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  The RMR Group Inc. (RMR)
Period Shares % of Portfolio Activity % Change to Portfolio Reported Price Value Filing
2025   Q2 0 0.00 Sell 100.00% 0.12 SEC
2025   Q1 37,000 0.12 $16.65 $616,050 SEC
2024   Q4 37,000 0.15 $20.64 $763,680 SEC
2024   Q3 37,000 0.15 $25.38 $939,060 SEC
2024   Q2 37,000 0.14 $22.60 $836,200 SEC
2024   Q1 37,000 0.14 $24.00 $888,000 SEC
2023   Q4 37,000 0.17 $28.23 $1,044,510 SEC
2023   Q3 37,000 0.15 $24.71 $914,270 SEC
2023   Q2 37,000 0.14 Add 42.31% 0.04 $23.17 $857,290 SEC
2023   Q1 26,000 0.12 $26.24 $682,240 SEC
2022   Q4 26,000 0.13 $28.25 $734,500 SEC
2022   Q3 26,000 0.12 $23.69 $616,000 SEC
2022   Q2 26,000 0.13 Add 13.04% 0.02 $28.38 $738,000 SEC
2022   Q1 23,000 0.10 $31.13 $716,000 SEC
2021   Q4 23,000 0.10 $34.70 $798,000 SEC
2021   Q3 23,000 0.10 $33.48 $770,000 SEC
2021   Q2 23,000 0.12 Add 64.29% 0.05 $38.65 $889,000 SEC
2021   Q1 14,000 0.08 $40.86 $572,000 SEC
2020   Q4 14,000 0.08 $38.64 $541,000 SEC
2020   Q3 14,000 0.05 $27.50 $385,000 SEC
2020   Q2 14,000 0.06 $29.50 $413,000 SEC
2020   Q1 14,000 0.06 Buy 0.06 $27.00 $378,000 SEC