GHC - Graham Holdings Co. Reduce 4.69% 14,070 0.15
GE - GE Aerospace Reduce 7.89% 249,918 0.40
LAZ - Lazard Inc. Reduce 8.55% 494,069 0.36
HOUS - Realogy Holdings Corporation Reduce 11.15% 1,327,344 0.37
RNR - RenaissanceRe Holdings Ltd. Reduce 11.61% 123,338 0.35
CNX - CNX Resources Corp. Reduce 17.22% 4,727,768 1.09
MAT - Mattel Inc. Reduce 20.10% 4,065,220 1.47
H - Hyatt Hotels Corp. Reduce 25.13% 818,474 1.32
WMB - Williams Cos. Reduce 70.14% 5,083,271 2.22
BABA - Alibaba Group Holdings Sell 100.00% 22,215 0.04
Q4 2021
DEI - Douglas Emmett Inc. Reduce 0.14% 7,297 0.00
LAZ - Lazard Inc. Reduce 1.29% 75,247 0.07
LUMN - Lumen Technologies Inc. Reduce 1.88% 1,237,066 0.29
CNX - CNX Resources Corp. Reduce 2.49% 702,386 0.17
AMG - Affiliated Managers Group Reduce 3.91% 62,600 0.18
ESRT - Empire State Realty Trust Inc. Reduce 5.37% 861,507 0.16
WMB - Williams Cos. Reduce 7.20% 562,619 0.28
JOYY - JOYY Inc. Reduce 9.12% 76,522 0.08
CNH - CNH Industrial NV Reduce 17.94% 388,128 0.12
H - Hyatt Hotels Corp. Reduce 20.44% 836,671 1.22
BABA - Alibaba Group Holdings Reduce 96.64% 639,354 1.80
CMCSA - Comcast Corp. Reduce 99.62% 2,494,386 2.65
BIDU - Baidu Inc. Sell 100.00% 554,520 1.62
KODK - Eastman Kodak Co. Sell 100.00% 2,534,892 0.33
Q3 2021
CNX - CNX Resources Corp. Reduce 0.01% 1,884 0.00
WMB - Williams Cos. Reduce 0.03% 2,679 0.00
MGM - MGM Resorts International Reduce 1.70% 95,383 0.08
MAT - Mattel Inc. Reduce 3.38% 641,051 0.26
CNH - CNH Industrial NV Reduce 16.64% 431,869 0.14
BIDU - Baidu Inc. Reduce 40.85% 382,950 1.57
CMCSA - Comcast Corp. Reduce 46.14% 2,145,199 2.46
6683 - General Electric Sell 100.00% 21,668,307 5.86
EG - Everest Group Ltd Sell 100.00% 498,778 2.53
Q2 2021
FDX - FedEx Corp. Reduce 0.06% 510 0.00
CMCSA - Comcast Corp. Reduce 0.08% 3,861 0.00
MGM - MGM Resorts International Reduce 0.08% 4,527 0.00
LUMN - Lumen Technologies Inc. Reduce 0.73% 456,287 0.13
HOUS - Realogy Holdings Corporation Reduce 0.76% 66,943 0.02
BATRK - Atlanta Braves Holdings Inc. Series C Reduce 1.62% 42,222 0.03
CNH - CNH Industrial NV Reduce 2.35% 62,379 0.02
CNX - CNX Resources Corp. Reduce 4.65% 1,374,528 0.43
WMB - Williams Cos. Reduce 5.43% 448,275 0.23
BIIB - Biogen Inc. Sell 100.00% 603,890 3.61
Q1 2021
EG - Everest Group Ltd Reduce 0.58% 2,335 0.01
DEI - Douglas Emmett Inc. Reduce 3.45% 142,898 0.09
LAZ - Lazard Inc. Reduce 3.58% 176,535 0.17
CMCSA - Comcast Corp. Reduce 4.11% 199,618 0.23
FDX - FedEx Corp. Reduce 4.41% 39,053 0.23
LUMN - Lumen Technologies Inc. Reduce 4.59% 2,990,435 0.65
GHC - Graham Holdings Co. Reduce 6.25% 13,864 0.16
MAT - Mattel Inc. Reduce 7.29% 1,269,939 0.50
WMB - Williams Cos. Reduce 8.99% 815,957 0.36
CNH - CNH Industrial NV Reduce 10.91% 325,369 0.09
CNX - CNX Resources Corp. Reduce 16.80% 5,966,965 1.44
BIDU - Baidu Inc. Reduce 16.87% 154,041 0.74
H - Hyatt Hotels Corp. Reduce 17.00% 699,399 1.16
ESRT - Empire State Realty Trust Inc. Reduce 20.15% 3,224,611 0.67
MGM - MGM Resorts International Reduce 20.24% 1,427,700 1.00
AMG - Affiliated Managers Group Reduce 21.44% 346,782 0.79
6683 - General Electric Reduce 33.10% 10,717,718 2.59
DD - DuPont de Nemours Inc. Sell 100.00% 2,599,162 4.13
PCH - PotlatchDeltic Corporation Sell 100.00% 1,387,349 1.55
TCOM - Trip.com Group Ltd Sell 100.00% 1,250,835 0.94
LM05 - Liberty Media Corp - A Sell 100.00% 599,859 0.51
Q4 2020
HOUS - Realogy Holdings Corporation Reduce 0.09% 8,274 0.00
CNX - CNX Resources Corp. Reduce 0.22% 79,143 0.02
WMB - Williams Cos. Reduce 0.54% 49,005 0.02
CMCSA - Comcast Corp. Reduce 1.27% 62,262 0.07
H - Hyatt Hotels Corp. Reduce 5.85% 255,642 0.35
DD - DuPont de Nemours Inc. Reduce 9.05% 258,525 0.37
BIDU - Baidu Inc. Reduce 10.81% 110,706 0.36
FDX - FedEx Corp. Reduce 13.56% 138,889 0.90
6683 - General Electric Reduce 13.90% 5,228,641 0.84
GHC - Graham Holdings Co. Reduce 20.54% 57,353 0.60
CNH - CNH Industrial NV Reduce 23.57% 919,820 0.19
PCH - PotlatchDeltic Corporation Reduce 23.71% 431,211 0.47
LAZ - Lazard Inc. Reduce 30.04% 2,115,019 1.80
MAT - Mattel Inc. Reduce 37.97% 10,660,998 3.21
LM05 - Liberty Media Corp - A Reduce 57.08% 797,873 0.69
UNVR - Univar Solutions Inc. Sell 100.00% 4,607,943 2.00
SUM - Summit Materials Inc. CL A Sell 100.00% 325,567 0.14
WOR - Worthington Industries Inc. Sell 100.00% 117,000 0.12
WOW - WideOpenWest Inc Sell 100.00% 260,712 0.03
LM09 - Liberty Media Corp - C Sell 100.00% 8,640 0.01
Q3 2020
BIDU - Baidu Inc. Reduce 2.86% 30,175 0.09
MAT - Mattel Inc. Reduce 3.70% 1,080,232 0.26
CNX - CNX Resources Corp. Reduce 3.79% 1,399,984 0.30
CMCSA - Comcast Corp. Reduce 4.10% 210,184 0.20
WMB - Williams Cos. Reduce 5.19% 499,104 0.24
DD - DuPont de Nemours Inc. Reduce 7.42% 229,061 0.30
GHC - Graham Holdings Co. Reduce 9.48% 29,255 0.25
CNH - CNH Industrial NV Reduce 12.18% 541,429 0.10
HOUS - Realogy Holdings Corporation Reduce 24.94% 2,912,859 0.54
LM05 - Liberty Media Corp - A Reduce 37.48% 838,034 0.61
PCH - PotlatchDeltic Corporation Reduce 45.75% 1,533,609 1.45
KODK - Eastman Kodak Co. Reduce 48.89% 2,425,108 0.14
FDX - FedEx Corp. Reduce 51.44% 1,085,329 3.80
WOW - WideOpenWest Inc Reduce 63.55% 454,547 0.06
LM09 - Liberty Media Corp - C Reduce 98.52% 575,216 0.45
CARR - Carrier Global Corp. Sell 100.00% 8,876,727 4.92
GOOG - Alphabet Inc. CL C Sell 100.00% 86,419 3.05
VSAT - Viasat Inc. Sell 100.00% 2,471,659 2.37
GLIBA - GCI Liberty Inc Sell 100.00% 522,735 0.93
VNTR - Venator Materials PLC Sell 100.00% 1,460,818 0.07
Q2 2020
MAT - Mattel Inc. Reduce 0.93% 273,407 0.06
AMG - Affiliated Managers Group Reduce 1.05% 14,786 0.02
6683 - General Electric Reduce 2.22% 758,390 0.14
LAZ - Lazard Inc. Reduce 2.41% 173,578 0.10
CMCSA - Comcast Corp. Reduce 5.81% 315,983 0.26
LUMN - Lumen Technologies Inc. Reduce 7.91% 5,317,752 1.20
LM05 - Liberty Media Corp - A Reduce 8.32% 202,908 0.12
CNH - CNH Industrial NV Reduce 9.34% 457,810 0.06
BIDU - Baidu Inc. Reduce 10.07% 118,066 0.28
PCH - PotlatchDeltic Corporation Reduce 15.32% 606,622 0.45
GHC - Graham Holdings Co. Reduce 17.17% 63,952 0.52
FDX - FedEx Corp. Reduce 17.76% 455,608 1.31
CNX - CNX Resources Corp. Reduce 23.43% 11,319,863 1.43
WMB - Williams Cos. Reduce 28.92% 3,916,330 1.32
HOUS - Realogy Holdings Corporation Reduce 29.54% 4,896,817 0.35
DD - DuPont de Nemours Inc. Reduce 37.08% 1,818,723 1.48
TCOM - Trip.com Group Ltd Reduce 45.88% 784,523 0.44
GOOG - Alphabet Inc. CL C Reduce 46.38% 74,764 2.07
GLIBA - GCI Liberty Inc Reduce 65.58% 996,093 1.35
LM09 - Liberty Media Corp - C Reduce 75.65% 1,813,546 1.17
UTX - United Technologies Corporatio Sell 100.00% 2,161,846 4.85
PK - Park Hotels & Resorts Inc. Sell 100.00% 11,407,646 2.15
EPAC - Enerpac Tool Group Corp Sell 100.00% 5,370,459 2.11
DDS - Dillard's Inc. Sell 100.00% 1,907,204 1.68
BRK.B - Berkshire Hathaway CL B Sell 100.00% 38,700 0.17
Q1 2020
PK - Park Hotels & Resorts Inc. Reduce 1.60% 186,031 0.08
CNX - CNX Resources Corp. Reduce 3.92% 1,972,192 0.29
LUMN - Lumen Technologies Inc. Reduce 6.11% 4,374,609 0.96
DDS - Dillard's Inc. Reduce 6.44% 131,193 0.16
GOOG - Alphabet Inc. CL C Reduce 7.18% 12,477 0.28
CNH - CNH Industrial NV Reduce 8.75% 470,100 0.09
EPAC - Enerpac Tool Group Corp Reduce 8.87% 522,667 0.23
LAZ - Lazard Inc. Reduce 9.99% 798,197 0.53
MAT - Mattel Inc. Reduce 10.22% 3,348,581 0.76
CMCSA - Comcast Corp. Reduce 10.70% 652,044 0.49
GHC - Graham Holdings Co. Reduce 18.97% 87,184 0.93
6683 - General Electric Reduce 21.47% 9,335,596 1.74
GLIBA - GCI Liberty Inc Reduce 32.60% 734,681 0.87
NOK - Nokia Corp. Sell 100.00% 3,250,000 0.20
WYNN - Wynn Resorts Limited Sell 100.00% 3,520 0.01
Q4 2019
EPAC - Actuant Corporation Reduce 0.12% 6,898 0.00
GHC - Graham Holdings Co. Reduce 1.30% 6,058 0.07
LUMN - Lumen Technologies Inc. Reduce 2.83% 2,086,313 0.45
MAT - Mattel Inc. Reduce 3.40% 1,153,634 0.23
CMCSA - Comcast Corp. Reduce 4.29% 272,978 0.21
FDX - FedEx Corp. Reduce 4.37% 111,038 0.28
UTX - United Technologies Corporatio Reduce 4.73% 83,139 0.20
VSAT - Viasat Inc. Reduce 4.81% 66,925 0.09
GOOG - Alphabet Inc. CL C Reduce 4.86% 8,869 0.19
CNX - CNX Resources Corp. Reduce 6.34% 3,403,615 0.43
6683 - General Electric Reduce 7.92% 3,742,349 0.58
AMG - Affiliated Managers Group Reduce 7.93% 120,698 0.18
CNH - CNH Industrial NV Reduce 19.76% 1,323,181 0.24
GLIBA - GCI Liberty Inc Reduce 27.85% 869,891 0.94
WYNN - Wynn Resorts Limited Reduce 99.57% 811,631 1.54
SUM - Summit Materials Inc. CL A Sell 100.00% 12,820,469 4.96
TV - Grupo Televisa, S.A.B. Sell 100.00% 19,403 0.00
Q3 2019
GHC - Graham Holdings Co. Reduce 0.12% 546 0.01
LUMN - Lumen Technologies Inc. Reduce 1.66% 1,242,089 0.24
MAT - Mattel Inc. Reduce 2.07% 719,005 0.13
FDX - FedEx Corp. Reduce 2.41% 62,660 0.17
6683 - General Electric Reduce 2.50% 1,208,591 0.21
CNX - CNX Resources Corp. Reduce 3.07% 1,700,143 0.20
UTX - United Technologies Corporatio Reduce 3.08% 55,908 0.12
WYNN - Wynn Resorts Limited Reduce 4.50% 38,454 0.08
AMG - Affiliated Managers Group Reduce 4.84% 77,392 0.12
GLIBA - GCI Liberty Inc Reduce 5.49% 181,560 0.18
CMCSA - Comcast Corp. Reduce 7.77% 536,558 0.37
GOOG - Alphabet Inc. CL C Reduce 9.89% 20,030 0.35
CNH - CNH Industrial NV Reduce 10.94% 822,341 0.14
PCH - PotlatchDeltic Corporation Reduce 14.49% 670,572 0.43
TV - Grupo Televisa, S.A.B. Reduce 44.75% 15,713 0.00
LM09 - Liberty Media Corp - C Reduce 56.29% 1,256,789 0.77
AGN - Allergan plc Sell 100.00% 1,288,500 3.54
AMRQQ - Alta Mesa Resources, Inc. Sell 100.00% 1,197,000 0.00
Q2 2019
MAT - Mattel Inc. Reduce 3.30% 1,182,568 0.22
AMG - Affiliated Managers Group Reduce 5.46% 92,416 0.14
GHC - Graham Holdings Co. Reduce 9.10% 46,671 0.46
FDX - FedEx Corp. Reduce 10.74% 313,279 0.82
6683 - General Electric Reduce 13.16% 7,339,963 1.06
CMCSA - Comcast Corp. Reduce 13.60% 1,086,470 0.63
CNH - CNH Industrial NV Reduce 16.78% 1,515,636 0.22
LM09 - Liberty Media Corp - C Reduce 19.63% 545,391 0.27
UTX - United Technologies Corporatio Reduce 26.75% 662,857 1.23
VSAT - Viasat Inc. Reduce 29.96% 594,693 0.67
PK - Park Hotels & Resorts Inc. Reduce 30.06% 3,712,403 1.67
GOOG - Alphabet Inc. CL C Reduce 33.83% 103,544 1.75
AGN - Allergan plc Reduce 36.45% 739,045 1.56
WYNN - Wynn Resorts Limited Reduce 42.74% 637,249 1.10
YUMC - Yum China Holdings Inc. Sell 100.00% 1,013,378 0.66
BEL - Belmond Ltd Class A Sell 100.00% 1,183,980 0.43
SEI - Solaris Energy Infrastructure Inc. Sell 100.00% 35,148 0.01
Q1 2019
CNX - CNX Resources Corp. Reduce 4.03% 1,973,538 0.33
UTX - United Technologies Corporatio Reduce 4.68% 121,686 0.19
AGN - Allergan plc Reduce 5.58% 119,837 0.23
CMCSA - Comcast Corp. Reduce 5.75% 487,685 0.24
AMG - Affiliated Managers Group Reduce 8.03% 147,811 0.21
6683 - General Electric Reduce 8.52% 5,195,521 0.57
MAT - Mattel Inc. Reduce 10.07% 4,011,876 0.58
PK - Park Hotels & Resorts Inc. Reduce 11.08% 1,538,658 0.58
WYNN - Wynn Resorts Limited Reduce 12.09% 205,033 0.29
GOOG - Alphabet Inc. CL C Reduce 13.24% 46,713 0.70
CNH - CNH Industrial NV Reduce 14.51% 1,533,045 0.21
GHC - Graham Holdings Co. Reduce 21.11% 137,208 1.28
VSAT - Viasat Inc. Reduce 39.76% 1,310,204 1.12
LM09 - Liberty Media Corp - C Reduce 39.86% 1,841,438 0.82
BEL - Belmond Ltd Class A Reduce 48.86% 1,131,397 0.41
SEI - Solaris Energy Infrastructure Inc. Reduce 78.41% 127,674 0.02
YUMC - Yum China Holdings Inc. Reduce 80.80% 4,263,777 2.08
VIPS - Vipshop Holdings Sell 100.00% 2,652,306 0.21
MLCO - Melco Resorts & Entertainment Ltd. Sell 100.00% 51,444 0.01
Q4 2018
CNX - CNX Resources Corp. Reduce 2.55% 1,283,977 0.22
GHC - Graham Holdings Co. Reduce 3.92% 26,543 0.18
LUMN - Lumen Technologies Inc. Reduce 5.55% 3,778,808 0.96
UTX - United Technologies Corporatio Reduce 6.26% 173,679 0.29
AGN - Allergan plc Reduce 6.43% 147,677 0.34
GOOG - Alphabet Inc. CL C Reduce 8.70% 33,635 0.48
