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  Teleflex (TFX)
Period Shares % of Portfolio Activity % Change to Portfolio Reported Price Value Filing
2017   Q2 0 0.00 Sell 100.00% 0.21 SEC
2017   Q1 23,007 0.21 $193.72 $4,457,000 SEC
2016   Q4 23,007 0.17 Reduce 0.41% <0.01 $161.17 $3,708,000 SEC
2016   Q3 23,102 0.18 Reduce 33.51% 0.09 $168.04 $3,882,000 SEC
2016   Q2 34,743 0.28 Reduce 9.66% 0.02 $177.30 $6,160,000 SEC
2016   Q1 38,457 0.24 Reduce 16.32% 0.03 $157.01 $6,038,000 SEC
2015   Q4 45,957 0.20 Reduce 18.03% 0.04 $131.45 $6,041,000 SEC
2015   Q3 56,069 0.20 $124.20 $6,964,000 SEC
2015   Q2 56,069 0.20 $135.46 $7,595,000 SEC
2015   Q1 56,069 0.18 $120.83 $6,775,000 SEC
2014   Q4 56,069 0.17 Reduce 67.98% 0.28 $114.82 $6,438,000 SEC
2014   Q3 175,094 0.41 Reduce 35.26% 0.21 $105.04 $18,392,000 SEC
2014   Q2 270,465 0.59 Reduce 26.84% 0.22 $105.60 $28,561,000 SEC
2014   Q1 369,692 0.81 $107.24 $39,646,000 SEC
2013   Q4 369,692 0.68 Reduce 33.72% 0.32 $93.86 $34,699,000 SEC
2013   Q3 557,733 0.94 Add 14.72% 0.12 $82.28 $45,890,000 SEC
2013   Q2 486,168 0.79 Reduce 43.37% $77.49 $37,673,000 SEC
2012   Q2 858,476 0.00 Add 4.86% $60.91 $52,290,000 SEC
2012   Q1 818,706 1.43 Add 28.54% 0.32 $61.15 $50,064,000 SEC
2011   Q4 636,906 1.20 Add 11.29% 0.12 $61.29 $39,036,000 SEC
2011   Q3 572,312 0.94 Add 340.98% 0.73 $53.77 $30,773,000 SEC
2011   Q2 129,781 0.19 Buy 0.19 $61.06 $7,924,000 SEC