Glenn Greenberg - Brave Warrior Advisors
Period:    Q1 2026
Portfolio date:    31 Mar 2026
No. of stocks:    36
Portfolio value:    $4,040,158,246
Holdings Activity Buys Sells    History
History Stock Activity Share change % change to portfolio
Q1 2026
LEN - Lennar Corp. Reduce 0.06% 1,364 0.00
BLDR - Builders FirstSource, Inc. Reduce 0.29% 6,853 0.02
AN - AutoNation, Inc. Reduce 0.32% 5,013 0.02
AM - Antero Midstream Corp. Reduce 0.44% 8,093 0.00
FG - F&G Annuities & Life, Inc. Reduce 0.44% 23,888 0.02
COF - Capital One Financial Corp. Reduce 0.45% 4,558 0.03
OMF - OneMain Holdings, Inc. Reduce 0.46% 35,986 0.06
FNF - Fidelity National Financial, Inc. Reduce 0.48% 16,876 0.02
RYAAY - Ryanair Holdings plc Reduce 0.57% 17,322 0.03
MRP - Millrose Properties, Inc. Reduce 0.98% 84,327 0.06
DHI - D.R. Horton, Inc. Reduce 1.18% 8,261 0.03
SNX - TD SYNNEX Corp. Reduce 3.46% 109,595 0.39
ELV - Elevance Health, Inc. Reduce 10.34% 129,495 1.06
MPLX - MPLX LP Reduce 27.28% 1,220,591 1.53
BAC - Bank of America Corp. Reduce 45.23% 12,000 0.01
HCA - HCA Healthcare, Inc. Reduce 66.02% 2,590 0.03
USB - U.S. Bancorp Sell 100.00% 15,000 0.02
V - Visa Inc. Sell 100.00% 618 0.01
SPGI - S&P Global Inc. Sell 100.00% 401 0.00
Q4 2025
OMF - OneMain Holdings, Inc. Reduce 0.71% 54,977 0.07
AM - Antero Midstream Corp. Reduce 0.93% 17,358 0.01
DHI - D.R. Horton, Inc. Reduce 0.97% 6,859 0.03
FNF - Fidelity National Financial, Inc. Reduce 2.75% 99,330 0.13
SNX - TD SYNNEX Corp. Reduce 3.42% 112,054 0.43
GOOGL - Alphabet Inc. Reduce 7.32% 1,600 0.01
RYAAY - Ryanair Holdings plc Reduce 25.16% 1,027,548 1.44
ELV - Elevance Health, Inc. Reduce 31.74% 582,199 4.37
KNTK - Kinetik Holdings Inc Sell 100.00% 1,608,928 1.60
ICLR - ICON Public Ltd. Co. Sell 100.00% 3,000 0.01
Q3 2025
AN - AutoNation, Inc. Reduce 0.04% 467 0.00
FG - F&G Annuities & Life, Inc. Reduce 0.07% 3,788 0.00
OMF - OneMain Holdings, Inc. Reduce 0.96% 75,815 0.10
BLDR - Builders FirstSource, Inc. Reduce 1.20% 21,880 0.06
AM - Antero Midstream Corp. Reduce 1.71% 32,446 0.01
LEN - Lennar Corp. Reduce 7.03% 151,621 0.38
PRI - Primerica, Inc. Reduce 8.62% 71,003 0.45
SNX - TD SYNNEX Corp. Reduce 13.09% 493,258 1.53
RYAAY - Ryanair Holdings plc Reduce 24.07% 1,294,843 1.71
MRP - Millrose Properties, Inc. Reduce 31.62% 2,486,098 1.63
DHI - D.R. Horton, Inc. Reduce 38.71% 447,591 1.32
ICLR - ICON Public Ltd. Co. Reduce 40.00% 2,000 0.01
COF - Capital One Financial Corp. Reduce 47.37% 868,261 4.23
UNH - UnitedHealth Group Inc. Sell 100.00% 1,499 0.01
SPGI - S&P Global Inc. Sell 100.00% 401 0.00
TXN - Texas Instruments Inc. Sell 100.00% 1,010 0.00
Q2 2025
AM - Antero Midstream Corp. Reduce 1.08% 20,752 0.01
MRP - Millrose Properties, Inc. Reduce 1.22% 97,123 0.06
FG - F&G Annuities & Life, Inc. Reduce 1.26% 66,398 0.05
PRI - Primerica, Inc. Reduce 1.28% 10,662 0.07
FNF - Fidelity National Financial, Inc. Reduce 1.32% 48,535 0.07
LEN - Lennar Corp. Reduce 1.48% 32,481 0.09
DHI - D.R. Horton, Inc. Reduce 1.59% 18,725 0.05
RYAAY - Ryanair Holdings plc Reduce 1.79% 97,800 0.09
MPLX - MPLX LP Reduce 2.04% 89,053 0.11
SNX - TD SYNNEX Corp. Reduce 7.55% 307,915 0.73
ELV - Elevance Health, Inc. Reduce 29.66% 467,917 4.66
MSFT - Microsoft Corp. Reduce 58.82% 750 0.01
DFS - Discover Finl Svcs Sell 100.00% 1,608,880 6.29
LAD - Lithia Motors, Inc. Sell 100.00% 381,889 2.57
ALLY - Ally Financial Inc. Sell 100.00% 10,000 0.01
Q1 2025
AM - Antero Midstream Corp. Reduce 0.74% 14,312 0.01
MPLX - MPLX LP Reduce 1.22% 54,068 0.06
OMF - OneMain Holdings, Inc. Reduce 1.26% 94,034 0.12
SNX - TD SYNNEX Corp. Reduce 1.70% 70,706 0.21
FG - F&G Annuities & Life, Inc. Reduce 2.06% 111,278 0.11
PRI - Primerica, Inc. Reduce 2.25% 19,210 0.13
RYAAY - Ryanair Holdings plc Reduce 2.27% 127,369 0.14
ELV - Elevance Health, Inc. Reduce 3.22% 52,407 0.48
AN - AutoNation, Inc. Reduce 22.66% 331,158 1.40
DFS - Discover Finl Svcs Reduce 36.26% 915,085 3.94
LAD - Lithia Motors, Inc. Reduce 37.66% 230,677 2.05
FNF - Fidelity National Financial, Inc. Reduce 40.84% 2,529,419 3.41
HCA - HCA Healthcare, Inc. Reduce 42.99% 1,450 0.01
Q4 2024
MPLX - MPLX LP Reduce 0.33% 14,812 0.01
LEN - Lennar Corp. Reduce 0.36% 6,675 0.03
FNF - Fidelity National Financial, Inc. Reduce 0.62% 38,598 0.05
ELV - Elevance Health, Inc. Reduce 0.70% 11,436 0.12
FG - F&G Annuities & Life, Inc. Reduce 1.02% 55,729 0.05
DHI - D.R. Horton, Inc. Reduce 2.68% 21,534 0.09
DFS - Discover Finl Svcs Reduce 26.94% 930,741 2.71
LAD - Lithia Motors, Inc. Reduce 28.32% 241,985 1.59
BAC - Bank of America Corp. Reduce 35.51% 8,000 0.01