CNH - CNH Industrial NV Reduce 9.48% 1,106,586 0.16
PK - Park Hotels & Resorts Inc. Reduce 16.00% 2,645,745 1.04
VSAT - Viasat Inc. Reduce 18.88% 766,684 0.59
CMCSA - Comcast Corp. Reduce 43.22% 6,451,642 2.74
BEL - Belmond Ltd Class A Reduce 62.36% 3,835,216 0.84
SEI - Solaris Energy Infrastructure Inc. Reduce 63.60% 284,514 0.06
Q3 2018
CNX - CNX Resources Corp. Reduce 0.52% 263,291 0.05
LM09 - Liberty Media Corp - C Reduce 2.27% 107,219 0.04
GHC - Graham Holdings Co. Reduce 2.81% 19,566 0.13
LUMN - Lumen Technologies Inc. Reduce 3.89% 2,755,676 0.57
FDX - FedEx Corp. Reduce 4.13% 110,024 0.28
VSAT - Viasat Inc. Reduce 6.11% 264,139 0.19
CNH - CNH Industrial NV Reduce 14.56% 1,989,720 0.23
PK - Park Hotels & Resorts Inc. Reduce 18.02% 3,634,150 1.24
GOOG - Alphabet Inc. CL C Reduce 18.45% 87,443 1.09
CMCSA - Comcast Corp. Reduce 20.20% 3,778,307 1.39
BEL - Belmond Ltd Class A Reduce 22.39% 1,774,812 0.22
AGN - Allergan plc Reduce 23.23% 694,346 1.29
UTX - United Technologies Corporatio Reduce 23.75% 863,780 1.21
SONC - Sonic Corp. Sell 100.00% 6,436,879 2.48
FCE.A - Forest City Realty Trust Inc. Sell 100.00% 8,346,504 2.13
CEIXN - CONSOL Energy Inc Sell 100.00% 3,899,815 1.67
BEN - Franklin Resources Inc. Sell 100.00% 1,566,007 0.56
TV - Grupo Televisa, S.A.B. Sell 100.00% 2,179,804 0.46
Q2 2018
MAT - Mattel Inc. Reduce 0.79% 294,000 0.05
LUMN - Lumen Technologies Inc. Reduce 0.93% 665,837 0.13
CNX - CNX Resources Corp. Reduce 1.63% 836,714 0.16
FDX - FedEx Corp. Reduce 1.92% 52,106 0.15
AGN - Allergan plc Reduce 4.16% 129,719 0.27
GOOG - Alphabet Inc. CL C Reduce 4.85% 24,178 0.31
PK - Park Hotels & Resorts Inc. Reduce 5.47% 1,165,987 0.39
UTX - United Technologies Corporatio Reduce 5.52% 212,660 0.33
TV - Grupo Televisa, S.A.B. Reduce 8.05% 190,805 0.04
VSAT - Viasat Inc. Reduce 16.56% 858,385 0.69
CEIXN - CONSOL Energy Inc Reduce 30.13% 1,681,797 0.60
INFY - Infosys Ltd. Sell 100.00% 11,524 0.00
Q1 2018
BEN - Franklin Resources Inc. Reduce 1.51% 24,021 0.01
MAT - Mattel Inc. Reduce 2.62% 1,001,551 0.19
VSAT - Viasat Inc. Reduce 4.09% 221,343 0.21
BIDU - Baidu Inc. Reduce 4.88% 20,515 0.06
CEIXN - CONSOL Energy Inc Reduce 7.99% 484,535 0.24
GOOG - Alphabet Inc. CL C Reduce 9.68% 53,393 0.69
UTX - United Technologies Corporatio Reduce 10.85% 468,650 0.74
CNH - CNH Industrial NV Reduce 14.14% 1,686,482 0.28
FDX - FedEx Corp. Reduce 18.28% 606,788 1.88
VIPS - Vipshop Holdings Reduce 33.55% 444,392 0.06
INFY - Infosys Ltd. Reduce 49.26% 11,188 0.00
WYNN - Wynn Resorts Limited Sell 100.00% 2,557,767 5.34
YUMC - Yum China Holdings Inc. Sell 100.00% 3,470,444 1.72
CHKEUR - Chesapeake Energy Corporation Sell 100.00% 33,090,194 1.62
MLCO - Melco Resorts & Entertainment Ltd. Sell 100.00% 614,869 0.22
TROW - T. Rowe Price Group Sell 100.00% 17,945 0.02
CBPO - China Biologic Products Holdin Sell 100.00% 3,645 0.00
Q4 2017
BIDU - Baidu Inc. Reduce 1.27% 5,403 0.02
GHC - Graham Holdings Co. Reduce 7.43% 55,190 0.39
VSAT - Viasat Inc. Reduce 7.47% 436,131 0.34
PK - Park Hotels & Resorts Inc. Reduce 9.40% 791,794 0.26
UTX - United Technologies Corporatio Reduce 11.09% 538,741 0.75
FDX - FedEx Corp. Reduce 15.27% 598,249 1.62
BEN - Franklin Resources Inc. Reduce 21.64% 439,157 0.24
CHKEUR - Chesapeake Energy Corporation Reduce 22.89% 9,821,810 0.51
CNH - CNH Industrial NV Reduce 23.03% 3,568,811 0.52
GOOG - Alphabet Inc. CL C Reduce 23.69% 171,199 1.97
YUMC - Yum China Holdings Inc. Reduce 27.66% 1,326,941 0.64
MLCO - Melco Resorts & Entertainment Ltd. Reduce 29.11% 252,479 0.07
WYNN - Wynn Resorts Limited Reduce 50.02% 2,559,495 4.58
TROW - T. Rowe Price Group Reduce 99.51% 3,664,154 3.99
LVLT - Level 3 Communications Inc. Sell 100.00% 27,783,714 17.80
CNXE - CONSOL Energy Inc. Sell 100.00% 48,458,974 9.87
DEL - Deltic Timber Corp Sell 100.00% 1,827,558 1.94
SMHI - SEACOR Marine Holdings Inc. Sell 100.00% 592,815 0.11
SEI - Solaris Energy Infrastructure Inc. Sell 100.00% 222,500 0.05
Q3 2017
CHKEUR - Chesapeake Energy Corporation Reduce 1.45% 631,950 0.03
BIDU - Baidu Inc. Reduce 2.85% 12,482 0.02
GHC - Graham Holdings Co. Reduce 3.10% 23,752 0.16
CNXE - CONSOL Energy Inc. Reduce 4.83% 2,458,060 0.40
MLCO - Melco Resorts & Entertainment Ltd. Reduce 5.00% 45,614 0.01
TROW - T. Rowe Price Group Reduce 5.52% 215,112 0.17
GOOG - Alphabet Inc. CL C Reduce 5.82% 44,645 0.45
YUMC - Yum China Holdings Inc. Reduce 6.35% 325,528 0.14
UTX - United Technologies Corporatio Reduce 6.50% 337,867 0.45
LM09 - Liberty Media Corp - C Reduce 7.94% 407,616 0.16
BEN - Franklin Resources Inc. Reduce 15.29% 366,365 0.18
FDX - FedEx Corp. Reduce 16.89% 796,039 1.90
CNH - CNH Industrial NV Reduce 22.10% 4,395,908 0.55
WYNN - Wynn Resorts Limited Reduce 23.90% 1,607,079 2.37
SNI - Scripps Networks Interactive Sell 100.00% 7,067,745 5.30
EG - Everest Group Ltd Sell 100.00% 653,772 1.83
DD - DuPont de Nemours Inc. Sell 100.00% 303,260 0.27
Q2 2017
GHC - Graham Holdings Co. Reduce 0.05% 400 0.00
SONC - Sonic Corp. Reduce 0.06% 4,100 0.00
DD - DuPont de Nemours Inc. Reduce 0.26% 800 0.00
EPAC - Actuant Corporation Reduce 0.32% 18,900 0.01
VSAT - Viasat Inc. Reduce 0.88% 46,529 0.03
LVLT - Level 3 Communications Inc. Reduce 2.11% 585,887 0.34
TROW - T. Rowe Price Group Reduce 3.09% 124,416 0.09
UTX - United Technologies Corporatio Reduce 8.46% 480,309 0.55
SNI - Scripps Networks Interactive Reduce 8.83% 684,642 0.54
CHKEUR - Chesapeake Energy Corporation Reduce 12.13% 6,010,567 0.36
FDX - FedEx Corp. Reduce 16.20% 911,462 1.81
GOOG - Alphabet Inc. CL C Reduce 17.68% 164,748 1.39
EG - Everest Group Ltd Reduce 20.71% 170,812 0.41
CNH - CNH Industrial NV Reduce 20.84% 5,236,648 0.51
WYNN - Wynn Resorts Limited Reduce 31.79% 3,134,596 3.65
LM09 - Liberty Media Corp - C Reduce 38.14% 3,165,802 1.10
MLCO - Melco Resorts & Entertainment Ltd. Reduce 39.31% 591,430 0.11
YUMC - Yum China Holdings Inc. Reduce 47.93% 4,715,100 1.30
CKH - SEACOR Holdings Inc. Sell 100.00% 787,168 0.55
IWR - Ishares Russell Mid Cap ETF Sell 100.00% 471,032 0.12
RL - Ralph Lauren Corporation Sell 100.00% 13,600 0.01
Q1 2017
GHC - Graham Holdings Co. Reduce 0.20% 1,547 0.01
CHKEUR - Chesapeake Energy Corporation Reduce 0.50% 247,998 0.02
GOOG - Alphabet Inc. CL C Reduce 0.56% 5,261 0.04
BEN - Franklin Resources Inc. Reduce 0.62% 15,003 0.01
LVLT - Level 3 Communications Inc. Reduce 0.63% 175,922 0.10
FDX - FedEx Corp. Reduce 0.86% 49,010 0.09
UTX - United Technologies Corporatio Reduce 1.64% 94,597 0.10
WYNN - Wynn Resorts Limited Reduce 9.98% 1,093,024 0.91
CKH - SEACOR Holdings Inc. Reduce 11.29% 100,211 0.07
EG - Everest Group Ltd Reduce 18.98% 193,159 0.40
SNI - Scripps Networks Interactive Reduce 22.98% 2,313,446 1.60
CNH - CNH Industrial NV Reduce 23.59% 7,760,578 0.65
MLCO - Melco Resorts & Entertainment Ltd. Reduce 50.64% 1,543,584 0.24
DD - DuPont de Nemours Inc. Reduce 91.64% 3,332,142 2.36
RL - Ralph Lauren Corporation Reduce 99.57% 3,119,439 2.72
RYN - Rayonier Inc. Sell 100.00% 6,755,763 1.73
TRCO - Tribune Media Company - A Sell 100.00% 3,066,520 1.04
Q4 2016
VSAT - Viasat Inc. Reduce 0.11% 5,231 0.00
LVLT - Level 3 Communications Inc. Reduce 0.81% 228,279 0.10
GHC - Graham Holdings Co. Reduce 2.69% 21,257 0.10
BEN - Franklin Resources Inc. Reduce 4.35% 109,544 0.04
CNH - CNH Industrial NV Reduce 4.37% 1,504,175 0.10
SNI - Scripps Networks Interactive Reduce 5.62% 599,792 0.36
KODK - Eastman Kodak Co. Reduce 7.48% 31,800 0.00
EPAC - Actuant Corporation Reduce 7.68% 492,252 0.11
WYNN - Wynn Resorts Limited Reduce 7.78% 924,375 0.86
EG - Everest Group Ltd Reduce 9.10% 101,929 0.19
CNXE - CONSOL Energy Inc. Reduce 9.47% 4,692,135 0.86
UTX - United Technologies Corporatio Reduce 12.65% 835,759 0.81
DD - DuPont de Nemours Inc. Reduce 12.67% 527,579 0.34
GOOG - Alphabet Inc. CL C Reduce 12.89% 138,682 1.03
FDX - FedEx Corp. Reduce 14.14% 934,141 1.56
TRCO - Tribune Media Company - A Reduce 42.27% 2,245,663 0.79
CHKEUR - Chesapeake Energy Corporation Reduce 46.00% 42,418,859 2.55
MLCO - Melco Resorts & Entertainment Ltd. Reduce 58.95% 4,377,456 0.68
Q3 2016
LM09 - Liberty Media Group - C Reduce 0.05% 4,141 0.00
LVLT - Level 3 Communications Inc. Reduce 0.74% 209,335 0.11
UTX - United Technologies Corporatio Reduce 0.92% 61,199 0.06
BEN - Franklin Resources Inc. Reduce 1.70% 43,576 0.01
VIPS - Vipshop Holdings Reduce 7.07% 32,718 0.00
EG - Everest Group Ltd Reduce 11.93% 151,662 0.29
RYN - Rayonier Inc. Reduce 16.22% 1,307,660 0.36
DD - DuPont de Nemours Inc. Reduce 32.47% 2,001,621 1.34
LM05 - Liberty Media Group - A Reduce 51.08% 581,920 0.12
PHG - Koninklijke Philips Electronics NV Sell 100.00% 9,054,394 2.33
MTN - Vail Resorts Inc. Sell 100.00% 1,073,700 1.53
CHMT - Chemtura Corporation Sell 100.00% 4,286,930 1.17
Q2 2016
RYN - Rayonier Inc. Reduce 0.36% 28,898 0.01
VSAT - Viasat Inc. Reduce 0.88% 40,800 0.03
GHC - Graham Holdings Co. Reduce 2.11% 15,267 0.07
EG - Everest Group Ltd Reduce 4.06% 53,847 0.10
FDX - FedEx Corp. Reduce 4.73% 315,978 0.50
CNXE - CONSOL Energy Inc. Reduce 4.99% 2,603,450 0.28
LVLT - Level 3 Communications Inc. Reduce 5.38% 1,614,306 0.82
SNI - Scripps Networks Interactive Reduce 5.63% 635,350 0.40
UTX - United Technologies Corporatio Reduce 6.11% 433,464 0.42
GOOG - Alphabet Inc. CL C Reduce 6.77% 70,266 0.50
DD - DuPont de Nemours Inc. Reduce 7.12% 472,881 0.29
WYNN - Wynn Resorts Limited Reduce 7.65% 961,091 0.87
PHG - Koninklijke Philips Electronics NV Reduce 9.29% 927,153 0.26
CNH - CNH Industrial NV Reduce 14.45% 5,770,543 0.38
CHKEUR - Chesapeake Energy Corporation Reduce 58.66% 36,327,416 1.44
DWA - DreamWorks Animation SKG Inc. Sell 100.00% 16,180,252 3.90
AON - Aon Plc Sell 100.00% 485,792 0.49
CF - CF Industries Holdings Inc. Sell 100.00% 247,100 0.07
TPLMQ - Triangle Petroleum Corp. Sell 100.00% 122,659 0.00
Q1 2016
WYNN - Wynn Resorts Limited Reduce 0.16% 19,742 0.01
BIDU - Baidu Inc. Reduce 2.35% 10,218 0.02
CNH - CNH Industrial NV Reduce 2.51% 1,029,035 0.06
PHG - Koninklijke Philips Electronics NV Reduce 6.89% 739,137 0.17
LVLT - Level 3 Communications Inc. Reduce 8.88% 2,923,952 1.44
SNI - Scripps Networks Interactive Reduce 13.64% 1,782,000 0.89
GOOG - Alphabet Inc. CL C Reduce 14.21% 172,000 1.18
MTN - Vail Resorts Inc. Reduce 37.35% 640,057 0.74
EG - Everest Group Ltd Reduce 40.55% 903,965 1.50
AON - Aon Plc Reduce 93.31% 6,772,289 5.65
NOV - Nov Inc. Sell 100.00% 10,804,789 3.28
MCD - McDonald's Corp. Sell 100.00% 1,253,292 1.34
Q4 2015
CNXE - CONSOL Energy Inc. Reduce 0.83% 386,497 0.03
VSAT - Viasat Inc. Reduce 1.04% 48,275 0.03
SNI - Scripps Networks Interactive Reduce 1.27% 167,714 0.07
DWA - DreamWorks Animation SKG Inc. Reduce 2.15% 353,986 0.05
BIDU - Baidu Inc. Reduce 3.40% 15,252 0.02
CHKEUR - Chesapeake Energy Corporation Reduce 3.86% 2,234,134 0.14
FDX - FedEx Corp. Reduce 3.95% 252,088 0.31
PHG - Koninklijke Philips Electronics NV Reduce 4.44% 498,156 0.10
BEN - Franklin Resources Inc. Reduce 4.82% 108,785 0.03
MTN - Vail Resorts Inc. Reduce 5.05% 91,127 0.08
CHMT - Chemtura Corporation Reduce 11.17% 538,970 0.13
EG - Everest Group Ltd Reduce 12.28% 312,118 0.46
DD - DuPont de Nemours Inc. Reduce 15.32% 1,196,774 0.49
LVLT - Level 3 Communications Inc. Reduce 18.68% 7,562,590 2.79
AON - Aon Plc Reduce 21.44% 1,981,357 1.48
RYN - Rayonier Inc. Reduce 26.85% 2,969,900 0.55
MCD - McDonald's Corp. Reduce 85.15% 7,187,740 5.98
TPLMQ - Triangle Petroleum Corp. Reduce 98.91% 11,119,000 0.13
GGQ7 - Google Inc. CL C Sell 100.00% 1,273,676 6.54
L - Loews Corp. Sell 100.00% 19,933,835 6.08
MUR - Murphy Oil Corp. Sell 100.00% 6,713,293 1.37
ESRT - Empire State Realty Trust Inc. Sell 100.00% 3,788,979 0.54
Q3 2015
SNI - Scripps Networks Interactive Reduce 0.15% 19,397 0.01
LVLT - Level 3 Communications Inc. Reduce 3.31% 1,386,898 0.49
