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  St. Joe Co. (JOE)
Period Shares % of Portfolio Activity % Change to Portfolio Reported Price Value Filing
2012   Q1 0 0.00 Sell 100.00% 0.01 SEC
2011   Q4 15,900 0.01 Buy 0.01 $14.72 $234,000 SEC
2011   Q1 0 0.00 Sell 100.00% 1.05 SEC
2010   Q4 2,174,186 1.05 Reduce 0.93% 0.01 $21.85 $47,506,000 SEC
2010   Q3 2,194,486 1.27 Reduce 2.77% 0.04 $24.87 $54,577,000 SEC
2010   Q2 2,257,086 1.36 Reduce 1.20% 0.02 $23.16 $52,274,000 SEC
2010   Q1 2,284,398 1.56 Reduce 1.79% 0.03 $32.35 $73,900,000 SEC
2009   Q4 2,325,999 1.45 Add 0.30% <0.01 $28.89 $67,198,000 SEC
2009   Q3 2,319,117 1.44 Reduce 3.30% 0.05 $29.12 $67,533,000 SEC
2009   Q2 2,398,242 1.65 Reduce 17.86% 0.26 $26.49 $63,530,000 SEC
2009   Q1 2,919,633 1.47 Buy 1.47 $16.74 $48,875,000 SEC
2008   Q4 0 0.00 Sell 100.00% 3.52 SEC
2008   Q2 492,071 3.52 Reduce 20.45% 0.72 $29,137.50 $14,337,721,000 SEC
2008   Q1 618,540 3.53 Buy 3.53 $23,293.75 $14,408,116,000 SEC
2007   Q4 0 0.00 Sell 100.00% 4.30 SEC
2007   Q3 509,722 4.30 Reduce 26.86% 1.07 $29,753.03 $15,165,776,000 SEC
2007   Q2 696,927 4.00 Reduce 7.07% 0.30 $21,579.64 $15,039,431,000 SEC
2007   Q1 749,925 4.25 Reduce 3.53% 0.12 $19,116.80 $14,336,166,000 SEC
2006   Q4 777,350 3.47 Buy 3.47 $18,667.17 $14,510,926,000 SEC
2006   Q1 0 0.00 Sell 100.00% 3.14 SEC
2005   Q4 666,982 3.14 Add 19.53% 0.51 $14,876.53 $9,922,379,000 SEC
2005   Q3 558,006 2.92 Reduce 12.41% 0.42 $16,012.80 $8,935,237,000 SEC
2005   Q2 637,032 3.40 Add 21.22% 0.60 $12,263.93 $7,812,515,000 SEC
2005   Q1 525,497 3.65 Add 6,123.32% 3.59 $14,858.84 $7,808,274,000 SEC
2004   Q4 8,444 13.31 $1,004,853,451,531.86 $8,484,982,544,735,000 SEC