PRI - Primerica, Inc. Reduce 41.52% 606,307 3.33
APO - Apollo Global Management, Inc. Sell 100.00% 2,277,466 5.90
DLTR - Dollar Tree, Inc. Sell 100.00% 7,126 0.01
SPGI - S&P Global Inc. Sell 100.00% 401 0.00
TXN - Texas Instruments Inc. Sell 100.00% 1,010 0.00
Q3 2024
LAD - Lithia Motors, Inc. Reduce 0.07% 621 0.00
DFS - Discover Finl Svcs Reduce 0.18% 6,266 0.02
DHI - D.R. Horton, Inc. Reduce 0.36% 2,862 0.01
AN - AutoNation, Inc. Reduce 0.71% 6,926 0.02
AM - Antero Midstream Corp. Reduce 9.15% 191,357 0.06
FG - F&G Annuities & Life, Inc. Reduce 9.81% 593,194 0.50
HCA - HCA Healthcare, Inc. Reduce 12.91% 500 0.00
UNH - UnitedHealth Group Inc. Reduce 18.20% 111 0.00
FNF - Fidelity National Financial, Inc. Reduce 18.42% 1,407,397 1.49
PRI - Primerica, Inc. Reduce 22.74% 429,842 2.25
AMZN - Amazon.com, Inc. Reduce 36.36% 800 0.00
APO - Apollo Global Management, Inc. Reduce 39.74% 1,502,235 3.93
AMAT - Applied Materials, Inc. Sell 100.00% 961 0.01
Q2 2024
DHI - D.R. Horton, Inc. Reduce 0.52% 4,213 0.01
FG - F&G Annuities & Life, Inc. Reduce 0.63% 38,519 0.03
APO - Apollo Global Management, Inc. Reduce 0.65% 24,683 0.06
ELV - Elevance Health, Inc. Reduce 0.77% 12,710 0.14
AM - Antero Midstream Corp. Reduce 2.74% 58,840 0.02
PRI - Primerica, Inc. Reduce 6.21% 125,039 0.66
AMZN - Amazon.com, Inc. Reduce 18.52% 500 0.00
FNF - Fidelity National Financial, Inc. Reduce 18.83% 1,772,438 1.90
JPM - JPMorgan Chase & Co. Reduce 99.57% 1,292,985 5.42
LPX - Louisiana-Pacific Corp. Sell 100.00% 224,598 0.39
WFC - Wells Fargo & Co. Sell 100.00% 5,250 0.01
MA - Mastercard Inc. Sell 100.00% 422 0.00
Q1 2024
FG - F&G Annuities & Life, Inc. Reduce 2.08% 129,211 0.14
LPX - Louisiana-Pacific Corp. Reduce 2.24% 5,141 0.01
AM - Antero Midstream Corp. Reduce 3.42% 76,131 0.02
FNF - Fidelity National Financial, Inc. Reduce 3.95% 387,416 0.45
PRI - Primerica, Inc. Reduce 4.67% 98,674 0.48
ELV - Elevance Health, Inc. Reduce 6.31% 110,816 1.25
LAD - Lithia Motors, Inc. Reduce 6.85% 56,481 0.44
APO - Apollo Global Management, Inc. Reduce 15.52% 698,937 1.55
JPM - JPMorgan Chase & Co. Reduce 21.59% 357,530 1.45
MSFT - Microsoft Corp. Reduce 48.78% 500 0.00
RJF - Raymond James Financial, Inc. Sell 100.00% 2,137,186 5.69
ABG - Asbury Automotive Group, Inc. Sell 100.00% 278,367 1.49
KEY - KeyCorp Sell 100.00% 10,000 0.00
Q4 2023
PRI - Primerica, Inc. Reduce 0.11% 2,280 0.01
RJF - Raymond James Financial, Inc. Reduce 0.16% 3,521 0.01
AM - Antero Midstream Corp. Reduce 0.35% 7,895 0.00
JPM - JPMorgan Chase & Co. Reduce 0.44% 7,382 0.03
FNF - Fidelity National Financial, Inc. Reduce 0.48% 47,544 0.05
LPX - Louisiana-Pacific Corp. Reduce 0.58% 1,331 0.00
LAD - Lithia Motors, Inc. Reduce 6.67% 58,926 0.43
FG - F&G Annuities & Life, Inc. Reduce 7.07% 472,822 0.33
UNH - UnitedHealth Group Inc. Reduce 14.08% 100 0.00
MSFT - Microsoft Corp. Reduce 16.33% 200 0.00
APO - Apollo Global Management, Inc. Reduce 33.68% 2,286,975 5.13
DHI - D.R. Horton, Inc. Reduce 36.57% 442,429 1.19
LEN - Lennar Corp. Reduce 43.63% 456,969 1.24
GOOG - Alphabet Inc. Reduce 45.07% 3,110 0.01
URI - United Rentals, Inc. Sell 100.00% 418,615 4.65
MCO - Moody's Corp. Sell 100.00% 3,150 0.02
BC - Brunswick Corp. Sell 100.00% 6,828 0.01
EPD - Enterprise Products Partners L.P. Sell 100.00% 10,000 0.01
FAF - First American Financial Corp. Sell 100.00% 6,000 0.01
ICLR - ICON Public Ltd. Co. Sell 100.00% 950 0.01
Q3 2023
ABG - Asbury Automotive Group, Inc. Reduce 0.47% 1,300 0.01
AM - Antero Midstream Corp. Reduce 0.85% 19,247 0.01
OMF - OneMain Holdings, Inc. Reduce 0.99% 52,999 0.06
RJF - Raymond James Financial, Inc. Reduce 1.09% 23,600 0.06
AN - AutoNation, Inc. Reduce 1.21% 1,471 0.01
PRI - Primerica, Inc. Reduce 1.31% 28,008 0.15
JPM - JPMorgan Chase & Co. Reduce 1.43% 24,178 0.09
FG - F&G Annuities & Life, Inc. Reduce 1.53% 104,242 0.07
FAF - First American Financial Corp. Reduce 6.25% 400 0.00
APO - Apollo Global Management, Inc. Reduce 13.77% 1,084,087 2.20
DHI - D.R. Horton, Inc. Reduce 15.03% 213,937 0.69
URI - United Rentals, Inc. Reduce 20.09% 105,212 1.24
LAD - Lithia Motors, Inc. Reduce 23.04% 264,351 2.12
UNH - UnitedHealth Group Inc. Reduce 35.80% 396 0.00
CMA - Comerica Inc Sell 100.00% 7,500 0.01
Q2 2023
ABG - Asbury Automotive Group, Inc. Reduce 0.13% 369 0.00
PRI - Primerica, Inc. Reduce 0.33% 7,135 0.04
APO - Apollo Global Management, Inc. Reduce 0.45% 35,755 0.07
RJF - Raymond James Financial, Inc. Reduce 0.56% 12,203 0.04
FG - F&G Annuities & Life, Inc. Reduce 0.58% 39,800 0.02
JPM - JPMorgan Chase & Co. Reduce 0.59% 10,029 0.04
GOOGL - Alphabet Inc. Reduce 5.41% 1,250 0.00