CHKEUR - Chesapeake Energy Corporation Reduce 4.27% 2,583,047 0.19
GGQ7 - Google Inc. CL C Reduce 5.80% 78,388 0.27
PHG - Koninklijke Philips Electronics NV Reduce 13.86% 1,804,660 0.31
MCD - McDonald's Corp. Reduce 14.48% 1,428,675 0.91
CNH - CNH Industrial NV Reduce 15.69% 6,475,386 0.40
AON - Aon Plc Reduce 16.07% 1,768,922 1.19
EG - Everest Group Ltd Reduce 19.91% 631,595 0.77
MTN - Vail Resorts Inc. Reduce 24.39% 582,174 0.43
L - Loews Corp. Reduce 32.47% 9,584,198 2.48
MUR - Murphy Oil Corp. Reduce 55.10% 8,236,731 2.30
BEN - Franklin Resources Inc. Reduce 72.59% 5,974,332 1.97
HFC - HollyFrontier Corporation Sell 100.00% 3,389,700 0.97
DOFSQ - Diamond Offshore Drilling Inc. Sell 100.00% 1,300,896 0.23
NOG - Northern Oil and Gas Inc. Sell 100.00% 871,500 0.04
Q2 2015
CNXE - CONSOL Energy Inc. Reduce 0.45% 202,731 0.04
GHC - Graham Holdings Co. Reduce 2.24% 15,489 0.10
BEN - Franklin Resources Inc. Reduce 2.94% 248,903 0.08
EG - Everest Group Ltd Reduce 4.63% 154,116 0.17
CNH - CNH Industrial NV Reduce 4.64% 2,010,365 0.10
MUR - Murphy Oil Corp. Reduce 5.14% 809,257 0.24
FDX - FedEx Corp. Reduce 5.39% 292,284 0.31
CHKEUR - Chesapeake Energy Corporation Reduce 5.78% 3,711,904 0.33
LVLT - Level 3 Communications Inc. Reduce 7.42% 3,356,908 1.15
MCD - McDonald's Corp. Reduce 9.07% 984,067 0.61
L - Loews Corp. Reduce 12.27% 4,128,682 1.07
ESRT - Empire State Realty Trust Inc. Reduce 14.10% 621,703 0.07
PHG - Koninklijke Philips Electronics NV Reduce 23.13% 3,918,693 0.71
NOG - Northern Oil and Gas Inc. Reduce 63.03% 1,485,654 0.08
BNY - Bank of New York Mellon Corp. Sell 100.00% 7,215,441 1.85
MDLZ - Mondelez International Sell 100.00% 1,263,602 0.29
Q1 2015
MTN - Vail Resorts Inc. Reduce 0.16% 3,729 0.00
L - Loews Corp. Reduce 1.08% 365,983 0.09
SNI - Scripps Networks Interactive Reduce 2.04% 258,025 0.11
BEN - Franklin Resources Inc. Reduce 3.15% 275,993 0.09
MUR - Murphy Oil Corp. Reduce 5.20% 864,232 0.25
GHC - Graham Holdings Co. Reduce 5.82% 42,758 0.21
BNY - Bank of New York Mellon Corp. Reduce 6.48% 500,242 0.12
EG - Everest Group Ltd Reduce 6.67% 237,780 0.24
PHG - Koninklijke Philips Electronics NV Reduce 7.36% 1,346,917 0.23
FDX - FedEx Corp. Reduce 7.49% 439,503 0.44
AON - Aon Plc Reduce 8.62% 704,813 0.39
MCD - McDonald's Corp. Reduce 8.93% 1,063,910 0.58
CHKEUR - Chesapeake Energy Corporation Reduce 13.09% 9,667,590 1.10
LVLT - Level 3 Communications Inc. Reduce 17.35% 9,496,925 2.73
ESRT - Empire State Realty Trust Inc. Reduce 56.21% 5,662,018 0.58
MDLZ - Mondelez International Reduce 95.27% 25,477,579 5.38
ABT - Abbott Labs Sell 100.00% 8,977,941 2.35
TRV - Travelers Companies Inc. Sell 100.00% 3,677,258 2.26
BRK.B - Berkshire Hathaway CL B Sell 100.00% 16,800 0.01
MLCO - Melco Resorts & Entertainment Ltd. Sell 100.00% 68,900 0.01
Q4 2014
PHG - Koninklijke Philips Electronics NV Reduce 1.07% 197,698 0.03
EG - Everest Group Ltd Reduce 1.19% 42,903 0.04
L - Loews Corp. Reduce 1.74% 601,506 0.14
AON - Aon Plc Reduce 4.41% 377,262 0.18
MTN - Vail Resorts Inc. Reduce 6.29% 160,386 0.08
MDLZ - Mondelez International Reduce 12.73% 3,901,245 0.73
ESRT - Empire State Realty Trust Inc. Reduce 18.87% 2,343,053 0.19
ABT - Abbott Labs Reduce 28.08% 3,505,625 0.79
FDX - FedEx Corp. Reduce 37.50% 3,518,813 3.10
BNY - Bank of New York Mellon Corp. Reduce 53.34% 8,819,598 1.86
TRV - Travelers Companies Inc. Reduce 59.31% 5,360,690 2.75
BRK.B - Berkshire Hathaway CL B Reduce 99.60% 4,184,682 3.16
TWTC - tw telecom inc. Sell 100.00% 14,977,510 3.40
NWS - News Corp. CL B Sell 100.00% 25,356,215 2.23
NWSA - News Corp. Sell 100.00% 16,054,798 1.43
VOD - Vodafone Group Plc ADR Sell 100.00% 6,156,294 1.10
BRK.A - Berkshire Hathaway CL A Sell 100.00% 7 0.01
Q3 2014
MTN - Vail Resorts Inc. Reduce 0.22% 5,685 0.00
NWSA - News Corp. Reduce 0.96% 155,732 0.01
TWTC - tw telecom inc. Reduce 1.47% 223,834 0.05
CNXE - CONSOL Energy Inc. Reduce 1.67% 378,235 0.09
L - Loews Corp. Reduce 1.94% 685,890 0.16
MUR - Murphy Oil Corp. Reduce 2.33% 337,822 0.12
BRK.B - Berkshire Hathaway CL B Reduce 2.34% 100,647 0.07
CHKEUR - Chesapeake Energy Corporation Reduce 2.34% 1,504,440 0.25
NWS - News Corp. CL B Reduce 2.41% 627,412 0.06
TRV - Travelers Companies Inc. Reduce 2.47% 228,793 0.11
MDLZ - Mondelez International Reduce 3.23% 1,021,932 0.20
LVLT - Level 3 Communications Inc. Reduce 3.54% 1,669,528 0.39
AON - Aon Plc Reduce 6.75% 618,990 0.30
ABT - Abbott Labs Reduce 8.80% 1,204,311 0.26
EG - Everest Group Ltd Reduce 13.91% 582,962 0.50
FDX - FedEx Corp. Reduce 24.40% 3,028,997 2.44
BNY - Bank of New York Mellon Corp. Reduce 52.14% 18,010,858 3.59
TXI - Texas Industries Inc. Sell 100.00% 3,059,870 1.50
DIN - Dine Brands Global Inc. Sell 100.00% 213,000 0.09
Q2 2014
ABT - Abbott Labs Reduce 0.43% 59,467 0.01
BRK.B - Berkshire Hathaway CL B Reduce 0.72% 31,367 0.02
CNXE - CONSOL Energy Inc. Reduce 1.47% 337,901 0.07
MUR - Murphy Oil Corp. Reduce 3.49% 524,474 0.18
LVLT - Level 3 Communications Inc. Reduce 3.55% 1,733,720 0.37
L - Loews Corp. Reduce 4.13% 1,518,790 0.36
TRV - Travelers Companies Inc. Reduce 4.81% 467,894 0.22
FDX - FedEx Corp. Reduce 5.15% 674,617 0.49
BNY - Bank of New York Mellon Corp. Reduce 5.53% 2,021,365 0.39
CHKEUR - Chesapeake Energy Corporation Reduce 5.93% 4,054,324 0.56
NWSA - News Corp. Reduce 6.15% 1,061,968 0.10
EG - Everest Group Ltd Reduce 6.35% 284,100 0.24
MDLZ - Mondelez International Reduce 7.10% 2,420,463 0.45
AON - Aon Plc Reduce 8.91% 897,470 0.41
NWS - News Corp. CL B Reduce 9.08% 2,593,600 0.24
TXI - Texas Industries Inc. Reduce 62.04% 5,000,287 2.44
DIN - Dine Brands Global Inc. Reduce 83.80% 1,102,000 0.47
CNH - CNH Industrial NV Sell 100.00% 9,781,919 0.61
VNO - Vornado Realty Trust Sell 100.00% 230,700 0.12
Q1 2014
CHKEUR - Chesapeake Energy Corporation Reduce 0.46% 317,772 0.04
VNO - Vornado Realty Trust Reduce 0.65% 1,502 0.00
GHC - Graham Holdings Co. Reduce 1.14% 6,200 0.02
TWTC - tw telecom inc. Reduce 1.56% 171,534 0.03
FDX - FedEx Corp. Reduce 1.79% 238,882 0.17
AON - Aon Plc Reduce 2.63% 271,824 0.11
MDLZ - Mondelez International Reduce 2.97% 1,041,891 0.18
BNY - Bank of New York Mellon Corp. Reduce 7.12% 2,802,151 0.48
CNH - CNH Industrial NV Reduce 18.90% 2,279,887 0.13
DIG1 - Directv Sell 100.00% 21,710,357 7.34
VMC - Vulcan Materials Sell 100.00% 4,982,724 1.45
LM - Legg Mason Inc. Sell 100.00% 3,117,887 0.66
VODD - Vodafone Group Plc ADR Sell 100.00% 3,003,503 0.58
MLM - Martin Marietta Sell 100.00% 1,039,807 0.51
WEN - Wendy's Co. Sell 100.00% 11,054,728 0.47
Q4 2013
TXI - Texas Industries Inc. Reduce 0.16% 13,300 0.00
LVLT - Level 3 Communications Inc. Reduce 0.75% 368,069 0.05
MUR - Murphy Oil Corp. Reduce 2.04% 312,365 0.10
ABT - Abbott Labs Reduce 2.06% 282,512 0.05
BRK.B - Berkshire Hathaway CL B Reduce 2.08% 89,900 0.05
L - Loews Corp. Reduce 2.08% 744,836 0.18
VODD - Vodafone Group Plc ADR Reduce 2.42% 74,604 0.01
BNY - Bank of New York Mellon Corp. Reduce 2.96% 1,199,141 0.18
TWTC - tw telecom inc. Reduce 3.51% 400,406 0.06
MDLZ - Mondelez International Reduce 3.61% 1,316,271 0.21
DIN - Dine Brands Global Inc. Reduce 3.66% 49,900 0.02
PHG - Koninklijke Philips Electronics NV Reduce 4.23% 669,162 0.11
MLM - Martin Marietta Reduce 5.25% 57,600 0.03
DIG1 - Directv Reduce 6.15% 1,421,511 0.43
CHKEUR - Chesapeake Energy Corporation Reduce 10.47% 8,030,815 1.05
FDX - FedEx Corp. Reduce 14.03% 2,174,328 1.26
LM - Legg Mason Inc. Reduce 15.82% 585,834 0.10
CNH - CNH Industrial NV Reduce 16.91% 2,455,485 0.16
VMC - Vulcan Materials Reduce 18.61% 1,139,009 0.30
MTN - Vail Resorts Inc. Reduce 24.97% 850,900 0.30
TRV - Travelers Companies Inc. Reduce 27.34% 3,620,331 1.56
AON - Aon Plc Reduce 33.40% 5,185,844 1.96
WEN - Wendy's Co. Reduce 41.44% 7,823,472 0.34
CX - Cemex Sell 100.00% 35,375,663 2.01
MOS - Mosaic Co. Sell 100.00% 539,600 0.12
Q3 2013
VMC - Vulcan Materials Reduce 0.06% 3,500 0.00
TXI - Texas Industries Inc. Reduce 1.34% 110,000 0.04
TWTC - tw telecom inc. Reduce 1.83% 213,223 0.03
L - Loews Corp. Reduce 2.95% 1,084,261 0.24
FDX - FedEx Corp. Reduce 4.58% 744,244 0.37
BNY - Bank of New York Mellon Corp. Reduce 4.66% 1,983,903 0.28
MUR - Murphy Oil Corp. Reduce 4.73% 760,015 0.23
ABT - Abbott Labs Reduce 4.79% 690,449 0.12
DIG1 - Directv Reduce 5.28% 1,289,864 0.40
MDLZ - Mondelez International Reduce 5.39% 2,075,848 0.30
TRV - Travelers Companies Inc. Reduce 7.47% 1,069,559 0.43
EG - Everest Group Ltd Reduce 7.64% 331,473 0.21
CNXE - CONSOL Energy Inc. Reduce 7.87% 1,902,333 0.26
BRK.B - Berkshire Hathaway CL B Reduce 7.91% 372,138 0.21
MLM - Martin Marietta Reduce 8.01% 95,605 0.05
VODD - Vodafone Group Plc ADR Reduce 8.97% 303,200 0.04
CHKEUR - Chesapeake Energy Corporation Reduce 11.81% 10,270,314 1.05
CX - Cemex Reduce 14.19% 5,851,583 0.31
PHG - Koninklijke Philips Electronics NV Reduce 17.42% 3,338,417 0.45
AON - Aon Plc Reduce 17.86% 3,376,736 1.09
VNO - Vornado Realty Trust Reduce 31.69% 107,700 0.04
MOS - Mosaic Co. Reduce 40.33% 364,713 0.10
WEN - Wendy's Co. Reduce 46.09% 16,136,800 0.47
DLCA - Dell Inc. Sell 100.00% 71,186,328 4.74
SKS - Saks Incorporated Sell 100.00% 13,180,706 0.90
SCI - Service Corporation Internatio Sell 100.00% 5,295,700 0.48
KWKAQ - Quicksilver Resources Inc. Sell 100.00% 22,918,692 0.19
Q2 2013
WEN - Wendy's Co. Reduce 0.04% 13,400 0.00
TXI - Texas Industries Inc. Reduce 0.12% 10,100 0.00
PHG - Koninklijke Philips Electronics NV Reduce 0.45% 87,608 0.01
ABT - Abbott Labs Reduce 0.94% 136,373 0.02
VODD - Vodafone Group Plc ADR Reduce 0.94% 32,100 0.00
CNXE - CONSOL Energy Inc. Reduce 1.33% 324,550 0.05
TWTC - tw telecom inc. Reduce 1.39% 164,200 0.02
BRK.B - Berkshire Hathaway CL B Reduce 1.72% 82,117 0.04
L - Loews Corp. Reduce 1.85% 692,264 0.14
FDX - FedEx Corp. Reduce 2.13% 354,187 0.16
MDLZ - Mondelez International Reduce 2.60% 1,026,287 0.14
CHKEUR - Chesapeake Energy Corporation Reduce 2.74% 2,451,077 0.23
BNY - Bank of New York Mellon Corp. Reduce 3.14% 1,379,718 0.18
EG - Everest Group Ltd Reduce 3.56% 159,972 0.09
TRV - Travelers Companies Inc. Reduce 4.18% 624,734 0.24
MTN - Vail Resorts Inc. Reduce 4.29% 152,700 0.04
VMC - Vulcan Materials Reduce 5.30% 342,485 0.08
AON - Aon Plc Reduce 5.88% 1,180,875 0.33
KWKAQ - Quicksilver Resources Inc. Reduce 7.75% 1,926,308 0.02
SNI - Scripps Networks Interactive Reduce 9.37% 229,951 0.07
DIG1 - Directv Reduce 15.40% 4,444,924 1.15
CX - Cemex Reduce 20.31% 10,505,202 0.58
LM - Legg Mason Inc. Reduce 28.98% 1,511,100 0.22
DIN - Dine Brands Global Inc. Reduce 34.93% 732,745 0.23
DLCA - Dell Inc. Reduce 41.36% 50,206,530 3.28
MLM - Martin Marietta Reduce 44.88% 971,469 0.45
SKS - Saks Incorporated Reduce 48.99% 12,657,009 0.66
SCI - Service Corporation Internatio Reduce 63.29% 9,128,548 0.70
LAMR - Lamar Advertising Co. Sell 100.00% 4,412,766 0.98
Q1 2013
WEN - Wendy's Co. Reduce 0.26% 91,100 0.00
MTN - Vail Resorts Inc. Reduce 0.39% 14,100 0.00
L - Loews Corp. Reduce 0.49% 183,485 0.03
LVLT - Level 3 Communications Inc. Reduce 1.14% 531,253 0.06
DLCA - Dell Inc. Reduce 1.57% 1,932,700 0.09
CNXE - CONSOL Energy Inc. Reduce 2.05% 511,600 0.08
BNY - Bank of New York Mellon Corp. Reduce 2.39% 1,075,306 0.13
BRK.B - Berkshire Hathaway CL B Reduce 2.39% 117,067 0.05
AON - Aon Plc Reduce 2.45% 503,788 0.13
EG - Everest Group Ltd Reduce 2.66% 122,946 0.06
VODD - Vodafone Group Plc ADR Reduce 3.07% 108,009 0.01
SKS - Saks Incorporated Reduce 3.34% 892,700 0.04
PHG - Koninklijke Philips Electronics NV Reduce 6.06% 1,241,710 0.15
TWTC - tw telecom inc. Reduce 7.49% 954,000 0.11
TRV - Travelers Companies Inc. Reduce 8.40% 1,369,802 0.45
LAMR - Lamar Advertising Co. Reduce 18.76% 1,019,206 0.18
DIN - Dine Brands Global Inc. Reduce 20.11% 528,086 0.16
VNO - Vornado Realty Trust Reduce 21.24% 91,649 0.03
VMC - Vulcan Materials Reduce 28.21% 2,541,753 0.61
