Martin Whitman - Third Avenue Management
Period:    Q1 2026
Portfolio date:    31 Mar 2026
No. of stocks:    53
Portfolio value:    $616,036,133
Holdings Activity Buys Sells    History
Holding/activity history for  Brookfield Corp. (BN)
Period Shares % of Portfolio Activity % Change to Portfolio Reported Price Value Filing
2026   Q1 481,495 3.16 Reduce 12.16% 0.56 $40.47 $19,486,103 SEC
2025   Q4 548,119 4.57 Add 44.91% 1.42 $45.89 $25,153,181 SEC
2025   Q3 378,249 4.82 $67.88 $25,675,542 SEC
2025   Q2 378,249 4.82 $61.85 $23,394,701 SEC
2025   Q1 378,249 3.98 Reduce 3.38% 0.15 $52.41 $19,824,030 SEC
2024   Q4 391,478 4.35 Reduce 13.92% 0.55 $57.45 $22,490,411 SEC
2024   Q3 454,794 3.95 Reduce 6.14% 0.21 $53.15 $24,172,301 SEC
2024   Q2 484,530 3.45 Reduce 0.01% <0.01 $41.54 $20,127,376 SEC
2024   Q1 484,572 3.24 Reduce 0.76% 0.02 $41.87 $20,289,030 SEC
2023   Q4 488,274 3.22 Reduce 6.16% 0.17 $40.12 $19,589,553 SEC
2023   Q3 520,352 2.80 Reduce 0.15% <0.01 $32.08 $16,692,892 SEC
2023   Q2 521,123 2.89 Reduce 0.02% <0.01 $33.65 $17,535,789 SEC
2023   Q1 521,226 2.90 Add 0.11% <0.01 $32.59 $16,986,755 SEC
2022   Q4 520,642 2.85 Buy 2.85 $31.46 $16,379,397 SEC