DHI - D.R. Horton, Inc. Reduce 9.92% 156,843 0.47
GOOG - Alphabet Inc. Reduce 15.34% 1,250 0.00
AMZN - Amazon.com, Inc. Reduce 15.63% 500 0.00
LEN - Lennar Corp. Reduce 17.35% 156,782 0.49
MSFT - Microsoft Corp. Reduce 27.94% 475 0.01
BC - Brunswick Corp. Reduce 44.61% 5,500 0.01
AN - AutoNation, Inc. Reduce 51.58% 129,102 0.54
FAF - First American Financial Corp. Reduce 86.64% 41,500 0.07
HCA - HCA Healthcare, Inc. Reduce 96.45% 37,279 0.31
SCHW - The Charles Schwab Corp. Sell 100.00% 5,250 0.01
Q1 2023
ABG - Asbury Automotive Group, Inc. Reduce 0.32% 901 0.01
APO - Apollo Global Management, Inc. Reduce 0.33% 25,796 0.05
OMF - OneMain Holdings, Inc. Reduce 0.36% 18,954 0.02
LEN - Lennar Corp. Reduce 0.41% 3,693 0.01
PRI - Primerica, Inc. Reduce 0.44% 9,511 0.04
URI - United Rentals, Inc. Reduce 0.45% 1,979 0.02
RJF - Raymond James Financial, Inc. Reduce 0.50% 10,941 0.04
DHI - D.R. Horton, Inc. Reduce 0.56% 8,893 0.02
JPM - JPMorgan Chase & Co. Reduce 0.67% 11,418 0.05
LAD - Lithia Motors, Inc. Reduce 1.35% 14,639 0.09
FNF - Fidelity National Financial, Inc. Reduce 1.51% 144,232 0.16
AM - Antero Midstream Corp. Reduce 1.91% 43,941 0.01
UNH - UnitedHealth Group Inc. Reduce 8.29% 100 0.00
HCA - HCA Healthcare, Inc. Reduce 90.69% 376,362 2.85
META - Meta Platforms, Inc. Sell 100.00% 1,838 0.01
Q4 2022
OMF - OneMain Holdings, Inc. Reduce 1.27% 68,547 0.07
HCA - HCA Healthcare, Inc. Reduce 1.39% 5,857 0.04
JPM - JPMorgan Chase & Co. Reduce 1.51% 26,136 0.09
PRI - Primerica, Inc. Reduce 1.75% 38,569 0.16
DHI - D.R. Horton, Inc. Reduce 1.95% 31,602 0.07
URI - United Rentals, Inc. Reduce 1.97% 8,889 0.08
LEN - Lennar Corp. Reduce 2.17% 20,096 0.05
RJF - Raymond James Financial, Inc. Reduce 2.28% 50,974 0.17
AM - Antero Midstream Corp. Reduce 2.34% 55,012 0.02
LAD - Lithia Motors, Inc. Reduce 4.55% 51,747 0.38
FNF - Fidelity National Financial, Inc. Reduce 5.53% 560,032 0.65
ELV - Elevance Health, Inc. Reduce 26.68% 317,456 4.98
UNH - UnitedHealth Group Inc. Reduce 51.09% 1,260 0.02
VVV - Valvoline Inc Sell 100.00% 5,451,901 4.78
AMZN - Amazon.com, Inc. Sell 100.00% 1,900 0.01
PHM - PulteGroup, Inc. Sell 100.00% 6,200 0.01
Q3 2022
PRI - Primerica, Inc. Reduce 0.08% 1,783 0.01
JPM - JPMorgan Chase & Co. Reduce 0.14% 2,489 0.01
DHI - D.R. Horton, Inc. Reduce 0.33% 5,441 0.01
RJF - Raymond James Financial, Inc. Reduce 0.34% 7,526 0.02
AM - Antero Midstream Corp. Reduce 1.38% 32,948 0.01
ELV - Elevance Health, Inc. Reduce 1.77% 21,405 0.35
VVV - Valvoline Inc Reduce 27.99% 2,118,695 2.10
Q2 2022
FNF - Fidelity National Financial, Inc. Reduce 0.30% 29,874 0.04
RJF - Raymond James Financial, Inc. Reduce 0.35% 7,996 0.03
MCO - Moody's Corp. Reduce 4.57% 150 0.00
VVV - Valvoline Inc Reduce 5.14% 410,574 0.38
ELV - Elevance Health, Inc. Reduce 10.49% 141,973 2.06
GOOGL - Alphabet Inc. Reduce 15.92% 1,060 0.00
UNH - UnitedHealth Group Inc. Reduce 30.65% 1,090 0.02
HCA - HCA Healthcare, Inc. Reduce 32.54% 202,662 1.50
PGR - The Progressive Corp. Reduce 99.90% 1,712,528 5.75
MA - Mastercard Inc. Sell 100.00% 569 0.01
MAR - Marriott International, Inc. Sell 100.00% 1,185 0.01
Q1 2022
ELV - Elevance Health, Inc. Reduce 0.92% 12,536 0.19
AM - Antero Midstream Corp. Reduce 1.06% 25,576 0.01
PGR - The Progressive Corp. Reduce 23.55% 528,182 1.73
GOOGL - Alphabet Inc. Reduce 41.06% 4,640 0.02
MAR - Marriott International, Inc. Reduce 63.47% 2,059 0.01
UNH - UnitedHealth Group Inc. Reduce 98.40% 218,105 3.49
AG31 - Apollo Global Mgmt Inc Sell 100.00% 3,346,129 7.72
BRK.B - Berkshire Hathaway CL B Sell 100.00% 671,870 6.40
ATH - Athene Holding Ltd Sell 100.00% 546,330 1.45
AON - Aon plc Sell 100.00% 2,732 0.03
Q4 2021
ELV - Elevance Health, Inc. Reduce 0.40% 5,477 0.07
AM - Antero Midstream Corp. Reduce 1.22% 29,675 0.01
RJF - Raymond James Financial, Inc. Reduce 1.59% 36,002 0.12
VVV - Valvoline Inc Reduce 1.61% 122,352 0.13
FNF - Fidelity National Financial, Inc. Reduce 1.73% 164,402 0.24
PGR - The Progressive Corp. Reduce 1.76% 40,264 0.13
HCA - HCA Healthcare, Inc. Reduce 1.77% 10,990 0.09
UNH - UnitedHealth Group Inc. Reduce 1.97% 4,460 0.06
BRK.B - Berkshire Hathaway CL B Reduce 1.98% 13,586 0.13
JPM - JPMorgan Chase & Co. Reduce 10.59% 177,133 1.01
AON - Aon plc Reduce 97.62% 112,133 1.12
SCHW - The Charles Schwab Corp. Sell 100.00% 707,943 1.81
META - Meta Platforms, Inc. Sell 100.00% 1,246 0.01
Q3 2021
BRK.B - Berkshire Hathaway CL B Reduce 1.58% 10,984 0.10
SCHW - The Charles Schwab Corp. Reduce 1.85% 13,350 0.03
PGR - The Progressive Corp. Reduce 2.78% 65,211 0.22
UNH - UnitedHealth Group Inc. Reduce 6.57% 15,898 0.22