CX - Cemex Reduce 35.38% 28,319,555 1.29
SCI - Service Corporation Internatio Reduce 41.32% 10,157,603 0.65
MLM - Martin Marietta Reduce 62.93% 3,674,408 1.60
DIS - Walt Disney Co. Sell 100.00% 18,216,229 4.19
BEN - Franklin Resources Inc. Sell 100.00% 4,059,842 2.36
ABT-W - Abbott Laboratories-When Issue Sell 100.00% 7,799,987 1.13
PCH - Potlatch Corporation Sell 100.00% 1,365,200 0.25
AIG - American International Group Sell 100.00% 80,075 0.01
MSFT - Microsoft Corp. Sell 100.00% 51,295 0.01
GM - General Motors Sell 100.00% 28,000 0.00
ABBV - AbbVie Inc. Sell 100.00% 6,000 0.00
Q4 2012
MTN - Vail Resorts Inc. Reduce 0.42% 15,200 0.00
L - Loews Corp. Reduce 0.73% 275,419 0.05
EG - Everest Group Ltd Reduce 1.33% 62,383 0.03
BNY - Bank of New York Mellon Corp. Reduce 1.56% 712,232 0.08
BRK.B - Berkshire Hathaway CL B Reduce 1.75% 87,100 0.04
FDX - FedEx Corp. Reduce 2.54% 423,995 0.17
LAMR - Lamar Advertising Co. Reduce 2.97% 166,228 0.03
LVLT - Level 3 Communications Inc. Reduce 3.12% 1,505,722 0.16
CNXE - CONSOL Energy Inc. Reduce 3.36% 869,006 0.12
BEN - Franklin Resources Inc. Reduce 4.44% 188,800 0.11
DIG1 - Directv Reduce 4.64% 1,255,886 0.31
CHKEUR - Chesapeake Energy Corporation Reduce 4.72% 4,237,700 0.38
TWTC - tw telecom inc. Reduce 5.13% 688,300 0.08
DLCA - Dell Inc. Reduce 5.21% 6,771,912 0.31
DIS - Walt Disney Co. Reduce 5.41% 1,042,061 0.26
MLM - Martin Marietta Reduce 6.14% 382,214 0.15
TRV - Travelers Companies Inc. Reduce 7.45% 1,312,817 0.42
VODD - Vodafone Group Plc ADR Reduce 10.31% 405,000 0.05
ABT - Abbott Labs Reduce 12.51% 994,794 0.32
CX - Cemex Reduce 14.85% 13,965,296 0.55
DIN - Dine Brands Global Inc. Reduce 15.56% 483,869 0.13
PHG - Koninklijke Philips Electronics NV Reduce 17.77% 4,430,496 0.49
SCI - Service Corporation Internatio Reduce 19.38% 5,910,084 0.38
AON - Aon Plc Reduce 21.82% 5,745,874 1.42
VMC - Vulcan Materials Reduce 25.89% 3,146,897 0.70
PCH - Potlatch Corporation Reduce 51.59% 1,455,163 0.26
IHGA - InterContinental Hotels Group Sell 100.00% 7,621,993 0.94
IREUR - Ingersoll-Rand PLC Sell 100.00% 1,574,344 0.33
RSG - Republic Services Inc. Sell 100.00% 590,300 0.08
GM.WS.B - General Motors Co Sell 100.00% 28,000 0.00
Q3 2012
VMC - Vulcan Materials Reduce 0.06% 7,000 0.00
L - Loews Corp. Reduce 0.24% 93,100 0.02
CNXE - CONSOL Energy Inc. Reduce 0.45% 117,304 0.02
LVLT - Level 3 Communications Inc. Reduce 1.05% 509,005 0.06
VODD - Vodafone Group Plc ADR Reduce 1.65% 66,000 0.01
DLCA - Dell Inc. Reduce 1.88% 2,494,400 0.16
AON - Aon Plc Reduce 2.46% 662,812 0.15
EG - Everest Group Ltd Reduce 3.62% 175,900 0.09
PHG - Koninklijke Philips Electronics NV Reduce 4.75% 1,244,037 0.12
SCI - Service Corporation Internatio Reduce 7.37% 2,424,523 0.15
SNI - Scripps Networks Interactive Reduce 7.52% 199,495 0.06
TRV - Travelers Companies Inc. Reduce 13.09% 2,653,768 0.84
TWTC - tw telecom inc. Reduce 16.54% 2,661,800 0.34
ABT - Abbott Labs Reduce 17.44% 1,679,470 0.54
LAMR - Lamar Advertising Co. Reduce 22.53% 1,627,800 0.23
DIS - Walt Disney Co. Reduce 22.81% 5,692,028 1.37
IREUR - Ingersoll-Rand PLC Reduce 26.95% 580,756 0.12
CX - Cemex Reduce 29.18% 38,746,653 1.30
IHGA - InterContinental Hotels Group Reduce 42.05% 5,529,941 0.66
MKL - Markel Group Inc. Sell 100.00% 241,791 0.53
Q2 2012
EG - Everest Group Ltd Reduce 3.97% 200,800 0.09
VMC - Vulcan Materials Reduce 4.65% 593,710 0.12
TRV - Travelers Companies Inc. Reduce 8.25% 1,822,630 0.52
ABT - Abbott Labs Reduce 9.22% 977,430 0.29
SNI - Scripps Networks Interactive Reduce 11.58% 347,405 0.08
VODD - Vodafone Group Plc ADR Reduce 13.58% 627,238 0.08
DIS - Walt Disney Co. Reduce 19.51% 6,046,670 1.28
IHGA - InterContinental Hotels Group Reduce 23.35% 4,007,434 0.45
IREUR - Ingersoll-Rand PLC Reduce 39.42% 1,402,100 0.28
TWTC - tw telecom inc. Reduce 39.81% 10,641,863 1.14
MKL - Markel Group Inc. Reduce 56.86% 318,659 0.69
AON-W - Aon Corporation Sell 100.00% 26,890,582 6.40
DDS - Dillard's Inc. Sell 100.00% 2,553,600 0.78
AIG.WS - American International Group I Sell 100.00% 104,000 0.01
RSG - Republic Services Inc. Sell 100.00% 50,800 0.01
Q1 2012
L - Loews Corp. Reduce 0.50% 189,400 0.04
CHKEUR - Chesapeake Energy Corporation Reduce 0.92% 807,737 0.09
ABT - Abbott Labs Reduce 1.58% 170,000 0.05
TWTC - tw telecom inc. Reduce 2.29% 627,000 0.06
SKS - Saks Incorporated Reduce 2.44% 435,000 0.02
VODD - Vodafone Group Plc ADR Reduce 5.16% 251,500 0.04
DIS - Walt Disney Co. Reduce 6.42% 2,126,200 0.42
DLCA - Dell Inc. Reduce 6.54% 9,255,400 0.71
DDS - Dillard's Inc. Reduce 8.39% 233,800 0.06
IREUR - Ingersoll-Rand PLC Reduce 11.06% 442,211 0.07
LAMR - Lamar Advertising Co. Reduce 11.29% 919,500 0.13
SNI - Scripps Networks Interactive Reduce 12.64% 434,100 0.10
IHGA - InterContinental Hotels Group Reduce 13.50% 2,677,410 0.25
MKL - Markel Group Inc. Reduce 14.84% 97,700 0.21
CX - Cemex Reduce 24.26% 42,459,173 1.21
YUM - Yum! Brands Inc. Sell 100.00% 13,017,260 4.05
Q4 2011
VMC - Vulcan Materials Reduce 0.06% 8,000 0.00
AON-W - Aon Corporation Reduce 0.59% 136,200 0.03
CHKEUR - Chesapeake Energy Corporation Reduce 0.78% 685,900 0.10
DIN - Dine Brands Global Inc. Reduce 0.86% 27,000 0.01
CX - Cemex Reduce 1.32% 2,332,233 0.04
DIS - Walt Disney Co. Reduce 1.43% 479,300 0.08
TWTC - tw telecom inc. Reduce 1.48% 412,000 0.04
L - Loews Corp. Reduce 1.78% 684,000 0.13
MTN - Vail Resorts Inc. Reduce 2.53% 87,000 0.02
SCI - Service Corporation Internatio Reduce 3.03% 990,000 0.05
DLCA - Dell Inc. Reduce 3.49% 5,121,009 0.40
EG - Everest Group Ltd Reduce 4.01% 210,800 0.09
MKL - Markel Group Inc. Reduce 4.29% 29,500 0.06
VODD - Vodafone Group Plc ADR Reduce 4.53% 231,300 0.03
ABT - Abbott Labs Reduce 6.66% 769,000 0.22
DDS - Dillard's Inc. Reduce 25.20% 939,187 0.23
YUM - Yum! Brands Inc. Reduce 30.28% 5,654,010 1.54
LVLT - Level 3 Communications Inc. Reduce 91.22% 415,669,086 3.42
NCRA - News Corporation - Class A Sell 100.00% 52,463,859 4.49
GLBC - Global Crossing Ltd. Sell 100.00% 9,773,850 1.29
TDS/S - Telephone and Data Systems Inc Sell 100.00% 2,141,287 0.23
FICO - Fair Isaac Corp. Sell 100.00% 505,527 0.06
Q3 2011
TWTC - tw telecom inc. Reduce 0.14% 40,000 0.00
EG - Everest Group Ltd Reduce 0.27% 14,000 0.01
SCI - Service Corporation Internatio Reduce 0.30% 97,000 0.01
DLCA - Dell Inc. Reduce 2.17% 3,252,000 0.25
MKL - Markel Group Inc. Reduce 13.08% 103,482 0.19
NCRA - News Corporation - Class A Reduce 14.33% 8,776,495 0.72
YUM - Yum! Brands Inc. Reduce 28.96% 7,613,213 1.96
VODD - Vodafone Group Plc ADR Reduce 34.26% 2,659,500 0.33
TDS/S - Telephone and Data Systems Inc Reduce 68.97% 4,758,410 0.59
FICO - Fair Isaac Corp. Reduce 86.73% 3,304,448 0.47
CPB - Campbell's Co. Sell 100.00% 18,415,605 2.96
EXPE - Expedia Group Inc. Sell 100.00% 4,262,918 0.57
LMT - Lockheed Martin Corp. Sell 100.00% 986,117 0.37
Q2 2011
ABT - Abbott Labs Reduce 0.13% 3,000 0.00
MLM - Martin Marietta Reduce 0.27% 12,000 0.01
SCI - Service Corporation Internatio Reduce 0.55% 181,000 0.01
FDX - FedEx Corp. Reduce 0.88% 70,900 0.03
DIS - Walt Disney Co. Reduce 0.99% 260,000 0.05
EG - Everest Group Ltd Reduce 1.01% 54,000 0.02
CPB - Campbell's Co. Reduce 1.74% 326,000 0.05
AON-W - Aon Corporation Reduce 3.15% 724,304 0.18
MKL - Markel Group Inc. Reduce 6.45% 54,524 0.11
TWTC - tw telecom inc. Reduce 7.12% 2,131,982 0.19
LVLT - Level 3 Communications Inc. Reduce 9.07% 42,829,976 0.30
YUM - Yum! Brands Inc. Reduce 11.25% 3,333,500 0.80
TDS/S - Telephone and Data Systems Inc Reduce 27.87% 2,666,274 0.37
FICO - Fair Isaac Corp. Reduce 48.78% 3,628,704 0.54
PXD - Pioneer Natural Resources Comp Sell 100.00% 5,879,675 2.81
NLOK - Symantec Corporation Sell 100.00% 7,675,172 0.67
WOR - Worthington Industries Inc. Sell 100.00% 6,684,400 0.66
SEE - Sealed Air Corp Sell 100.00% 2,923,959 0.37
DEO - Diageo ADR Sell 100.00% 121,458 0.04
Q1 2011
VMC - Vulcan Materials Reduce 0.13% 8,000 0.00
CPB - Campbell's Co. Reduce 0.43% 80,000 0.01
LVLT - Level 3 Communications Inc. Reduce 0.68% 3,244,889 0.02
FDX - FedEx Corp. Reduce 0.79% 64,500 0.03
AON-W - Aon Corporation Reduce 0.98% 228,000 0.05
MLM - Martin Marietta Reduce 1.33% 59,700 0.03
EG - Everest Group Ltd Reduce 1.34% 72,165 0.03
PHG - Koninklijke Philips Electronics NV Reduce 1.40% 110,500 0.02
YUM - Yum! Brands Inc. Reduce 2.03% 613,287 0.15
MKL - Markel Group Inc. Reduce 2.05% 17,693 0.03
BNY - Bank of New York Mellon Corp. Reduce 2.38% 746,000 0.11
VODD - Vodafone Group Plc ADR Reduce 2.61% 207,760 0.03
CHKEUR - Chesapeake Energy Corporation Reduce 3.06% 2,506,963 0.32
TDS/S - Telephone and Data Systems Inc Reduce 6.65% 681,555 0.10
FICO - Fair Isaac Corp. Reduce 13.63% 1,173,865 0.13
DIS - Walt Disney Co. Reduce 29.59% 11,057,847 2.02
DDS - Dillard's Inc. Reduce 44.08% 2,937,683 0.54
DEO - Diageo ADR Reduce 45.29% 100,564 0.04
PXD - Pioneer Natural Resources Comp Reduce 53.39% 6,734,300 2.85
NLOK - Symantec Corporation Reduce 69.34% 17,354,642 1.41
VZ - Verizon Communications Sell 100.00% 1,920,000 0.33
SNDA - Shanda Interactive Entertainme Sell 100.00% 968,000 0.19
Q4 2010
VODD - Vodafone Group Plc ADR Reduce 0.04% 3,000 0.00
WOR - Worthington Industries Inc. Reduce 0.09% 6,000 0.00
CPB - Campbell's Co. Reduce 0.61% 114,569 0.02
LVLT - Level 3 Communications Inc. Reduce 0.85% 4,080,662 0.02
CX - Cemex Reduce 0.89% 1,189,794 0.06
AON-W - Aon Corporation Reduce 1.35% 318,040 0.07
FDX - FedEx Corp. Reduce 1.36% 112,398 0.05
EG - Everest Group Ltd Reduce 1.37% 75,000 0.04
PHG - Koninklijke Philips Electronics NV Reduce 1.85% 149,000 0.03
DIN - Dine Brands Global Inc. Reduce 2.28% 73,000 0.02
TDS/S - Telephone and Data Systems Inc Reduce 2.52% 264,768 0.04
DDS - Dillard's Inc. Reduce 5.05% 354,195 0.05
NLOK - Symantec Corporation Reduce 5.66% 1,502,657 0.13
FICO - Fair Isaac Corp. Reduce 7.95% 743,939 0.10
YUM - Yum! Brands Inc. Reduce 8.51% 2,813,034 0.72
DEO - Diageo ADR Reduce 17.16% 46,000 0.02
DIS - Walt Disney Co. Reduce 19.10% 8,823,546 1.61
PXD - Pioneer Natural Resources Comp Reduce 19.40% 3,035,516 1.09
GAME - Shanda Games Limited - ADR Sell 100.00% 6,023,000 0.18
IHGA - InterContinental Hotels Group Sell 100.00% 918,388 0.09
Q3 2010
FICO - Fair Isaac Corp. Reduce 0.36% 34,000 0.00
DLCA - Dell Inc. Reduce 0.37% 532,900 0.04
DIN - Dine Brands Global Inc. Reduce 0.40% 13,000 0.00
BNY - Bank of New York Mellon Corp. Reduce 0.45% 133,000 0.02
EG - Everest Group Ltd Reduce 0.53% 29,200 0.01
LVLT - Level 3 Communications Inc. Reduce 0.92% 4,463,108 0.03
DIS - Walt Disney Co. Reduce 2.20% 1,039,200 0.20
PHG - Koninklijke Philips Electronics NV Reduce 3.61% 301,900 0.06
TWTC - tw telecom inc. Reduce 3.85% 1,088,849 0.11
NLOK - Symantec Corporation Reduce 3.95% 1,091,890 0.09
TDS/S - Telephone and Data Systems Inc Reduce 6.35% 712,200 0.12
IHGA - InterContinental Hotels Group Reduce 16.57% 182,415 0.02
PXD - Pioneer Natural Resources Comp Reduce 22.99% 4,672,300 1.72
YUM - Yum! Brands Inc. Reduce 32.23% 15,713,364 3.81
VZ-W - Verizon Communications-W/I Sell 100.00% 4,362,000 0.72
Q2 2010
FDX - FedEx Corp. Reduce 0.03% 1,800 0.00
EG - Everest Group Ltd Reduce 0.42% 23,148 0.01
DDS - Dillard's Inc. Reduce 1.24% 88,283 0.01
TDS/S - Telephone and Data Systems Inc Reduce 2.90% 335,800 0.06
YUM - Yum! Brands Inc. Reduce 4.25% 2,164,213 0.48
NLOK - Symantec Corporation Reduce 4.45% 1,286,283 0.13
PXD - Pioneer Natural Resources Comp Reduce 6.33% 1,374,300 0.45
PCH - Potlatch Corporation Reduce 9.03% 264,703 0.05
DIS - Walt Disney Co. Reduce 13.79% 7,553,817 1.53
DEO - Diageo ADR Reduce 31.93% 117,491 0.04
PHG - Koninklijke Philips Electronics NV Reduce 68.44% 18,123,805 3.36
MAR - Marriott Int'l. Sell 100.00% 7,119,767 1.30
DISCK - Discovery Communications Serie Sell 100.00% 2,949,735 0.50
BRK.A - Berkshire Hathaway CL A Sell 100.00% 9 0.01
IREUR - Ingersoll-Rand PLC Sell 100.00% 12,000 0.00
Q1 2010
EG - Everest Group Ltd Reduce 0.19% 10,500 0.01
WOR - Worthington Industries Inc. Reduce 0.27% 18,000 0.00
BNY - Bank of New York Mellon Corp. Reduce 0.51% 79,877 0.01
FICO - Fair Isaac Corp. Reduce 1.07% 101,095 0.01
SCI - Service Corporation Internatio Reduce 1.08% 161,716 0.01
FDX - FedEx Corp. Reduce 2.00% 131,400 0.06
TDS/S - Telephone and Data Systems Inc Reduce 2.08% 245,910 0.04
DIS - Walt Disney Co. Reduce 2.17% 1,215,983 0.23
PXD - Pioneer Natural Resources Comp Reduce 3.68% 830,084 0.23
NLOK - Symantec Corporation Reduce 5.35% 1,633,004 0.17
PHG - Koninklijke Philips Electronics NV Reduce 12.01% 3,615,340 0.62
DDS - Dillard's Inc. Reduce 22.78% 2,096,000 0.23
DISCK - Discovery Communications Serie Reduce 54.97% 3,600,550 0.56
MAR - Marriott Int'l. Reduce 66.49% 14,129,558 2.26
BRK.A - Berkshire Hathaway CL A Reduce 99.84% 5,792 3.37
DISCA - Discovery Communications Inc. Sell 100.00% 43,000 0.01
Q4 2009
PXD - Pioneer Natural Resources Comp Reduce 0.52% 117,500 0.02
NLOK - Symantec Corporation Reduce 1.82% 567,000 0.05
FDX - FedEx Corp. Reduce 2.40% 162,063 0.06
CX - Cemex Reduce 2.48% 2,637,858 0.18
DIS - Walt Disney Co. Reduce 3.41% 1,977,000 0.29
TDS/S - Telephone and Data Systems Inc Reduce 3.79% 465,633 0.07
PHG - Koninklijke Philips Electronics NV Reduce 10.69% 3,603,366 0.46
SCI - Service Corporation Internatio Reduce 16.43% 2,932,000 0.11
DISCK - Discovery Communications Serie Reduce 19.32% 1,568,507 0.21
MAR - Marriott Int'l. Reduce 26.13% 7,518,419 1.10
IREUR - Ingersoll-Rand PLC Reduce 99.67% 3,575,701 0.58
LMDIA - Liberty Media Corp Entertainme Sell 100.00% 39,614,074 6.50
FRFHF - Fairfax Financial Holdings Ltd. Sell 100.00% 3,263,193 6.38
ECA - EnCana Corporation Sell 100.00% 1,414,500 0.43
Q3 2009
PXD - Pioneer Natural Resources Comp Reduce 0.15% 34,600 0.01
LVLT - Level 3 Communications Inc. Reduce 0.41% 1,783,452 0.02
FDX - FedEx Corp. Reduce 0.50% 34,000 0.01
PHG - Koninklijke Philips Electronics NV Reduce 0.67% 227,345 0.03
MAR - Marriott Int'l. Reduce 1.26% 366,683 0.05
NLOK - Symantec Corporation Reduce 2.73% 871,606 0.08
DISCK - Discovery Communications Serie Reduce 3.72% 313,408 0.04
TDS/S - Telephone and Data Systems Inc Reduce 3.83% 489,052 0.08
CX - Cemex Reduce 4.06% 4,504,719 0.25
SCI - Service Corporation Internatio Reduce 7.41% 1,427,484 0.05
ECA - EnCana Corporation Reduce 8.36% 129,000 0.04
DLCA - Dell Inc. Reduce 18.58% 31,177,788 2.58
LMDIA - Liberty Media Corp Entertainme Reduce 34.48% 20,849,916 3.35
DISCA - Discovery Communications Inc. Reduce 92.46% 527,614 0.07
INGR - Ingredion Inc. Sell 100.00% 38,919,547 4.90
EBAY - eBay Inc. Sell 100.00% 12,000 0.00
Q2 2009
DLCA - Dell Inc. Reduce 0.22% 378,312 0.02
PXD - Pioneer Natural Resources Comp Reduce 0.42% 96,682 0.01
LVLT - Level 3 Communications Inc. Reduce 1.43% 6,237,305 0.04
YUM - Yum! Brands Inc. Reduce 1.59% 472,371 0.08
EG - Everest Group Ltd Reduce 1.91% 97,500 0.05
NLOK - Symantec Corporation Reduce 2.10% 686,457 0.07
INGR - Ingredion Inc. Reduce 3.92% 1,588,498 0.14
TDS/S - Telephone and Data Systems Inc Reduce 14.77% 2,211,906 0.34
MAR - Marriott Int'l. Reduce 15.70% 5,426,356 0.58
LMDIA - Liberty Media Corp Entertainme Reduce 35.74% 33,631,653 4.39
DISCA - Discovery Communications Inc. Reduce 89.19% 4,706,366 0.49
EBAY - eBay Inc. Reduce 99.98% 64,193,912 5.27
JAVA - Sun Microsystems Inc. Sell 100.00% 159,516,723 7.64
WAG - Walgreen Co. Sell 100.00% 7,798,168 1.32
DLM - Del Monte Foods Company Sell 100.00% 9,550,650 0.46
Q1 2009
JAVA - Sun Microsystems Inc. Reduce 0.41% 657,320 0.02
PXD - Pioneer Natural Resources Comp Reduce 0.83% 189,800 0.02
LVLT - Level 3 Communications Inc. Reduce 1.71% 7,616,000 0.03
ECA - EnCana Corporation Reduce 2.96% 43,000 0.01
TDS/S - Telephone and Data Systems Inc Reduce 3.04% 469,252 0.08
YUM - Yum! Brands Inc. Reduce 6.41% 2,040,020 0.41
NLOK - Symantec Corporation Reduce 11.36% 4,188,268 0.36
LMDIA - Liberty Media Corp Entertainme Reduce 17.49% 19,945,149 2.24
MKL - Markel Group Inc. Reduce 19.12% 69,549 0.13
DLM - Del Monte Foods Company Reduce 23.68% 2,964,013 0.14
FDX - FedEx Corp. Reduce 26.20% 2,167,702 0.89
WAG - Walgreen Co. Reduce 66.93% 15,782,264 2.50
AON-W - Aon Corporation Sell 100.00% 159,900 0.05
KYOCY - Kyocera Corporation ADR Sell 100.00% 74,000 0.03
CLW - Clearwater Paper Corp. Sell 100.00% 429,902 0.02
Q4 2008
PXD - Pioneer Natural Resources Comp Reduce 0.21% 48,200 0.01
DLCA - Dell Inc. Reduce 0.46% 676,910 0.05
LVLT - Level 3 Communications Inc. Reduce 1.62% 7,340,282 0.08
TDS/S - Telephone and Data Systems Inc Reduce 2.66% 422,500 0.06
DIS - Walt Disney Co. Reduce 3.39% 1,564,217 0.20
EG - Everest Group Ltd Reduce 4.43% 229,187 0.08
FRFHF - Fairfax Financial Holdings Ltd. Reduce 8.19% 259,906 0.34
KYOCY - Kyocera Corporation ADR Reduce 8.64% 7,000 0.00
WOR - Worthington Industries Inc. Reduce 15.70% 1,249,000 0.08
DLM - Del Monte Foods Company Reduce 21.58% 3,443,283 0.11
TXI - Texas Industries Inc. Reduce 21.96% 722,800 0.12
FDX - FedEx Corp. Reduce 40.15% 5,549,490 1.81
PCH - Potlatch Corporation Reduce 41.87% 1,083,596 0.21
AON-W - Aon Corporation Reduce 98.86% 13,828,309 2.57
OUBSF - UBS AG (new) Sell 100.00% 44,993,968 3.27
SKM - SK Telecom Co. Ltd. ADR Sell 100.00% 4,770,096 0.37
SKS - Saks Incorporated Sell 100.00% 9,515,955 0.36
IDCG - IDT Corporation Sell 100.00% 181,590 0.00
Q3 2008
FDX - FedEx Corp. Reduce 0.10% 13,300 0.00
LVLT - Level 3 Communications Inc. Reduce 0.17% 768,240 0.01
PXD - Pioneer Natural Resources Comp Reduce 0.57% 133,000 0.04
YUM - Yum! Brands Inc. Reduce 1.16% 372,196 0.05
DIS - Walt Disney Co. Reduce 1.24% 579,009 0.06
TDS/S - Telephone and Data Systems Inc Reduce 2.44% 396,970 0.06
WOR - Worthington Industries Inc. Reduce 2.50% 204,400 0.01
OUBSF - UBS AG (new) Reduce 3.08% 1,431,962 0.10
MKL - Markel Group Inc. Reduce 5.42% 20,866 0.03
EG - Everest Group Ltd Reduce 9.01% 512,500 0.14
KYOCY - Kyocera Corporation ADR Reduce 12.90% 12,000 0.00
PCH - Potlatch Corporation Reduce 24.42% 836,078 0.13
NLOK - Symantec Corporation Reduce 36.45% 19,260,909 1.31
AON-W - Aon Corporation Reduce 49.80% 13,876,814 2.25
IDCG - IDT Corporation Reduce 59.62% 268,110 0.00
SKM - SK Telecom Co. Ltd. ADR Reduce 76.15% 15,230,018 1.11
2323070Q - General Motors Corporation Sell 100.00% 44,657,268 1.81
ODP - Office Depot Inc. Sell 100.00% 14,755,764 0.57
3022239Q - Wendy's International Inc. Sell 100.00% 5,549,000 0.53
ORH - Odyssey Re Holdings Corp. Sell 100.00% 2,463,800 0.31
AP08 - Allied Irish Banks plc ADR Sell 100.00% 330,800 0.04
Q2 2008
CHKEUR - Chesapeake Energy Corporation Reduce 1.56% 570,718 0.10
FRFHF - Fairfax Financial Holdings Ltd. Reduce 1.69% 46,484 0.05
PXD - Pioneer Natural Resources Comp Reduce 1.75% 412,600 0.08
TDS/S - Telephone and Data Systems Inc Reduce 2.51% 418,230 0.06
EBAY - eBay Inc. Reduce 2.59% 1,290,000 0.15
NLOK - Symantec Corporation Reduce 2.72% 1,478,000 0.09
DIS - Walt Disney Co. Reduce 3.28% 1,588,000 0.19
IDCG - IDT Corporation Reduce 3.44% 16,000 0.00
YUM - Yum! Brands Inc. Reduce 4.26% 1,430,100 0.20
AON-W - Aon Corporation Reduce 5.46% 1,610,500 0.25
PCH - Potlatch Corporation Reduce 6.48% 237,353 0.04
3022239Q - Wendy's International Inc. Reduce 8.46% 513,000 0.05
HRH - Hilb Rogal & Hobbs Company Sell 100.00% 3,599,400 0.43
Q1 2008
WOR - Worthington Industries Inc. Reduce 0.54% 44,438 0.00
2323070Q - General Motors Corporation Reduce 0.82% 338,000 0.03
ORH - Odyssey Re Holdings Corp. Reduce 1.20% 30,000 0.00
PXD - Pioneer Natural Resources Comp Reduce 1.21% 287,500 0.05
DIS - Walt Disney Co. Reduce 1.59% 781,600 0.09
YUM - Yum! Brands Inc. Reduce 1.71% 584,378 0.08
TDS/S - Telephone and Data Systems Inc Reduce 1.94% 330,000 0.07
PHG - Koninklijke Philips Electronics NV Reduce 2.54% 594,000 0.09
PCH - Potlatch Corporation Reduce 2.58% 96,882 0.02
AON-W - Aon Corporation Reduce 3.26% 994,800 0.17
FRFHF - Fairfax Financial Holdings Ltd. Reduce 8.60% 259,247 0.27
SCI - Service Corporation Internatio Reduce 11.06% 1,543,829 0.08
CHKEUR - Chesapeake Energy Corporation Reduce 26.17% 12,929,000 1.84
SPNT - Sprint Nextel Corporation Sell 100.00% 42,282,587 2.02
CMCSK - Comcast Corporation Spl Cl A Sell 100.00% 20,231,957 1.33
8222 - Limited Brands Inc. Sell 100.00% 15,169,406 1.04
ECA - EnCana Corporation Sell 100.00% 2,887,700 0.71
CMCSA - Comcast Corp. Sell 100.00% 472,500 0.03
Q4 2007
2323070Q - General Motors Corporation Reduce 0.17% 69,000 0.01
CMCSK - Comcast Corporation Spl Cl A Reduce 0.34% 69,600 0.01
CHKEUR - Chesapeake Energy Corporation Reduce 0.47% 231,000 0.03
DIS - Walt Disney Co. Reduce 0.62% 304,800 0.04
SPNT - Sprint Nextel Corporation Reduce 0.63% 268,000 0.02
TDS/S - Telephone and Data Systems Inc Reduce 0.63% 107,100 0.02
PXD - Pioneer Natural Resources Comp Reduce 0.82% 196,500 0.03
PHG - Koninklijke Philips Electronics NV Reduce 3.57% 865,500 0.14
SKM - SK Telecom Co. Ltd. ADR Reduce 7.48% 1,055,900 0.11
DLCA - Dell Inc. Reduce 8.88% 11,553,000 1.13
FRFHF - Fairfax Financial Holdings Ltd. Reduce 17.78% 652,358 0.56
SCI - Service Corporation Internatio Reduce 17.80% 3,023,000 0.14
YUM - Yum! Brands Inc. Reduce 20.58% 8,839,144 1.06
AON-W - Aon Corporation Reduce 21.78% 8,482,377 1.34
ECA - EnCana Corporation Reduce 41.38% 2,038,300 0.45
SUNW - Sun Microsystems, Inc. Sell 100.00% 123,810,686 2.46
FHN - First Horizon National Corpora Sell 100.00% 24,000 0.00
Q3 2007
FRFHF - Fairfax Financial Holdings Ltd. Reduce 0.13% 4,700 0.00
DIS - Walt Disney Co. Reduce 0.64% 320,000 0.04
DLCA - Dell Inc. Reduce 0.66% 861,949 0.09
PXD - Pioneer Natural Resources Comp Reduce 0.74% 179,000 0.03
FDX - FedEx Corp. Reduce 0.75% 58,000 0.02
AON-W - Aon Corporation Reduce 1.23% 486,000 0.08
TDS/S - Telephone and Data Systems, In Reduce 1.29% 223,700 0.05
INGR - Ingredion Inc. Reduce 1.34% 124,950 0.03
PHG - Koninklijke Philips Electronics NV Reduce 2.60% 647,400 0.10
YUM - Yum! Brands Inc. Reduce 3.16% 1,402,200 0.17
CMCSA - Comcast Corp. Reduce 10.51% 55,500 0.01
CMCSK - Comcast Corporation Spl Cl A Reduce 16.54% 4,022,468 0.42
SPNT - Sprint Nextel Corporation Reduce 46.25% 36,616,661 2.83
PAS - PepsiAmericas, Inc. Sell 100.00% 3,255,800 0.30
DCMYY - NTT DoCoMo, Inc. ADR Sell 100.00% 803,500 0.05
Q2 2007
SPNT - Sprint Nextel Corporation Reduce 0.18% 142,000 0.01
ORH - Odyssey Re Holdings Corp. Reduce 0.44% 11,000 0.00
PHG - Koninklijke Philips Electronics NV Reduce 0.51% 128,825 0.02
DIS - Walt Disney Co. Reduce 0.64% 322,500 0.05
AON-W - Aon Corporation Reduce 0.67% 266,000 0.04
TDS/S - Telephone and Data Systems, In Reduce 1.06% 185,700 0.04
CMCSK - Comcast Corporation Spl Cl A Reduce 6.41% 1,665,680 0.18
PAS - PepsiAmericas, Inc. Reduce 43.32% 2,488,400 0.23
DCMYY - NTT DoCoMo, Inc. ADR Reduce 46.30% 692,700 0.06
TMICY - Trend Micro Incorporated ADR Sell 100.00% 28,000 0.00
Q1 2007
FDX - FedEx Corp. Reduce 0.72% 55,962 0.03
FRFHF - Fairfax Financial Holdings Ltd. Reduce 0.76% 28,000 0.02
YUM - Yum! Brands Inc. Reduce 1.02% 229,836 0.06
TDS/S - Telephone and Data Systems, In Reduce 1.30% 230,190 0.05
CX - Cemex Reduce 1.33% 708,512 0.10
AON-W - Aon Corporation Reduce 1.49% 599,100 0.09
EG - Everest Group Ltd Reduce 2.28% 80,000 0.03
INGR - Ingredion Inc. Reduce 2.54% 242,818 0.04
DIS - Walt Disney Co. Reduce 3.47% 1,802,166 0.27
PHG - Koninklijke Philips Electronics NV Reduce 3.67% 953,914 0.16
CMCSK - Comcast Corporation Spl Cl A Reduce 5.28% 1,449,253 0.27
DCMYY - NTT DoCoMo, Inc. ADR Reduce 34.32% 781,700 0.05
JJZ - Jacuzzi Brands, Inc. Sell 100.00% 18,290,600 0.99
NCRB - News Corporation Sell 100.00% 6,162,936 0.60
MTN - Vail Resorts Inc. Sell 100.00% 1,219,517 0.24
Q4 2006
TDS/S - Telephone and Data Systems, In Reduce 0.32% 57,000 0.01
FDX - FedEx Corp. Reduce 0.33% 25,500 0.01