RJF - Raymond James Financial, Inc. Reduce 7.03% 171,652 0.51
JPM - JPMorgan Chase & Co. Reduce 9.48% 175,212 0.94
HCA - HCA Healthcare, Inc. Reduce 20.82% 162,849 1.16
AM - Antero Midstream Corp. Reduce 27.32% 914,827 0.33
AON - Aon plc Reduce 90.81% 1,135,564 9.31
DLTR - Dollar Tree, Inc. Sell 100.00% 949,378 3.24
MA - Mastercard Inc. Sell 100.00% 558 0.01
SQSP - Squarespace Inc Sell 100.00% 6,000 0.01
Q2 2021
VVV - Valvoline Inc Reduce 0.82% 62,553 0.05
PRI - Primerica, Inc. Reduce 0.83% 15,621 0.08
ELV - Elevance Health, Inc. Reduce 1.57% 18,313 0.21
SCHW - The Charles Schwab Corp. Reduce 1.77% 12,995 0.03
PGR - The Progressive Corp. Reduce 1.78% 42,456 0.13
UNH - UnitedHealth Group Inc. Reduce 1.79% 4,411 0.05
AM - Antero Midstream Corp. Reduce 3.82% 132,851 0.04
JPM - JPMorgan Chase & Co. Reduce 15.35% 334,876 1.67
AON - Aon plc Reduce 18.23% 278,720 2.09
GOOGL - Alphabet Inc. Reduce 18.38% 2,540 0.01
RJF - Raymond James Financial, Inc. Reduce 20.44% 626,866 1.67
GOOG - Alphabet Inc. Reduce 34.16% 3,580 0.01
DLTR - Dollar Tree, Inc. Reduce 37.17% 561,533 2.10
HCA - HCA Healthcare, Inc. Reduce 42.54% 579,119 3.56
BRK.B - Berkshire Hathaway CL B Reduce 49.78% 690,386 5.76
META - Meta Platforms, Inc. Reduce 75.35% 3,809 0.04
RYAAY - Ryanair Holdings plc Sell 100.00% 203,249 0.76
AR - Antero Resources Corp. Sell 100.00% 1,500,000 0.50
CACC - Credit Acceptance Corp. Sell 100.00% 3,548 0.04
Q1 2021
BRK.B - Berkshire Hathaway CL B Reduce 0.62% 8,712 0.07
RJF - Raymond James Financial, Inc. Reduce 0.73% 22,517 0.05
RYAAY - Ryanair Holdings plc Reduce 0.84% 4,314 0.01
JPM - JPMorgan Chase & Co. Reduce 2.08% 46,309 0.22
HCA - HCA Healthcare, Inc. Reduce 16.08% 260,821 1.58
AM - Antero Midstream Corp. Reduce 35.51% 1,917,231 0.54
SCHW - The Charles Schwab Corp. Reduce 68.34% 1,584,709 3.09
META - Meta Platforms, Inc. Reduce 98.01% 248,570 2.50
GOOGL - Alphabet Inc. Reduce 98.96% 1,317,100 4.25
CACC - Credit Acceptance Corp. Reduce 99.22% 451,814 5.75
Q4 2020
PRI - Primerica, Inc. Reduce 0.17% 2,910 0.01
PGR - The Progressive Corp. Reduce 0.34% 5,588 0.02
JPM - JPMorgan Chase & Co. Reduce 0.74% 16,620 0.07
HCA - HCA Healthcare, Inc. Reduce 0.95% 15,596 0.09
RJF - Raymond James Financial, Inc. Reduce 1.85% 58,138 0.13
META - Meta Platforms, Inc. Reduce 2.45% 6,360 0.07
DLTR - Dollar Tree, Inc. Reduce 2.72% 27,254 0.11
BRK.B - Berkshire Hathaway CL B Reduce 3.93% 57,086 0.54
SCHW - The Charles Schwab Corp. Reduce 9.44% 241,694 0.39
RYAAY - Ryanair Holdings plc Reduce 9.51% 53,805 0.08
GOOGL - Alphabet Inc. Reduce 15.48% 243,680 0.80
AM - Antero Midstream Corp. Reduce 36.23% 3,066,488 0.74
CDK - Cdk Global Inc Sell 100.00% 7,847 0.02
Q3 2020
ELV - Elevance Health, Inc. Reduce 0.98% 7,541 0.10
HCA - HCA Healthcare, Inc. Reduce 1.62% 27,023 0.13
UNH - UnitedHealth Group Inc. Reduce 3.38% 5,590 0.08
RJF - Raymond James Financial, Inc. Reduce 4.58% 151,034 0.34
PGR - The Progressive Corp. Reduce 6.48% 114,677 0.46
RYAAY - Ryanair Holdings plc Reduce 8.85% 54,978 0.07
META - Meta Platforms, Inc. Reduce 26.16% 92,114 1.04
BRK.B - Berkshire Hathaway CL B Reduce 29.63% 611,554 5.43
GOOG - Alphabet Inc. Reduce 44.02% 8,240 0.03
GOOGL - Alphabet Inc. Reduce 52.23% 1,721,580 6.07
LEN - Lennar Corp. Sell 100.00% 1,208,285 3.70
DHI - D.R. Horton, Inc. Sell 100.00% 1,324,702 3.65
Q2 2020
RJF - Raymond James Financial, Inc. Reduce 1.42% 47,413 0.12
GOOGL - Alphabet Inc. Reduce 6.56% 231,420 0.77
ELV - Elevance Health, Inc. Reduce 11.88% 103,999 1.36
DHI - D.R. Horton, Inc. Reduce 19.00% 310,740 0.61
SCHW - The Charles Schwab Corp. Reduce 23.59% 443,937 0.86
LEN - Lennar Corp. Reduce 27.97% 484,649 1.03
UNH - UnitedHealth Group Inc. Reduce 37.10% 97,609 1.40
AR - Antero Resources Corp. Sell 100.00% 8,518,664 0.35
LEN.B - Lennar CL B Sell 100.00% 9,708 0.02
Q1 2020
PGR - The Progressive Corp. Reduce 0.31% 5,387 0.02
RJF - Raymond James Financial, Inc. Reduce 6.90% 248,118 0.78
GOOG - Alphabet Inc. Reduce 14.91% 3,280 0.01
GOOGL - Alphabet Inc. Reduce 24.43% 1,140,220 4.04
LEN.B - Lennar CL B Reduce 27.05% 3,787 0.01
LEN - Lennar Corp. Reduce 29.21% 715,018 2.04
MCO - Moody's Corp. Reduce 41.48% 2,218 0.03
Q4 2019
BAC - Bank of America Corp. Reduce 0.10% 14 0.00
ELV - Elevance Health, Inc. Reduce 1.68% 10,745 0.14
BRK.B - Berkshire Hathaway CL B Reduce 2.01% 30,175 0.33
LEN - Lennar Corp. Reduce 5.77% 149,906 0.43
RJF - Raymond James Financial, Inc. Reduce 6.95% 268,331 0.79
JPM - JPMorgan Chase & Co. Reduce 9.21% 186,696 1.17
DHI - D.R. Horton, Inc. Reduce 9.37% 118,204 0.33
PRI - Primerica, Inc. Reduce 18.69% 164,185 1.11