CX - Cemex Reduce 0.34% 182,698 0.02
2323070Q - General Motors Corporation Reduce 0.45% 184,000 0.03
AON-W - Aon Corporation Reduce 0.55% 221,000 0.03
DIS - Walt Disney Co. Reduce 0.61% 317,000 0.04
EG - Everest Group Ltd Reduce 0.87% 30,700 0.01
YUM - Yum! Brands Inc. Reduce 0.94% 212,400 0.05
SCI - Service Corporation Internatio Reduce 3.02% 528,200 0.02
ORH - Odyssey Re Holdings Corp. Reduce 4.40% 115,400 0.02
PAS - PepsiAmericas, Inc. Reduce 7.25% 449,000 0.04
PHG - Koninklijke Philips Electronics NV Reduce 16.91% 5,289,275 0.83
CMCSK - Comcast Corporation Spl Cl A Reduce 29.43% 11,441,625 1.89
NCRB - News Corporation Reduce 45.17% 5,077,800 0.47
CMCSA - Comcast Corp. Reduce 94.14% 6,073,184 1.01
TAP - Molson Coors Beverage Co. Sell 100.00% 5,923,400 1.83
SJR - Shaw Communications Inc. Cl B Sell 100.00% 3,086,950 0.42
USIH - USI Holdings Corporation Sell 100.00% 2,410,576 0.15
NSRGY - Nestle Sell 100.00% 152,780 0.06
SKS - Saks Incorporated Sell 100.00% 48,200 0.00
Q3 2006
FDX - FedEx Corp. Reduce 0.03% 2,000 0.00
2323070Q - General Motors Corporation Reduce 0.04% 16,000 0.00
AON-W - Aon Corporation Reduce 0.12% 50,000 0.01
CMCSA - Comcast Corp. Reduce 0.22% 14,000 0.00
TAP - Molson Coors Beverage Co. Reduce 0.27% 16,000 0.01
DIS - Walt Disney Co. Reduce 0.69% 363,000 0.05
YUM - Yum! Brands Inc. Reduce 0.94% 214,000 0.05
CMCSK - Comcast Corporation Spl Cl A Reduce 1.28% 502,500 0.08
PHG - Koninklijke Philips Electronics NV Reduce 5.82% 1,933,658 0.29
DCMYY - NTT DoCoMo, Inc. ADR Reduce 34.31% 1,189,500 0.08
SJR - Shaw Communications Inc. Cl B Reduce 83.59% 15,729,950 2.11
SKS - Saks Incorporated Reduce 99.58% 11,542,800 0.89
2670116Q - Vivendi ADR Sell 100.00% 14,140,684 2.35
3393199Q - Anheuser-Busch Companies, Inc. Sell 100.00% 8,211,700 1.78
Q2 2006
LVLT - Level 3 Communications Reduce 0.14% 213,000 0.01
2323070Q - General Motors Reduce 0.36% 145,000 0.01
TAP - Molson Coors Beverage Co. Reduce 0.60% 36,000 0.01
CX - Cemex Reduce 0.66% 175,254 0.05
EG - Everest Group Ltd Reduce 0.79% 28,000 0.01
USIH - USI Holdings Corporation Reduce 1.03% 25,000 0.00
AON-W - Aon Corp Reduce 1.35% 554,800 0.11
YUM - Yum! Brands Inc. Reduce 1.94% 452,100 0.10
CMCSA - Comcast Corp. Reduce 1.96% 129,495 0.02
CMCSK - Comcast Corp Special Cl A Reduce 2.65% 1,071,512 0.13
DIS - Walt Disney Co. Reduce 6.47% 3,638,700 0.46
FDX - FedEx Corp. Reduce 6.48% 540,200 0.28
NCRB - News Corp Inc. Reduce 14.86% 1,801,600 0.14
SJR - Shaw Communications, Inc. Clas Reduce 15.63% 3,487,000 0.38
SKS - Saks, Inc. Reduce 22.59% 3,381,800 0.30
2670116Q - Vivendi ADR Reduce 30.10% 6,089,000 0.95
3393199Q - Anheuser-Busch Companies, Inc. Reduce 48.51% 7,737,200 1.51
2860436Q - Liberty Media Corporation Sell 100.00% 170,823,348 6.40
KRI - Knight Ridder Sell 100.00% 4,951,100 1.43
HAS - Hasbro Inc. Sell 100.00% 8,437,700 0.81
Q1 2006
CMCSK - Comcast Corp Special Cl A Reduce 0.06% 25,502 0.00
3393199Q - Anheuser-Busch Companies, Inc. Reduce 0.14% 22,000 0.00
SKS - Saks, Inc. Reduce 0.48% 72,000 0.01
YUM - Yum! Brands Inc. Reduce 0.63% 147,000 0.03
FRFHF - Fairfax Financial Holdings Ltd. Reduce 1.28% 48,000 0.03
AON-W - Aon Corp Reduce 2.21% 931,200 0.15
PHG - Koninklijke Philips Electronics NV Reduce 2.64% 901,500 0.13
2670116Q - Vivendi ADR Reduce 2.78% 578,700 0.08
SJR - Shaw Communications, Inc. Clas Reduce 5.87% 1,391,400 0.14
FDX - FedEx Corp. Reduce 15.73% 1,557,200 0.74
KRI - Knight Ridder Reduce 24.54% 1,610,300 0.47
CX - Cemex Reduce 26.44% 9,593,448 2.62
HAS - Hasbro Inc. Reduce 49.87% 8,393,500 0.78
WM - Waste Management Inc. Sell 100.00% 29,881,066 4.18
DEL - Deltic Timber Corp Sell 100.00% 1,117,400 0.27
NTTYY - Nippon Telegraph and Telephone Sell 100.00% 190,600 0.02
Q4 2005
HAS - Hasbro Inc. Reduce 0.08% 13,000 0.00
LVLT - Level 3 Communications Reduce 0.15% 231,000 0.00
PXD - Pioneer Natural Resources Co. Reduce 0.43% 72,568 0.02
JJZ - Jacuzzi Brands, Inc. Reduce 0.58% 106,000 0.00
CMCSA - Comcast Corp. Reduce 0.68% 35,480 0.01
PHG - Koninklijke Philips Electronics NV Reduce 0.86% 296,797 0.04
CX - Cemex Reduce 0.95% 349,639 0.09
KRI - Knight Ridder Reduce 1.03% 68,239 0.02
YUM - Yum! Brands Inc. Reduce 1.49% 354,066 0.08
PAS - PepsiAmericas. Inc. Reduce 2.45% 155,700 0.02
AON-W - Aon Corp Reduce 3.36% 1,461,207 0.23
EG - Everest Group Ltd Reduce 3.59% 132,000 0.06
WM - Waste Management Inc. Reduce 3.79% 1,175,694 0.16
SJR - Shaw Communications, Inc. Clas Reduce 5.79% 1,455,200 0.15
NSRGY - Nestle Reduce 8.39% 14,000 0.01
FDX - FedEx Corp. Reduce 9.62% 1,053,983 0.44
2670116Q - Vivendi Universal ADR Reduce 15.49% 3,812,826 0.60
MTN - Vail Resorts Inc. Reduce 19.95% 203,600 0.03
NTTYY - Nippon Telegraph and Telephone Reduce 61.89% 309,500 0.04
NMG/B - Neiman Marcus Group Class B Sell 100.00% 1,324,000 0.64
DEO - Diageo ADR Sell 100.00% 369,900 0.10
Q3 2005
2323070Q - General Motors Reduce 0.24% 98,000 0.02
LVLT - Level 3 Communications Reduce 0.48% 747,000 0.01
EG - Everest Group Ltd Reduce 0.65% 24,000 0.01
KRI - Knight Ridder Reduce 0.66% 44,000 0.01
PXD - Pioneer Natural Resources Co. Reduce 0.97% 165,000 0.04
PHG - Koninklijke Philips Electronics NV Reduce 1.08% 375,500 0.05
WM - Waste Management Inc. Reduce 1.14% 359,600 0.06
FRFHF - Fairfax Financial Holdings Ltd. Reduce 1.37% 52,200 0.05
AON-W - Aon Corp Reduce 1.63% 720,000 0.10
YUM - Yum! Brands Inc. Reduce 1.89% 459,500 0.13
CX - Cemex Reduce 1.94% 725,382 0.17
SJR - Shaw Communications, Inc. Clas Reduce 3.75% 980,100 0.11
HAS - Hasbro Inc. Reduce 3.91% 685,000 0.08
CMCSA - Comcast Corp. Reduce 3.97% 215,000 0.04
NCRB - News Corp Inc. Reduce 4.70% 504,200 0.05
2670116Q - Vivendi Universal ADR Reduce 7.11% 1,884,500 0.32
PAS - PepsiAmericas. Inc. Reduce 7.42% 508,500 0.07
NMG/B - Neiman Marcus Group Class B Reduce 13.44% 205,500 0.11
SKS - Saks, Inc. Reduce 24.46% 4,854,800 0.51
DEO - Diageo ADR Reduce 32.67% 179,500 0.06
NTTYY - Nippon Telegraph and Telephone Reduce 52.23% 546,900 0.06
NMG/A - Neiman-Marcus Group Sell 100.00% 807,500 0.43
CKP - Checkpoint Systems, Inc. Sell 100.00% 1,075,800 0.10
FICO - Fair Isaac Corp. Sell 100.00% 6,200 0.00
Q2 2005
KRI - Knight Ridder Reduce 0.33% 22,000 0.01
PAS - PepsiAmericas. Inc. Reduce 0.44% 30,200 0.00
FDX - FedEx Corp. Reduce 0.69% 76,000 0.04
CMCSA - Comcast Corp. Reduce 0.84% 46,000 0.01
2323070Q - General Motors Reduce 0.90% 363,000 0.06
AON-W - Aon Corp Reduce 2.60% 1,180,000 0.16
DIS - Walt Disney Co. Reduce 3.05% 1,629,000 0.28
WM - Waste Management Inc. Reduce 3.20% 1,040,000 0.18
2670116Q - Vivendi Universal ADR Reduce 3.65% 1,002,800 0.18
LVLT - Level 3 Communications Reduce 3.79% 6,090,000 0.08
FRFHF - Fairfax Financial Holdings Ltd. Reduce 4.11% 163,000 0.15
CMCSK - Comcast Corp Special Cl A Reduce 4.36% 1,551,562 0.31
SJR - Shaw Communications, Inc. Clas Reduce 4.66% 1,276,000 0.16
HAS - Hasbro Inc. Reduce 7.03% 1,326,000 0.16
NMG/A - Neiman-Marcus Group Reduce 9.83% 88,000 0.05
NMG/B - Neiman Marcus Group Class B Reduce 11.77% 204,000 0.11
YUM - Yum! Brands Inc. Reduce 17.39% 5,113,200 1.60
SKS - Saks, Inc. Reduce 22.37% 5,718,100 0.62
3692470Q - Alltel Corp Sell 100.00% 547,900 0.18
Q1 2005
LVLT - Level 3 Communications Reduce 0.11% 178,000 0.00
PXD - Pioneer Natural Resources Co. Reduce 0.13% 17,432 0.00
CMCSA - Comcast Corp. Reduce 0.19% 10,265 0.00
CMCSK - Comcast Corp Special Cl A Reduce 0.24% 84,921 0.02
DIS - Walt Disney Co. Reduce 0.26% 139,463 0.02
AON-W - Aon Corp Reduce 0.27% 123,393 0.02
FRFHF - Fairfax Financial Holdings Ltd. Reduce 0.27% 10,600 0.01
FDX - FedEx Corp. Reduce 0.28% 30,761 0.02
YUM - Yum! Brands Inc. Reduce 0.29% 85,895 0.03
2670116Q - Vivendi Universal ADR Reduce 0.33% 90,274 0.02
WM - Waste Management Inc. Reduce 0.34% 111,595 0.02
PAS - PepsiAmericas. Inc. Reduce 1.27% 88,800 0.01
SJR - Shaw Communications, Inc. Clas Reduce 2.24% 628,000 0.07
SKS - Saks, Inc. Reduce 4.62% 1,237,000 0.11
DEL - Deltic Timber Corp Reduce 24.51% 362,700 0.10
NTTYY - Nippon Telegraph and Telephone Reduce 25.50% 358,300 0.05
NMG/B - Neiman Marcus Group Class B Reduce 38.46% 1,083,500 0.45
NMG/A - Neiman-Marcus Group Reduce 49.96% 894,000 0.40
TXI - Texas Industries Sell 100.00% 2,018,300 0.79
Q4 2004
AON-W - Aon Corp Reduce 0.05% 25,000 0.00
KRI - Knight Ridder Reduce 0.18% 12,000 0.01
LVLT - Level 3 Communications Reduce 0.49% 793,728 0.01
WM - Waste Management Inc. Reduce 0.72% 236,000 0.04
2670116Q - Vivendi Universal ADR Reduce 0.77% 215,316 0.04
SJR - Shaw Communications, Inc. Clas Reduce 0.88% 249,600 0.03
3692470Q - Alltel Corp Reduce 1.08% 6,000 0.00
NMG/B - Neiman Marcus Group Class B Reduce 1.09% 31,000 0.01
PAS - PepsiAmericas. Inc. Reduce 2.49% 178,000 0.02
NMG/A - Neiman-Marcus Group Reduce 3.40% 63,000 0.02
YUM - Yum! Brands Inc. Reduce 3.53% 1,079,700 0.30
JJZ - Jacuzzi Brands, Inc. Reduce 3.97% 522,500 0.03
CKP - Checkpoint Systems, Inc. Reduce 5.22% 59,200 0.01
DEL - Deltic Timber Corp Reduce 5.71% 89,600 0.02
FDX - FedEx Corp. Reduce 6.01% 701,950 0.41
TXI - Texas Industries Reduce 33.53% 1,018,000 0.35
NTTYY - Nippon Telegraph and Telephone Reduce 43.52% 1,082,700 0.15
0910150D - Hilton Hotels Corp Sell 100.00% 52,882,063 6.72
TRZ - Trizec Properties Sell 100.00% 29,021,436 3.13
VYX - NCR Voyix Corp. Sell 100.00% 5,634,100 1.88
FCYA - Forest City Enterprises, Inc. Sell 100.00% 3,029,775 1.13
MAR - Marriott Int'l. Sell 100.00% 2,080,800 0.73
AW - Allied Waste Industries, Inc. Sell 100.00% 370,000 0.02
Q3 2004
JJZ - Jacuzzi Brands, Inc. Reduce 0.20% 26,900 0.00
TXI - Texas Industries Reduce 1.24% 38,000 0.01
AON-W - Aon Corp Reduce 1.38% 638,000 0.13
CMCSA - Comcast Corp. Reduce 1.64% 91,000 0.02
0910150D - Hilton Hotels Corp Reduce 1.66% 894,000 0.12
YUM - Yum! Brands Inc. Reduce 1.67% 519,400 0.13
FDX - FedEx Corp. Reduce 1.83% 217,400 0.12
WM - Waste Management Inc. Reduce 2.34% 786,200 0.17
2670116Q - Vivendi Universal ADR Reduce 2.37% 676,000 0.13
PXD - Pioneer Natural Resources Co. Reduce 2.67% 374,000 0.09
KRI - Knight Ridder Reduce 2.72% 185,100 0.09
VYX - NCR Voyix Corp. Reduce 6.72% 405,900 0.14
TRZ - Trizec Properties Reduce 15.37% 5,270,500 0.60
FCYA - Forest City Enterprises, Inc. Reduce 22.27% 868,200 0.32
MAR - Marriott Int'l. Reduce 52.66% 2,314,500 0.81
MNY - The MONY Group, Inc. Sell 100.00% 2,348,300 0.51
GLYT - Genlyte Group, Inc. Sell 100.00% 154,624 0.07
Q2 2004
TRZ - Trizec Properties Reduce 0.13% 45,000 0.01
0910150D - Hilton Hotels Corp Reduce 0.29% 154,632 0.02
YUM - Yum! Brands Inc. Reduce 0.35% 110,000 0.03
3692470Q - Alltel Corp Reduce 0.36% 2,000 0.00
WM - Waste Management Inc. Reduce 0.40% 135,000 0.03
2670116Q - Vivendi Universal ADR Reduce 0.48% 137,100 0.03
CMCSA - Comcast Corp. Reduce 0.53% 29,910 0.01
FDX - FedEx Corp. Reduce 0.55% 66,000 0.03
FCYA - Forest City Enterprises, Inc. Reduce 0.87% 34,200 0.01
SJR - Shaw Communications, Inc. Clas Reduce 1.33% 377,000 0.04
KRI - Knight Ridder Reduce 1.70% 118,000 0.06
PAS - PepsiAmericas. Inc. Reduce 3.51% 260,600 0.04
JJZ - Jacuzzi Brands, Inc. Reduce 5.29% 736,100 0.05
PXD - Pioneer Natural Resources Co. Reduce 9.89% 1,536,200 0.35
VYX - NCR Voyix Corp. Reduce 17.91% 1,317,500 0.41
SKS - Saks, Inc. Reduce 31.08% 3,562,766 0.44
MAR - Marriott Int'l. Reduce 68.76% 9,672,163 2.88
GLYT - Genlyte Group, Inc. Reduce 89.94% 1,382,708 0.54
BPO - Brookfield Properties Corp Sell 100.00% 89,000 0.02
Q1 2004
TRZ - Trizec Properties Reduce 0.07% 24,000 0.00
PAS - PepsiAmericas. Inc. Reduce 0.11% 8,000 0.00
WM - Waste Management Inc. Reduce 0.23% 79,000 0.02
CMCSA - Comcast Corp. Reduce 0.30% 16,940 0.00
KRI - Knight Ridder Reduce 0.30% 21,000 0.01
FDX - FedEx Corp. Reduce 0.39% 47,000 0.02
TXI - Texas Industries Reduce 1.19% 36,900 0.01
PHG - Koninklijke Philips Electronics NV Reduce 4.42% 532,600 0.10
JJZ - Jacuzzi Brands, Inc. Reduce 4.44% 646,900 0.03