GOOGL - Alphabet Inc. Reduce 20.52% 1,205,260 3.93
MCO - Moody's Corp. Reduce 22.23% 1,528 0.02
LEN.B - Lennar CL B Reduce 28.14% 5,483 0.01
AR - Antero Resources Corp. Reduce 37.89% 4,341,641 0.70
SCHW - The Charles Schwab Corp. Reduce 45.01% 1,521,243 3.39
C - Citigroup Inc. Sell 100.00% 1,372,732 5.06
Q3 2019
DHI - D.R. Horton, Inc. Reduce 0.39% 4,977 0.01
JPM - JPMorgan Chase & Co. Reduce 0.60% 12,141 0.07
GOOGL - Alphabet Inc. Reduce 0.72% 42,560 0.12
SCHW - The Charles Schwab Corp. Reduce 0.73% 24,929 0.05
C - Citigroup Inc. Reduce 1.12% 15,586 0.06
LEN.B - Lennar CL B Reduce 2.12% 421 0.00
AR - Antero Resources Corp. Reduce 2.50% 293,974 0.09
LEN - Lennar Corp. Reduce 25.48% 888,124 2.22
AM - Antero Midstream Corp. Reduce 30.15% 201,300 0.12
LBTYK - Liberty Global Ltd. Sell 100.00% 4,665,619 6.58
META - Meta Platforms, Inc. Sell 100.00% 577,756 5.93
FTDR - Frontdoor, Inc. Sell 100.00% 41,368 0.10
Q2 2019
RJF - Raymond James Financial, Inc. Reduce 1.09% 40,058 0.11
DHI - D.R. Horton, Inc. Reduce 1.23% 15,813 0.03
JPM - JPMorgan Chase & Co. Reduce 1.44% 29,719 0.15
SCHW - The Charles Schwab Corp. Reduce 1.54% 53,087 0.11
AR - Antero Resources Corp. Reduce 1.58% 188,116 0.08
C - Citigroup Inc. Reduce 2.01% 28,435 0.09
GOOG - Alphabet Inc. Reduce 2.31% 520 0.00
GOOGL - Alphabet Inc. Reduce 6.01% 378,180 1.12
LEN - Lennar Corp. Reduce 7.22% 271,339 0.65
LBTYK - Liberty Global Ltd. Reduce 11.80% 1,192,125 0.76
META - Meta Platforms, Inc. Reduce 31.07% 260,418 2.18
PRI - Primerica, Inc. Reduce 39.75% 500,423 3.07
BFH - Bread Financial Holdings, Inc. Sell 100.00% 1,126,962 9.91
LBTYA - Liberty Global Ltd. Sell 100.00% 232,019 0.29
Q1 2019
META - Meta Platforms, Inc. Reduce 0.48% 4,063 0.03
LBTYA - Liberty Global Ltd. Reduce 4.19% 19,713 0.01
PRI - Primerica, Inc. Reduce 8.08% 110,643 0.55
LBTYK - Liberty Global Ltd. Reduce 10.26% 1,154,559 0.63
BFH - Bread Financial Holdings, Inc. Reduce 35.33% 771,461 4.70
SCHW - The Charles Schwab Corp. Reduce 42.25% 2,529,765 5.34
NLSN - Nielsen Hldgs Plc Sell 100.00% 2,579,186 3.06
RRC - Range Resources Corp. Sell 100.00% 171,549 0.08
571 - Antero Midstream Gp LP Sell 100.00% 90,000 0.05
Q4 2018
AR - Antero Resources Corp. Reduce 0.29% 32,345 0.02
LBTYA - Liberty Global Ltd. Reduce 2.54% 12,263 0.01
PRI - Primerica, Inc. Reduce 5.70% 82,746 0.43
NLSN - Nielsen Hldgs Plc Reduce 11.04% 320,240 0.38
C - Citigroup Inc. Reduce 14.15% 196,397 0.60
LBTYK - Liberty Global Ltd. Reduce 14.62% 1,927,048 1.21
HCA - HCA Healthcare, Inc. Sell 100.00% 3,896 0.02
Q3 2018
LBTYA - Liberty Global Ltd. Reduce 0.72% 3,492 0.00
GOOGL - Alphabet Inc. Reduce 1.89% 116,140 0.27
PRI - Primerica, Inc. Reduce 7.97% 125,727 0.51
LBTYK - Liberty Global Ltd. Reduce 20.90% 3,484,560 1.99
NLSN - Nielsen Hldgs Plc Reduce 55.58% 3,627,705 4.60
HCA - HCA Healthcare, Inc. Reduce 99.86% 2,706,488 11.37
ESRX - Express Scripts Hldg Co Sell 100.00% 1,249,627 3.95
Q2 2018
LBTYA - Liberty Global Ltd. Reduce 0.43% 2,098 0.00
HCA - HCA Healthcare, Inc. Reduce 0.44% 11,974 0.05
SCHW - The Charles Schwab Corp. Reduce 0.63% 36,923 0.08
AR - Antero Resources Corp. Reduce 0.70% 77,304 0.07
CMCSA - Comcast Corp. Reduce 2.41% 819 0.00
NLSN - Nielsen Hldgs Plc Reduce 12.30% 915,370 1.28
BAM.A - Brookfield Asset Mgmt Inc Sell 100.00% 2,557,509 4.38
Q1 2018
AR - Antero Resources Corp. Reduce 0.50% 55,498 0.04
CMCSA - Comcast Corp. Reduce 1.03% 355 0.00
LBTYA - Liberty Global Ltd. Reduce 1.71% 8,490 0.01
HCA - HCA Healthcare, Inc. Reduce 6.31% 183,419 0.69
SCHW - The Charles Schwab Corp. Reduce 7.04% 444,639 0.97
LBTYK - Liberty Global Ltd. Reduce 8.13% 1,085,845 0.82
JPM - JPMorgan Chase & Co. Reduce 17.73% 321,113 1.46
BAM.A - Brookfield Asset Mgmt Inc Reduce 33.44% 1,285,184 2.38
9ST - Sensata Technologies Hldg NV Sell 100.00% 1,640,438 3.57
IQV - IQVIA Holdings Inc. Sell 100.00% 482,866 2.02
ESRX - Express Scripts Hldg Co Sell 100.00% 7,080 0.02
Q4 2017
LBTYA - Liberty Global Ltd. Reduce 0.42% 2,071 0.00
HCA - HCA Healthcare, Inc. Reduce 0.43% 12,496 0.05
BAM.A - Brookfield Asset Mgmt Inc Reduce 0.59% 22,688 0.05
AR - Antero Resources Corp. Reduce 1.15% 128,495 0.13
9ST - Sensata Technologies Hldg NV Reduce 1.38% 23,027 0.06
PRI - Primerica, Inc. Reduce 5.90% 87,628 0.36
JPM - JPMorgan Chase & Co. Reduce 10.49% 212,187 1.03
SCHW - The Charles Schwab Corp. Reduce 11.52% 823,096 1.82
AXTA - Axalta Coating Systems Ltd. Sell 100.00% 3,764,629 5.51
Q3 2017
SCHW - The Charles Schwab Corp. Reduce 2.18% 159,283 0.32
PRI - Primerica, Inc. Reduce 2.19% 33,248 0.12