DIS - Walt Disney Co. Reduce 4.83% 2,336,000 0.37
0910150D - Hilton Hotels Corp Reduce 6.06% 3,477,500 0.40
SJR - Shaw Communications, Inc. Clas Reduce 6.89% 2,097,800 0.22
FCYA - Forest City Enterprises, Inc. Reduce 6.99% 295,400 0.09
GLYT - Genlyte Group, Inc. Reduce 12.11% 211,817 0.08
MAR - Marriott Int'l. Reduce 13.93% 2,276,300 0.71
PXD - Pioneer Natural Resources Co. Reduce 18.23% 3,461,300 0.74
2670116Q - Vivendi Universal ADR Reduce 23.48% 8,784,900 1.44
VYX - NCR Voyix Corp. Reduce 23.77% 2,294,000 0.60
NMG/A - Neiman-Marcus Group Reduce 25.34% 628,900 0.23
SKS - Saks, Inc. Reduce 38.07% 7,047,380 0.72
CKP - Checkpoint Systems, Inc. Reduce 60.14% 1,712,700 0.22
ADP - Automatic Data Processing Inc. Sell 100.00% 4,966,700 1.33
Y - Alleghany Corp Sell 100.00% 252,645 0.38
Q4 2003
NMG/B - Neiman Marcus Group Class B Reduce 0.04% 1,200 0.00
VYX - NCR Voyix Corp. Reduce 0.05% 5,000 0.00
PHG - Koninklijke Philips Electronics NV Reduce 0.22% 26,000 0.00
CMCSK - Comcast Corp Special Cl A Reduce 0.23% 53,000 0.01
DIS - Walt Disney Co. Reduce 0.23% 114,000 0.02
CMCSA - Comcast Corp. Reduce 0.41% 23,000 0.01
YUM - Yum! Brands Inc. Reduce 0.54% 168,000 0.04
0910150D - Hilton Hotels Corp Reduce 0.94% 545,343 0.06
KRI - Knight Ridder Reduce 1.78% 126,250 0.06
SKS - Saks, Inc. Reduce 2.92% 557,605 0.05
PXD - Pioneer Natural Resources Co. Reduce 3.77% 744,100 0.13
FDX - FedEx Corp. Reduce 8.83% 1,164,000 0.53
MAR - Marriott Int'l. Reduce 11.13% 2,046,500 0.63
GLYT - Genlyte Group, Inc. Reduce 11.71% 231,896 0.07
NMG/A - Neiman-Marcus Group Reduce 16.66% 495,900 0.15
CKP - Checkpoint Systems, Inc. Reduce 17.29% 595,500 0.07
ADP - Automatic Data Processing Inc. Reduce 41.60% 3,538,000 0.90
Y - Alleghany Corp Reduce 53.30% 288,320 0.40
GMH - General Motors Class H Sell 100.00% 68,318,104 6.96
RAH - Ralcorp Holdings Inc. Sell 100.00% 1,931,800 0.38
Q3 2003
2323070Q - General Motors Reduce 0.27% 45,800 0.01
TRZ - Trizec Properties Reduce 0.39% 134,000 0.01
ADP - Automatic Data Processing Inc. Reduce 0.83% 71,000 0.02
PAS - PepsiAmericas. Inc. Reduce 0.93% 70,000 0.01
GMH - General Motors Class H Reduce 0.96% 663,000 0.06
DIS - Walt Disney Co. Reduce 0.97% 476,000 0.07
PXD - Pioneer Natural Resources Co. Reduce 1.17% 233,800 0.04
CMCSK - Comcast Corp Special Cl A Reduce 1.21% 284,000 0.06
CMCSA - Comcast Corp. Reduce 1.54% 88,028 0.02
MAR - Marriott Int'l. Reduce 1.79% 335,000 0.09
PHG - Koninklijke Philips Electronics NV Reduce 1.89% 233,000 0.03
YUM - Yum! Brands Inc. Reduce 1.92% 604,600 0.13
SKS - Saks, Inc. Reduce 3.87% 768,000 0.05
KRI - Knight Ridder Reduce 4.60% 341,254 0.17
DEL - Deltic Timber Corp Reduce 4.65% 76,600 0.02
FCYA - Forest City Enterprises, Inc. Reduce 5.49% 245,500 0.07
FDX - FedEx Corp. Reduce 5.59% 779,700 0.34
GLYT - Genlyte Group, Inc. Reduce 7.41% 158,555 0.04
RAH - Ralcorp Holdings Inc. Reduce 7.65% 160,100 0.03
NMG/A - Neiman-Marcus Group Reduce 12.33% 418,800 0.11
0910150D - Hilton Hotels Corp Reduce 12.46% 8,249,963 0.75
Y - Alleghany Corp Reduce 19.62% 132,003 0.18
3017264Q - ServiceMaster Company Sell 100.00% 21,004,605 1.60
RYN - Rayonier Inc. Sell 100.00% 6,335,550 1.49
DOX - Amdocs Ltd. Sell 100.00% 79,800 0.01
CWP - Cable & Wireless ADR Sell 100.00% 34,000 0.00
Q2 2003
GLYT - Genlyte Group, Inc. Reduce 0.03% 700 0.00
TRZ - Trizec Properties Reduce 0.10% 35,000 0.00
GMH - General Motors Class H Reduce 0.11% 75,800 0.01
FCYA - Forest City Enterprises, Inc. Reduce 0.19% 8,500 0.00
ADP - Automatic Data Processing Inc. Reduce 0.23% 20,000 0.01
SKS - Saks, Inc. Reduce 0.65% 130,000 0.01
0910150D - Hilton Hotels Corp Reduce 0.77% 512,200 0.05
FDX - FedEx Corp. Reduce 1.38% 195,400 0.09
KRI - Knight Ridder Reduce 2.53% 192,689 0.09
PXD - Pioneer Natural Resources Co. Reduce 2.79% 574,000 0.12
Y - Alleghany Corp Reduce 2.82% 19,549 0.03
CMCSK - Comcast Corp Special Cl A Reduce 3.80% 931,600 0.21
MAR - Marriott Int'l. Reduce 5.84% 1,161,800 0.31
3017264Q - ServiceMaster Company Reduce 9.53% 2,211,900 0.18
CMCSA - Comcast Corp. Reduce 46.73% 5,020,253 1.19
AW - Allied Waste Industries, Inc. Reduce 83.04% 1,811,800 0.12
DOX - Amdocs Ltd. Reduce 99.75% 31,374,000 3.45
FIATY - Fiat SPA ADR Sell 100.00% 12,452,750 0.65
USI-W - U. S. Industries Sell 100.00% 14,709,300 0.48
FLMIQ - Fleming Cos Sell 100.00% 10,792,000 0.04
AWE - A T & T Wireless Group Sell 100.00% 40,178 0.00
Q1 2003
PXD - Pioneer Natural Resources Co. Reduce 0.22% 45,394 0.01
TRZ - Trizec Properties Reduce 1.41% 492,400 0.04
KRI - Knight Ridder Reduce 2.69% 210,358 0.11
3017264Q - ServiceMaster Company Reduce 3.42% 822,600 0.07
SKS - Saks, Inc. Reduce 4.08% 849,200 0.08
RAH - Ralcorp Holdings Inc. Reduce 4.65% 102,000 0.02
AW - Allied Waste Industries, Inc. Reduce 5.31% 122,400 0.01
FIATY - Fiat SPA ADR Reduce 5.44% 716,000 0.05
FCYA - Forest City Enterprises, Inc. Reduce 5.77% 274,650 0.08
Y - Alleghany Corp Reduce 7.87% 59,117 0.09
DEL - Deltic Timber Corp Reduce 14.65% 282,500 0.06
DOX - Amdocs Ltd. Reduce 22.46% 9,109,700 0.73
CMCSA - Comcast Corp. Reduce 40.72% 7,378,986 1.43
PCL - Plum Creek Timber Co., Inc. Sell 100.00% 3,555,190 0.69
RCI - Rogers Communications Sell 100.00% 4,349,500 0.34
365164Q - St. Paul Cos Sell 100.00% 811,000 0.23
653707Q - AT&T Corp Sell 100.00% 34,484 0.01
Q4 2002
MAR - Marriott Int'l. Reduce 0.08% 15,700 0.00
3692470Q - Alltel Corp Reduce 0.36% 2,000 0.00
TRZ - Trizec Properties Reduce 0.76% 267,000 0.03
0910150D - Hilton Hotels Corp Reduce 1.03% 682,800 0.07
FCYA - Forest City Enterprises, Inc. Reduce 2.14% 104,050 0.03
GLYT - Genlyte Group, Inc. Reduce 2.38% 52,100 0.02
KRI - Knight Ridder Reduce 2.84% 228,600 0.12
RYN - Rayonier Inc. Reduce 2.93% 128,800 0.05
3017264Q - ServiceMaster Company Reduce 3.01% 746,700 0.07
AW - Allied Waste Industries, Inc. Reduce 3.48% 83,000 0.01
DOX - Amdocs Ltd. Reduce 3.71% 1,564,900 0.09
PXD - Pioneer Natural Resources Co. Reduce 11.73% 2,735,832 0.60
Y - Alleghany Corp Reduce 14.33% 125,731 0.21
SKS - Saks, Inc. Reduce 14.81% 3,618,100 0.34
FDX - FedEx Corp. Reduce 17.41% 2,977,751 1.34
PCL - Plum Creek Timber Co., Inc. Reduce 42.05% 2,580,090 0.53
RCI - Rogers Communications Reduce 60.78% 6,741,900 0.38
AWE - A T & T Wireless Group Reduce 99.27% 5,501,000 0.27
9489 - A T & T Corp Sell 100.00% 57,303,134 6.19
MAC - Macerich Company Sell 100.00% 1,638,500 0.46
GTI - GrafTech International Ltd Sell 100.00% 4,928,676 0.32
HST - Host Marriott Corporation Sell 100.00% 3,506,000 0.29
USG - USG Corporation Sell 100.00% 1,237,100 0.04
Q3 2002
NMG/B - Neiman Marcus Group Class B Reduce 0.38% 10,900 0.00
PAS - PepsiAmericas. Inc. Reduce 1.52% 85,000 0.01
DEL - Deltic Timber Corp Reduce 2.16% 42,500 0.01
USI-W - U. S. Industries Reduce 2.47% 264,000 0.01
KRI - Knight Ridder Reduce 2.98% 247,140 0.14
FIATY - Fiat SPA ADR Reduce 3.59% 411,800 0.05
FDX - FedEx Corp. Reduce 4.32% 771,835 0.38
Y - Alleghany Corp Reduce 4.45% 40,824 0.06
3017264Q - ServiceMaster Company Reduce 7.25% 1,936,895 0.23
FCYA - Forest City Enterprises, Inc. Reduce 8.29% 439,500 0.14
GLYT - Genlyte Group, Inc. Reduce 8.93% 215,100 0.07
PXD - Pioneer Natural Resources Co. Reduce 9.64% 2,488,113 0.47
SKS - Saks, Inc. Reduce 12.08% 3,356,220 0.37
RYN - Rayonier Inc. Reduce 12.55% 631,000 0.29
MAC - Macerich Company Reduce 13.38% 253,000 0.06
BPO - Brookfield Properties Corp Reduce 31.22% 40,400 0.01
RAH - Ralcorp Holdings Inc. Reduce 34.00% 1,130,200 0.26
PCL - Plum Creek Timber Co., Inc. Reduce 62.63% 10,281,700 2.59
USG - USG Corporation Reduce 73.96% 3,513,600 0.21
HST - Host Marriott Corporation Reduce 91.97% 40,177,097 4.07
TZH - Trizec Hahn Sell 100.00% 30,906,891 4.16
2844270Q - Thomas Industries Sell 100.00% 785,900 0.20
ALEX - Alexander & Baldwin Co. Sell 100.00% 481,369 0.11
RLI - RLI Corp. Sell 100.00% 110,800 0.05
1367506D - Forest City Enterprises, Inc. Sell 100.00% 5,850 0.00
Q1 2002
PXD - Pioneer Natural Resources Co. Reduce 0.07% 18,757 0.00
RYN - Rayonier Inc. Reduce 0.22% 11,000 0.00
2323070Q - General Motors Reduce 0.49% 73,000 0.03
FDX - FedEx Corp. Reduce 1.59% 289,400 0.13
FCYA - Forest City Enterprises, Inc. Reduce 1.85% 100,000 0.03
KRI - Knight Ridder Reduce 2.07% 175,500 0.10
3017264Q - ServiceMaster Company Reduce 2.52% 690,400 0.08
RAH - Ralcorp Holdings Inc. Reduce 2.55% 87,000 0.02
NMG/A - Neiman-Marcus Group Reduce 8.15% 140,000 0.04
USG - USG Corporation Reduce 12.29% 665,800 0.03
0910150D - Hilton Hotels Corp Reduce 16.42% 12,067,320 1.14
MAR - Marriott Int'l. Reduce 18.36% 4,204,637 1.49
PCL - Plum Creek Timber Co., Inc. Reduce 26.18% 5,823,045 1.43
2844270Q - Thomas Industries Reduce 54.44% 939,100 0.20
ALEX - Alexander & Baldwin Co. Reduce 75.47% 1,480,600 0.35
DEO - Diageo ADR Sell 100.00% 2,697,200 1.08
PBG - Pepsi Bottling Group, Inc. Sell 100.00% 4,677,800 0.95
AET - Aetna, Inc.-New Sell 100.00% 1,191,200 0.34
1411467D - Coca-Cola Enterprises Sell 100.00% 207,000 0.03
Q4 2001
9489 - A T & T Corp Reduce 0.37% 119,094 0.02
RYN - Rayonier Inc. Reduce 0.72% 36,800 0.01
TZH - Trizec Hahn Reduce 1.15% 360,935 0.06
AW - Allied Waste Industries, Inc. Reduce 1.24% 30,000 0.00
Y - Alleghany Corp Reduce 1.46% 13,384 0.02
KRI - Knight Ridder Reduce 2.02% 174,812 0.09
PXD - Pioneer Natural Resources Co. Reduce 2.19% 578,093 0.08
FDX - FedEx Corp. Reduce 2.56% 477,734 0.16
3017264Q - ServiceMaster Company Reduce 2.84% 800,400 0.08
DEO - Diageo ADR Reduce 3.27% 91,273 0.04
MAR - Marriott Int'l. Reduce 4.42% 1,058,063 0.33
WM - Waste Management Inc. Reduce 5.52% 1,707,393 0.42
AON-W - Aon Corp Reduce 6.66% 245,170 0.10
ALEX - Alexander & Baldwin Co. Reduce 12.43% 278,534 0.06
USG - USG Corporation Reduce 16.21% 1,047,500 0.04
2844270Q - Thomas Industries Reduce 16.80% 348,250 0.07
PHG - Koninklijke Philips Electronics NV Reduce 28.34% 740,000 0.13
PBG - Pepsi Bottling Group, Inc. Reduce 28.74% 1,887,000 0.80
AET - Aetna, Inc.-New Reduce 85.73% 7,155,200 1.90
1411467D - Coca-Cola Enterprises Reduce 95.14% 4,050,000 0.57
1367506D - Forest City Enterprises, Inc. Reduce 96.16% 146,650 0.07
528622Q - Georgia Pacific Corp Timber Gr Sell 100.00% 18,982,480 6.34
LUMN - Lumen Technologies Inc. Sell 100.00% 4,840,300 1.50
AWE - A T & T Wireless Group Sell 100.00% 9,235,224 1.27
HRH - Hilb, Rogal & Hamilton Co. Sell 100.00% 962,700 0.40
3588Q - Price Legacy Corporation Sell 100.00% 11,741,520 0.33
BXP - BXP Inc. Sell 100.00% 651,500 0.23
GIS - General Mills Sell 100.00% 330,500 0.14
WBR - Wyndham International, Inc. Sell 100.00% 11,494,700 0.07
CTO - CTO Realty Growth Inc. Sell 100.00% 24,981 0.00
Q3 2001
TZH - Trizec Hahn Reduce 0.78% 244,900 0.04
KRI - Knight Ridder Reduce 0.91% 79,100 0.04
PAS - PepsiAmericas. Inc. Reduce 1.65% 90,000 0.01
NMG/B - Neiman Marcus Group Class B Reduce 1.85% 54,000 0.01
RYN - Rayonier Inc. Reduce 2.16% 112,000 0.04
AET - Aetna, Inc.-New Reduce 2.25% 192,100 0.04
528622Q - Georgia Pacific Corp Timber Gr Reduce 3.10% 608,020 0.19
USI-W - U. S. Industries Reduce 3.25% 360,000 0.01
3017264Q - ServiceMaster Company Reduce 3.46% 1,011,200 0.10
1411467D - Coca-Cola Enterprises Reduce 3.73% 165,000 0.02
BXP - BXP Inc. Reduce 4.05% 27,500 0.01
AON-W - Aon Corp Reduce 5.80% 226,500 0.07
PBG - Pepsi Bottling Group, Inc. Reduce 6.29% 441,000 0.15
ALEX - Alexander & Baldwin Co. Reduce 9.68% 240,000 0.05
WM - Waste Management Inc. Reduce 12.19% 4,291,366 1.14
DEO - Diageo ADR Reduce 12.90% 413,000 0.16
FLMIQ - Fleming Cos Reduce 15.15% 767,400 0.24
WBR - Wyndham International, Inc. Reduce 25.60% 3,955,700 0.08
3588Q - Price Legacy Corporation Reduce 33.50% 5,914,380 0.11
HRH - Hilb, Rogal & Hamilton Co. Reduce 40.02% 642,400 0.24
AW - Allied Waste Industries, Inc. Reduce 55.55% 3,020,800 0.49
GIS - General Mills Reduce 81.89% 1,494,600 0.57
PGE - Prime Group Realty Trust Sell 100.00% 2,745,300 0.32