AXTA - Axalta Coating Systems Ltd. Reduce 2.46% 95,062 0.14
AR - Antero Resources Corp. Reduce 2.50% 287,024 0.29
LBTYA - Liberty Global Ltd. Reduce 3.77% 19,515 0.02
HCA - HCA Healthcare, Inc. Reduce 5.26% 162,074 0.67
BAM.A - Brookfield Asset Mgmt Inc Reduce 17.60% 825,567 1.53
9ST - Sensata Technologies Hldg NV Reduce 42.84% 1,246,765 2.51
SVW - Servicemaster Global Hldgs I Sell 100.00% 1,923,916 3.55
JPM.WS - Jpmorgan Chase & Co Sell 100.00% 1,083,231 2.57
TDW - Tidewater Inc. Sell 100.00% 19,625 0.00
Q2 2017
HCA - HCA Healthcare, Inc. Reduce 0.57% 17,636 0.07
JPM - JPMorgan Chase & Co. Reduce 0.88% 14,856 0.06
9ST - Sensata Technologies Hldg NV Reduce 1.26% 37,244 0.08
PRI - Primerica, Inc. Reduce 2.66% 41,525 0.16
SCHW - The Charles Schwab Corp. Reduce 4.57% 349,347 0.68
AXTA - Axalta Coating Systems Ltd. Reduce 12.28% 540,357 0.83
JPM.WS - Jpmorgan Chase & Co Reduce 15.75% 202,489 0.45
BAM.A - Brookfield Asset Mgmt Inc Reduce 29.32% 1,946,029 3.39
LBTYA - Liberty Global Ltd. Reduce 75.77% 1,619,436 1.43
ESRX - Express Scripts Hldg Co Sell 100.00% 1,413,775 4.45
1LGE - Liberty Global Plc Sell 100.00% 1,832,210 2.02
1LGD - Liberty Global Plc Sell 100.00% 151,916 0.16
T - AT&T Inc. Sell 100.00% 4,994 0.01
Q1 2017
LBTYK - Liberty Global Ltd. Reduce 0.41% 53,259 0.04
BAM.A - Brookfield Asset Mgmt Inc Reduce 0.70% 46,691 0.07
9ST - Sensata Technologies Hldg NV Reduce 0.86% 25,619 0.05
AXTA - Axalta Coating Systems Ltd. Reduce 0.98% 43,328 0.06
PRI - Primerica, Inc. Reduce 2.99% 48,070 0.16
LBTYA - Liberty Global Ltd. Reduce 4.83% 108,512 0.08
SCHW - The Charles Schwab Corp. Reduce 6.74% 553,078 1.04
HCA - HCA Healthcare, Inc. Reduce 14.37% 519,768 1.83
JPM.WS - Jpmorgan Chase & Co Reduce 21.61% 354,374 0.75
ESRX - Express Scripts Hldg Co Reduce 25.17% 475,542 1.56
JPM - JPMorgan Chase & Co. Reduce 33.91% 868,102 3.57
CMPR - Cimpress N V Sell 100.00% 31,697 0.14
LVNTB - Liberty Interactive Corp Sell 100.00% 54,767 0.10
Q4 2016
1LGD - Liberty Global Plc Reduce 0.06% 86 0.00
LBTYA - Liberty Global Ltd. Reduce 2.18% 50,060 0.04
9ST - Sensata Technologies Hldg NV Reduce 3.64% 112,281 0.21
JPM - JPMorgan Chase & Co. Reduce 5.15% 139,095 0.45
SCHW - The Charles Schwab Corp. Reduce 10.49% 961,949 1.47
PRI - Primerica, Inc. Reduce 41.10% 1,121,963 2.88
JPM.WS - Jpmorgan Chase & Co Reduce 62.64% 2,749,730 3.28
CMPR - Cimpress N V Reduce 98.28% 1,810,490 8.86
Q3 2016
AXTA - Axalta Coating Systems Ltd. Reduce 0.52% 15,822 0.02
AR - Antero Resources Corp. Reduce 0.74% 68,710 0.10
SCHW - The Charles Schwab Corp. Reduce 1.43% 133,098 0.19
JPM.WS - Jpmorgan Chase & Co Reduce 3.90% 178,039 0.20
JPM - JPMorgan Chase & Co. Reduce 4.11% 115,807 0.40
LBTYA - Liberty Global Ltd. Reduce 6.82% 168,077 0.14
BAM.A - Brookfield Asset Mgmt Inc Reduce 8.39% 598,364 1.11
PRI - Primerica, Inc. Reduce 16.57% 542,258 1.74
CMPR - Cimpress N V Reduce 27.55% 700,387 3.62
HAL - Halliburton Co. Sell 100.00% 1,619,013 4.10
BBU - Brookfield Business Partners Sell 100.00% 135,022 0.14
Q2 2016
PRI - Primerica, Inc. Reduce 1.20% 39,685 0.09
JPM.WS - Jpmorgan Chase & Co Reduce 1.62% 75,385 0.07
SCHW - The Charles Schwab Corp. Reduce 2.66% 254,431 0.36
CMPR - Cimpress N V Reduce 25.08% 851,191 3.86
AXTA - Axalta Coating Systems Ltd. Reduce 37.39% 1,804,471 2.64
JPM - JPMorgan Chase & Co. Reduce 40.41% 1,909,193 5.66
HAL - Halliburton Co. Reduce 74.95% 4,842,845 8.66
Q1 2016
JPM.WS - Jpmorgan Chase & Co Reduce 0.25% 11,847 0.01
SCHW - The Charles Schwab Corp. Reduce 0.50% 47,639 0.08
HAL - Halliburton Co. Reduce 0.57% 37,051 0.07
JPM - JPMorgan Chase & Co. Reduce 1.02% 48,682 0.17
CMPR - Cimpress N V Reduce 13.16% 514,078 2.21
BAM.A - Brookfield Asset Mgmt Inc Reduce 22.48% 2,009,782 3.36
EQIX - Equinix, Inc. Sell 100.00% 331,660 5.32
BIP - Brookfield Infrast Partners Sell 100.00% 121,773 0.24
BPY - Brookfield Ppty Partners L P Sell 100.00% 12,500 0.02
Q4 2015
AR - Antero Resources Corp. Reduce 0.05% 1,650 0.00
JPM - JPMorgan Chase & Co. Reduce 0.86% 41,423 0.12
CMPR - Cimpress N V Reduce 3.76% 152,694 0.54
PRI - Primerica, Inc. Reduce 4.45% 138,228 0.29
BPY - Brookfield Ppty Partners L P Reduce 5.30% 700 0.00
HAL - Halliburton Co. Reduce 9.86% 711,221 1.17
EQIX - Equinix, Inc. Reduce 48.31% 309,998 3.94
MSFT - Microsoft Corp. Sell 100.00% 6,280,742 12.92
Q3 2015
JPM - JPMorgan Chase & Co. Reduce 1.22% 59,567 0.18
EQIX - Equinix, Inc. Reduce 26.91% 236,229 2.73
ESRX - Express Scripts Hldg Co Sell 100.00% 1,739,482 7.04
BHI - Baker Hughes Inc Sell 100.00% 218,044 0.61
Q2 2015
MSFT - Microsoft Corp. Reduce 0.03% 1,568 0.00
EQIX - Equinix, Inc. Reduce 0.45% 3,948 0.04