GTY - Getty Realty Corp. Sell 100.00% 1,598,500 0.26
IVV - Ishares Core S&P 500 ETF Sell 100.00% 93,200 0.10
Q2 2001
2844270Q - Thomas Industries Reduce 0.11% 2,200 0.00
9489 - A T & T Corp Reduce 0.25% 72,000 0.01
528622Q - Georgia Pacific Corp Timber Gr Reduce 0.28% 55,000 0.01
PXD - Pioneer Natural Resources Co. Reduce 0.38% 100,000 0.01
TZH - Trizec Hahn Reduce 0.68% 217,000 0.03
HST - Host Marriott Corporation Reduce 0.84% 333,709 0.03
SKS - Saks, Inc. Reduce 0.90% 242,000 0.03
AET - Aetna US Healthcare Reduce 0.99% 85,000 0.03
DEO - Diageo ADR Reduce 1.02% 33,000 0.01
MAR - Marriott Int'l. Reduce 1.06% 240,000 0.08
KRI - Knight Ridder Reduce 1.29% 114,000 0.05
GTY - Getty Realty Corp. Reduce 1.39% 22,500 0.00
3017264Q - ServiceMaster Company Reduce 1.58% 470,000 0.05
RYN - Rayonier Inc. Reduce 1.63% 86,100 0.03
AON-W - Aon Corp Reduce 2.03% 81,000 0.02
GIS - General Mills Reduce 2.41% 45,000 0.02
HRH - Hilb, Rogal & Hamilton Co. Reduce 3.27% 54,200 0.02
ALEX - Alexander & Baldwin Co. Reduce 3.43% 88,000 0.02
3588Q - Excel Legacy Corp. Reduce 5.54% 1,035,000 0.02
WM - Waste Management Inc. Reduce 14.78% 6,105,500 1.30
PGE - Prime Group Realty Trust Reduce 19.54% 666,500 0.08
PBG - Pepsi Bottling Group, Inc. Reduce 28.98% 2,859,210 0.93
FLMIQ - Fleming Cos Reduce 33.68% 2,572,300 0.56
PCL - Plum Creek Timber Co., Inc. Reduce 81.51% 176,300 0.03
DBRSY - DeBeers Consolidated Mines - A Sell 100.00% 15,728,000 5.19
GOU - Gulf Canada Resources Ltd Sell 100.00% 32,754,860 1.54
1024170Q - Scott Technologies, Inc Sell 100.00% 2,504,900 0.48
3540250Q - Sea Containers Ltd Class A Sell 100.00% 621,000 0.10
RAL - Ralliant Corp. Sell 100.00% 338,700 0.09
Q1 2001
RYN - Rayonier Inc. Reduce 0.25% 13,000 0.00
PGE - Prime Group Realty Trust Reduce 0.63% 21,600 0.00
0910150D - Hilton Hotels Corp Reduce 0.98% 719,976 0.06
AW - Allied Waste Industries, Inc. Reduce 1.11% 61,000 0.01
9489 - A T & T Corp Reduce 1.35% 393,700 0.06
SKS - Saks, Inc. Reduce 1.53% 418,100 0.03
TZH - Trizec Hahn Reduce 1.53% 494,000 0.06
MAR - Marriott Int'l. Reduce 1.78% 411,200 0.14
3017264Q - ServiceMaster Company Reduce 2.37% 720,900 0.07
HST - Host Marriott Corporation Reduce 2.66% 1,091,726 0.11
DEO - Diageo ADR Reduce 2.77% 92,000 0.03
WM - Waste Management Inc. Reduce 3.30% 1,411,425 0.32
DBRSY - DeBeers Consolidated Mines - A Reduce 3.94% 645,600 0.14
KRI - Knight Ridder Reduce 4.67% 433,500 0.20
528622Q - Georgia Pacific Corp Timber Gr Reduce 5.10% 1,055,900 0.26
GIS - General Mills Reduce 10.05% 209,000 0.08
DEL - Deltic Timber Corp Reduce 11.25% 250,000 0.05
HRH - Hilb, Rogal & Hamilton Co. Reduce 13.30% 254,600 0.08
ALEX - Alexander & Baldwin Co. Reduce 24.77% 845,500 0.18
1367506D - Forest City Enterprises, Inc. Reduce 25.93% 53,378 0.02
GOU - Gulf Canada Resources Ltd Reduce 26.75% 11,962,100 0.49
RAL - Ralliant Corp. Reduce 91.09% 3,461,600 0.74
46986Q - Canadian Pacific Ltd. Sell 100.00% 17,303,700 4.01
3253Q - Aetna US Healthcare Sell 100.00% 8,691,000 2.89
WCLX - Wisconsin Central Transportati Sell 100.00% 7,088,500 0.87
VRES - VICORP Restaurants Sell 100.00% 1,279,900 0.18
CGGIQ - Carbide/Graphite Group Sell 100.00% 1,720,000 0.03
Q4 2000
Y - Alleghany Corp Reduce 0.01% 100 0.00
GIS - General Mills Reduce 0.05% 1,000 0.00
PXD - Pioneer Natural Resources Co. Reduce 0.16% 41,000 0.01
TZH - Trizec Hahn Reduce 0.22% 72,500 0.01
MAR - Marriott Int'l. Reduce 0.41% 94,700 0.03
RYN - Rayonier Inc. Reduce 0.47% 25,000 0.01
SKS - Saks, Inc. Reduce 0.47% 128,900 0.01
528622Q - Georgia Pacific Corp Timber Gr Reduce 1.10% 230,600 0.06
CGGIQ - Carbide/Graphite Group Reduce 1.15% 20,000 0.00
HST - Host Marriott Corporation Reduce 1.39% 578,353 0.06
HRH - Hilb, Rogal & Hamilton Co. Reduce 2.12% 41,400 0.02
WCLX - Wisconsin Central Transportati Reduce 3.41% 250,000 0.02
GOU - Gulf Canada Resources Ltd Reduce 7.23% 3,484,000 0.17
DEO - Diageo ADR Reduce 7.91% 285,827 0.09
MNY - The MONY Group, Inc. Reduce 8.10% 157,900 0.06
AON-W - Aon Corp Reduce 15.06% 707,330 0.25
PBG - Pepsi Bottling Group, Inc. Reduce 16.25% 1,865,090 0.50
ALEX - Alexander & Baldwin Co. Reduce 17.49% 723,800 0.17
46986Q - Canadian Pacific Ltd. Reduce 17.59% 3,693,246 0.85
BXP - BXP Inc. Reduce 20.02% 170,000 0.06
WM - Waste Management Inc. Reduce 25.83% 14,876,498 2.31
RAL - Ralliant Corp. Reduce 41.04% 2,645,000 0.56
271804Q - Agribrands International, Inc. Sell 100.00% 1,159,784 0.45
AME - Ametek Inc. Sell 100.00% 1,788,240 0.34
Q3 2000
RAL - Ralliant Corp. Reduce 0.06% 4,000 0.00
PXD - Pioneer Natural Resources Co. Reduce 0.07% 18,500 0.00
AW - Allied Waste Industries, Inc. Reduce 0.09% 5,000 0.00
HST - Host Marriott Corporation Reduce 0.14% 58,396 0.01
46986Q - Canadian Pacific Ltd. Reduce 0.23% 49,400 0.01
PBG - Pepsi Bottling Group, Inc. Reduce 0.25% 29,000 0.01
DEO - Diageo ADR Reduce 0.41% 15,000 0.01
DEL - Deltic Timber Corp Reduce 0.54% 12,000 0.00
KRI - Knight Ridder Reduce 0.64% 57,200 0.03
MAR - Marriott Int'l. Reduce 0.86% 200,500 0.07
0910150D - Hilton Hotels Corp Reduce 2.31% 1,685,706 0.15
NMG/B - Neiman Marcus Group Class B Reduce 3.20% 70,000 0.02
ALEX - Alexander & Baldwin Co. Reduce 4.27% 184,500 0.04
WCLX - Wisconsin Central Transportati Reduce 7.22% 570,800 0.07
MNY - The MONY Group, Inc. Reduce 7.29% 153,300 0.05
2844270Q - Thomas Industries Reduce 7.78% 175,000 0.03
BXP - BXP Inc. Reduce 8.51% 79,000 0.03
GOU - Gulf Canada Resources Ltd Reduce 15.68% 8,965,300 0.40
HRH - Hilb, Rogal & Hamilton Co. Reduce 16.33% 381,700 0.12
AON-W - Aon Corp Reduce 23.35% 1,430,800 0.42
TXI - Texas Industries Reduce 26.57% 72,700 0.02
NMG/A - Neiman-Marcus Group Reduce 38.02% 333,600 0.09
AME - Ametek Inc. Reduce 45.44% 1,489,500 0.25
RLI - RLI Corp. Reduce 57.98% 152,900 0.05
CTO - CTO Realty Growth Inc. Reduce 75.74% 78,008 0.01
NA - Nabisco Holdings Corp. Class A Sell 100.00% 4,090,300 2.01
PGOG - Perrigo Co Sell 100.00% 4,038,200 0.24
PMRE - Prime Retail, Inc. Sell 100.00% 4,697,800 0.05
CLJ - Crestline Capital Sell 100.00% 115,100 0.02
RBN - Robbins & Myers Sell 100.00% 62,800 0.01
SKLNQ - Safety-Kleen Corp Sell 100.00% 313,000 0.00
Q2 2000
271804Q - Agribrands International, Inc. Reduce 0.11% 1,200 0.00
GOU - Gulf Canada Resources Ltd Reduce 0.28% 160,000 0.01
Y - Alleghany Corp Reduce 0.40% 3,014 0.01
PXD - Pioneer Natural Resources Co. Reduce 0.47% 124,000 0.01
528622Q - Georgia Pacific Corp Timber Gr Reduce 0.61% 128,000 0.03
MNY - The MONY Group, Inc. Reduce 0.85% 18,000 0.01
0910150D - Hilton Hotels Corp Reduce 0.96% 705,366 0.05
3588Q - Excel Legacy Corp. Reduce 1.45% 60,000 0.00
3253Q - Aetna, Inc. Reduce 1.68% 141,000 0.08
DEO - Diageo ADR Reduce 2.00% 74,100 0.02
FDX - FedEx Corp. Reduce 2.37% 409,935 0.16
HST - Host Marriott Corporation Reduce 2.48% 1,058,330 0.09
KRI - Knight Ridder Reduce 3.64% 339,924 0.17
RYN - Rayonier Inc. Reduce 4.14% 229,500 0.11
HRH - Hilb, Rogal & Hamilton Co. Reduce 4.46% 109,000 0.03
USI-W - U. S. Industries Reduce 5.68% 377,300 0.04
46986Q - Canadian Pacific Ltd. Reduce 6.24% 1,400,300 0.31
AME - Ametek Inc. Reduce 16.19% 633,200 0.12
PGOG - Perrigo Co Reduce 18.58% 921,600 0.07
ALEX - Alexander & Baldwin Co. Reduce 25.55% 1,483,100 0.30
BXP - BXP Inc. Reduce 50.96% 964,400 0.30
NA - Nabisco Holdings Corp. Class A Reduce 54.05% 4,810,800 1.52
RBN - Robbins & Myers Reduce 87.85% 454,200 0.11
CLJ - Crestline Capital Reduce 90.11% 1,048,780 0.18
SKLNQ - Safety-Kleen Corp Reduce 95.27% 6,297,600 0.08
PIOG - Pioneer Group Sell 100.00% 4,689,100 1.07
2302427Q - United Asset Management Sell 100.00% 1,868,000 0.32
CSX - CSX Corp. Sell 100.00% 464,300 0.11
CKECQ - Carmike Cinemas, Inc. 'A' Sell 100.00% 920,400 0.05
HLGAF - Hollinger, Inc. Sell 100.00% 268,300 0.02
Q1 2000
271804Q - Agribrands International, Inc. Reduce 0.13% 1,500 0.00
0910150D - Hilton Hotels Corp Reduce 0.50% 372,315 0.04
PXD - Pioneer Natural Resources Co. Reduce 0.74% 198,000 0.02
2323070Q - General Motors Reduce 0.86% 74,000 0.06
HST - Host Marriott Corporation Reduce 1.91% 832,477 0.08
3588Q - Excel Legacy Corp. Reduce 2.22% 94,100 0.00
HRH - Hilb, Rogal & Hamilton Co. Reduce 2.26% 56,500 0.02
528622Q - Georgia Pacific Corp Timber Gr Reduce 2.45% 529,100 0.15
KRI - Knight Ridder Reduce 2.62% 251,617 0.17
CLJ - Crestline Capital Reduce 3.51% 42,300 0.01
PIOG - Pioneer Group Reduce 4.15% 202,800 0.04
RYN - Rayonier Inc. Reduce 4.70% 273,000 0.15
GOU - Gulf Canada Resources Ltd Reduce 5.22% 3,158,000 0.12
WM - Waste Management Inc. Reduce 6.77% 4,153,800 0.79
ALEX - Alexander & Baldwin Co. Reduce 9.00% 573,997 0.15
MNY - The MONY Group, Inc. Reduce 9.92% 233,500 0.08
46986Q - Canadian Pacific Ltd. Reduce 11.39% 2,885,854 0.69
NMG/B - Neiman Marcus Group Class B Reduce 19.73% 523,600 0.16
PGOG - Perrigo Co Reduce 38.02% 3,043,100 0.27
CKECQ - Carmike Cinemas, Inc. 'A' Reduce 52.56% 1,019,600 0.09
HLGAF - Hollinger, Inc. Reduce 58.05% 371,200 0.04
BXP - BXP Inc. Reduce 64.87% 3,493,900 1.21
CSX - CSX Corp. Reduce 88.21% 3,474,600 1.22
MDS - Midas, Inc. Sell 100.00% 1,919,795 0.47
Q4 1999
ALEX - Alexander & Baldwin Co. Reduce 0.09% 6,000 0.00
Y - Alleghany Corp Reduce 0.29% 2,098 0.00
PIOG - Pioneer Group Reduce 0.65% 32,200 0.01
KRI - Knight Ridder Reduce 0.96% 92,804 0.06
RYN - Rayonier Inc. Reduce 1.04% 61,000 0.03
2302427Q - United Asset Management Reduce 1.06% 20,000 0.00
HRH - Hilb, Rogal & Hamilton Co. Reduce 1.61% 41,000 0.01
3588Q - Excel Legacy Corp. Reduce 1.96% 85,000 0.00
AW - Allied Waste Industries, Inc. Reduce 2.05% 115,000 0.01
USG - USG Corporation Reduce 2.14% 17,000 0.01
DBRSY - DeBeers Consolidated Mines - A Reduce 2.55% 258,000 0.08
BXP - BXP Inc. Reduce 3.32% 184,700 0.06
271804Q - Agribrands International, Inc. Reduce 12.62% 164,200 0.09
CLJ - Crestline Capital Reduce 64.67% 2,207,970 0.50
554254Q - Promus Hotel Sell 100.00% 11,289,500 4.07
829461Q - Orion Capital Sell 100.00% 1,086,600 0.57
331563Q - Franchise Mortgage Acceptance Sell 100.00% 3,720,300 0.29
FHCC - First Health Group Corp Sell 100.00% 984,300 0.24
ATF - Uts Eif At&t Sell 100.00% 1,200 0.00
Q3 1999
271804Q - Agribrands International, Inc. Reduce 0.27% 3,500 0.00
DEL - Deltic Timber Corp Reduce 0.31% 6,900 0.00
MDS - Midas, Inc. Reduce 0.43% 8,250 0.00
RYN - Rayonier Inc. Reduce 0.44% 26,000 0.02
KRI - Knight Ridder Reduce 1.07% 104,600 0.07
ALEX - Alexander & Baldwin Co. Reduce 1.27% 82,000 0.02
DBRSY - DeBeers Consolidated Mines - A Reduce 2.03% 210,000 0.06
BXP - BXP Inc. Reduce 2.22% 126,300 0.05
CLJ - Crestline Capital Reduce 14.43% 575,670 0.12
FHCC - First Health Group Corp Reduce 36.99% 577,800 0.15
829461Q - Orion Capital Reduce 59.92% 1,624,200 0.70
3196Q - Red Roof Inns. Inc. Sell 100.00% 2,417,400 0.52
MTN - Vail Resorts Inc. Sell 100.00% 367,800 0.08
574709Q - Supertel Hospitality Sell 100.00% 173,546 0.03
571300Q - GTE Corp Sell 100.00% 9,764 0.01
Q2 1999
DEL - Deltic Timber Corp Reduce 0.09% 2,100 0.00
RYN - Rayonier Inc. Reduce 0.10% 6,000 0.00
BXP - BXP Inc. Reduce 0.11% 6,000 0.00
PIOG - Pioneer Group Reduce 0.16% 8,000 0.00
WM - Waste Management Inc. Reduce 0.50% 71,174 0.04
CLJ - Crestline Capital Reduce 0.52% 20,900 0.00
ALEX - Alexander & Baldwin Co. Reduce 0.81% 53,000 0.01
KRI - Knight Ridder Reduce 1.20% 118,900 0.08
HST - Host Marriott Corporation Reduce 1.23% 513,831 0.08
USI-W - U. S. Industries Reduce 2.23% 90,800 0.02
USG - USG Corporation Reduce 3.05% 25,000 0.02
MDS - Midas, Inc. Reduce 10.53% 227,000 0.10
571300Q - GTE Corp Reduce 37.43% 5,842 0.00
RBN - Robbins & Myers Reduce 53.76% 601,100 0.14
574709Q - Supertel Hospitality Reduce 56.20% 222,700 0.03
291784Q - Seagram Co. Ltd Sell 100.00% 9,581,500 6.49
ARE - Alexandria RE Equities Inc. Sell 100.00% 447,300 0.16
PYD - Prepaid Legal Sell 100.00% 32,355 0.01
TSS - Total Systems Sell 100.00% 48,000 0.01