SCHW - The Charles Schwab Corp. Reduce 4.70% 431,836 0.62
CMPR - Cimpress N V Reduce 10.51% 266,381 1.07
BHI - Baker Hughes Inc Reduce 42.35% 160,200 0.48
ESRX - Express Scripts Hldg Co Reduce 50.24% 1,756,057 7.23
KMI - Kinder Morgan, Inc. Sell 100.00% 2,960,671 5.91
Q1 2015
PRI - Primerica, Inc. Reduce 10.07% 236,213 0.71
CMPR - Cimpress N V Reduce 10.52% 298,090 1.24
ESRX - Express Scripts Hldg Co Reduce 14.51% 593,113 2.79
KMI - Kinder Morgan, Inc. Reduce 29.40% 1,233,206 2.90
Q4 2014
ESRX - Express Scripts Hldg Co Reduce 17.94% 894,074 4.42
PRI - Primerica, Inc. Reduce 29.61% 986,330 3.33
KMR - Kinder Morgan Management LLC Sell 100.00% 2,398,793 15.80
Q3 2014
SCHW - The Charles Schwab Corp. Reduce 0.04% 3,228 0.01
MSFT - Microsoft Corp. Reduce 0.10% 4,947 0.01
PRI - Primerica, Inc. Reduce 0.79% 26,654 0.09
KMR - Kinder Morgan Management LLC Reduce 15.45% 438,254 2.37
ORCL - Oracle Corp. Sell 100.00% 7,888,660 21.86
HAL - Halliburton Co. Sell 100.00% 70,777 0.34
Q2 2014
PRI - Primerica, Inc. Reduce 0.54% 18,307 0.05
KMR - Kinder Morgan Management LLC Reduce 12.98% 423,076 1.92
HAL - Halliburton Co. Reduce 98.26% 4,003,714 14.92
Q1 2014
PRI - Primerica, Inc. Reduce 0.40% 13,530 0.04
SCHW - The Charles Schwab Corp. Reduce 9.37% 745,336 1.26
ESRX - Express Scripts Hldg Co Reduce 10.42% 412,381 1.88
HAL - Halliburton Co. Reduce 14.18% 673,022 2.21
CMCSK - Comcast Corp New Sell 100.00% 1,830,521 5.91
7H1 - Higher One Hldgs Inc Sell 100.00% 2,294,480 1.45
Q4 2013
SCHW - The Charles Schwab Corp. Reduce 13.63% 1,255,524 2.01
CMCSK - Comcast Corp New Reduce 32.39% 876,994 2.87
7H1 - Higher One Hldgs Inc Reduce 50.51% 2,342,054 1.36
MSI - Motorola Solutions, Inc. Sell 100.00% 668,470 3.00
Q3 2013
SCHW - The Charles Schwab Corp. Reduce 1.64% 153,242 0.25
CMCSK - Comcast Corp New Reduce 1.90% 52,356 0.16
ESRX - Express Scripts Hldg Co Reduce 19.48% 816,909 3.87
7H1 - Higher One Hldgs Inc Reduce 26.63% 1,682,791 1.50
FISV - Fiserv, Inc. Sell 100.00% 1,122,181 7.53
GGQ1 - Google Inc Sell 100.00% 77,016 5.20
Q2 2013
USB - U.S. Bancorp Sell 100.00% 1,752,227 7.55
Q1 2013
CMCSK - NAME OF ISSUER TITLE OF CLASS CUSIP (x$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE COMCAST CORP NEW CL A Reduce 17.77% 588,613 3.95
ADBE - Adobe Inc. Sell 100.00% 2,128,156 14.99
Q4 2012
CMCSK - Comcast Corp New Cl A Reduce 2.72% 92,627 0.67
ADBE - Adobe Inc. Reduce 16.66% 425,362 2.85
LAB - Standard BioTools Inc. Sell 100.00% 838,559 16.02
Q3 2012
LAB - Standard BioTools Inc. Reduce 0.44% 3,692 0.08
CMCSK - Comcast Corp New Cl A Reduce 8.88% 331,911 2.53
V - Visa Inc. Sell 100.00% 234,742 7.06
Q2 2012
LAB - Standard BioTools Inc. Reduce 5.58% 49,799 1.12
CMCSK - Comcast Corp New Cl A Reduce 12.62% 539,753 3.91
V - Visa Inc. Reduce 13.41% 145,424 1.05
AON-W - Aon Corp Sell 100.00% 1,279,957 15.41
Q1 2012
V - Visa Inc. Reduce 0.96% 10,544 0.05
CMCSK - Comcast Corp New Cl A Reduce 13.13% 646,418 3.11
AON-W - Aon Corp Reduce 15.13% 228,094 2.18
USB - U.S. Bancorp Sell 100.00% 2,959,375 16.36
MA - Mastercard Inc. Sell 100.00% 163,686 12.47
Q4 2011
LAB - Standard BioTools Inc. Reduce 5.53% 45,861 0.76
MA - Mastercard Inc. Reduce 40.23% 1,101,900 7.35
AON-W - Aon Corp Reduce 41.38% 1,064,372 9.39
WFC - Wells Fargo & Co. Sell 100.00% 1,153,577 5.85
Q3 2011
LAB - Standard BioTools Inc. Reduce 15.55% 152,818 2.53
MA - Mastercard Inc. Reduce 33.30% 1,367,280 7.05
ACGL - Arch Capital Group Ltd. Sell 100.00% 1,597,009 8.72
WLY - John Wiley & Sons, Inc. Sell 100.00% 488,322 4.35
Q2 2011
WLY - John Wiley & Sons, Inc. Reduce 0.54% 2,647 0.02
CMCSK - Comcast Corp New Cl A Reduce 5.18% 231,229 0.81
USB - U.S. Bancorp Reduce 8.33% 246,715 0.98
LAB - Standard BioTools Inc. Reduce 11.36% 125,975 1.75
MA - Mastercard Inc. Reduce 12.90% 608,080 2.31
ACGL - Arch Capital Group Ltd. Reduce 33.88% 2,454,405 4.08
6684 - Hewlett Packard Co Sell 100.00% 1,665,618 10.29
Q1 2011
LAB - Standard BioTools Inc. Reduce 15.41% 201,898 2.74
USB - U.S. Bancorp Reduce 23.56% 913,087 3.80
CMCSK - Comcast Corp New Cl A Reduce 34.86% 2,386,773 7.67
LMT - Lockheed Martin Corp. Sell 100.00% 749,488 8.09
Q4 2010
LAB - Standard BioTools Inc. Reduce 5.93% 82,661 1.10
CMCSK - Comcast Corp New Cl A Reduce 7.26% 536,005 1.55
USB - U.S. Bancorp Reduce 12.34% 545,553 2.01
LMT - Lockheed Martin Corp. Reduce 46.69% 656,406 7.96
DLCA - Dell Inc Sell 100.00% 1,852,707 4.09
CMCSA - Comcast Corp. Sell 100.00% 15,547 0.05
BAC - Bank of America Corp. Sell 100.00% 14,532 0.03
Q3 2010
CMCSK - Comcast Corp New Cl A Reduce 1.52% 114,289 0.31
ACGL - Arch Capital Group Ltd. Reduce 7.43% 488,934 0.68
LAB - Standard BioTools Inc. Reduce 9.08% 139,129 1.75
USB - U.S. Bancorp Reduce 13.73% 703,890 2.63
V - Visa Inc. Sell 100.00% 358,840 4.25
FMCC - Federal Home Ln Mtg Corp Sell 100.00% 71,965 0.01
Q2 2010
USB - U.S. Bancorp Reduce 0.95% 49,076 0.20
LAB - Standard BioTools Inc. Reduce 1.25% 19,448 0.23
CMCSK - Comcast Corp New Cl A Reduce 7.64% 619,997 1.72
LMT - Lockheed Martin Corp. Reduce 16.51% 261,744 3.37
DLCA - Dell Inc Reduce 57.92% 2,208,427 5.14
RNR - RenaissanceRe Holdings Ltd. Sell 100.00% 451,598 3.97
Q1 2010
LAB - Standard BioTools Inc. Reduce 48.73% 1,475,131 9.12
USB - U.S. Bancorp Reduce 51.86% 5,575,054 10.37
CMCSK - Comcast Corp New Cl A Reduce 52.16% 8,849,171 11.71
DLCA - Dell Inc Reduce 52.51% 4,215,186 5.00
LMT - Lockheed Martin Corp. Reduce 58.61% 2,244,505 13.98
WAT - Waters Corp. Sell 100.00% 1,063,320 5.45
Q4 2009
USB - U.S. Bancorp Reduce 30.68% 4,757,918 3.88
DLCA - Dell Inc Reduce 31.70% 3,725,527 2.12
CMCSK - NAME OF ISSUER TITLE OF CLASS CUSIP (x$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE - ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- -------- COMCAST CORP NEW CL A Reduce 31.85% 7,927,818 4.76
LMT - Lockheed Martin Corp. Reduce 32.16% 1,815,579 5.29
LAB - Standard BioTools Inc. Reduce 33.11% 1,498,306 3.67
WAT - Waters Corp. Reduce 57.49% 1,437,958 3.00
73HK - Ryanair Holdings Plc Sell 100.00% 12,461,330 13.50
VAR - Varian Med Sys Inc Sell 100.00% 6,803,610 10.70
PCP - Precision Castparts Corp Sell 100.00% 2,306,568 8.77
Q3 2009
WAT - Waters Corp. Reduce 3.74% 97,050 0.21
CMCSK - Comcast Corp New Reduce 14.46% 4,208,584 2.53
AXP - American Express Co. Sell 100.00% 9,876,961 9.77
Q2 2009
73HK - Ryanair Holdings Plc Reduce 6.91% 783,929 1.02
PCP - Precision Castparts Corp Reduce 8.21% 150,127 0.51
CMCSK - Comcast Corp New Reduce 8.23% 2,611,518 1.89
AXP - American Express Co. Reduce 12.78% 1,447,304 1.11
WAT - Waters Corp. Reduce 20.01% 649,977 1.35
LAB - Standard BioTools Inc. Reduce 25.62% 1,245,391 4.11
DLCA - Dell Inc Reduce 36.62% 6,405,062 3.42
COL - Rockwell Collins Inc Sell 100.00% 1,811,675 3.33
GD - General Dynamics Corp. Sell 100.00% 718,300 1.68
Q1 2009
DLCA - Dell Inc Reduce 7.16% 1,349,075 0.57
PCP - Precision Castparts Corp Reduce 7.87% 156,150 0.38
73HK - Ryanair Holdings Plc Reduce 11.62% 1,491,861 1.79
CMCSK - Comcast Corp New Reduce 18.82% 7,350,384 4.89
LAB - Standard BioTools Inc. Reduce 21.05% 1,295,921 3.44
ETN - Eaton Corp. plc Sell 100.00% 5,326,440 10.92
INGR - Ingredion Inc. Sell 100.00% 10,034,460 7.18
AMX - America Movil SAb De Cv Sell 100.00% 3,956,985 5.06
CMCSA - Comcast Corp. Sell 100.00% 322,735 0.22
Q4 2008
INGR - Ingredion Inc. Reduce 6.17% 659,855 0.65
73HK - Ryanair Holdings Plc Reduce 11.14% 1,608,480 1.13
ETN - Eaton Corp. plc Reduce 11.30% 1,357,140 1.20
DLCA - Dell Inc Reduce 15.88% 3,556,800 1.84
LAB - Standard BioTools Inc. Reduce 18.83% 1,428,088 3.12
CMCSK - Comcast Corp New Reduce 22.60% 11,405,706 7.08
AMX - America Movil SAb De Cv Reduce 32.65% 3,836,880 2.80
CMCSA - Comcast Corp. Reduce 69.03% 1,535,349 0.44
Q3 2008
DLCA - Dell Inc Reduce 2.42% 555,425 0.39
CMCSK - Comcast Corp New Reduce 5.52% 2,946,128 1.77
73HK - Ryanair Holdings Plc Reduce 7.45% 1,162,050 1.07
AXP - American Express Co. Sell 100.00% 2,175,050 2.62
Q2 2008
73HK - Ryanair Holdings Plc Reduce 2.12% 337,695 0.27
AMX - America Movil SAb De Cv Reduce 2.17% 177,850 0.16
INGR - Ingredion Inc. Reduce 2.23% 207,435 0.26
CMCSK - Comcast Corp New Reduce 2.99% 1,647,611 0.89
CMCSA - Comcast Corp. Reduce 75.30% 6,781,739 1.74
UNH - UnitedHealth Group Inc. Sell 100.00% 14,020,019 13.65
Q1 2008
UNH - UnitedHealth Group Inc. Reduce 0.39% 54,686 0.11
CMCSK - Comcast Corp New Reduce 2.74% 1,549,955 0.94
LAB - Standard BioTools Inc. Reduce 26.31% 2,062,483 5.19
Q4 2007
CMCSK - Comcast Corp New Reduce 4.06% 2,398,281 1.68
UNH - UnitedHealth Group Inc. Reduce 8.75% 1,349,241 1.91
NKE - NIKE, Inc. Sell 100.00% 2,706,431 4.65
Q3 2007
LAB - Standard BioTools Inc. Reduce 0.21% 15,967 0.03
NKE - NIKE, Inc. Reduce 22.75% 3,188,100 1.30
Q2 2007
NKE - NIKE, Inc. Reduce 0.31% 43,600 0.02
LAB - Standard BioTools Inc. Reduce 0.81% 61,938 0.14
Q1 2007
NKE - NIKE, Inc. Reduce 2.55% 368,000 0.15
UNH - UnitedHealth Group Inc. Reduce 18.69% 3,090,398 5.63
Q4 2006
NKE - NIKE, Inc. Reduce 0.31% 44,176 0.02
LAB - Standard BioTools Inc. Reduce 4.64% 359,805 0.82
CMCSK - Comcast Corp New Reduce 21.32% 8,663,648 11.07
Q3 2006
CMCSK - Comcast Corp New Reduce 0.68% 277,253 0.32
LAB - Standard BioTools Inc. Reduce 21.94% 2,178,842 5.57
FMCC - Federal Home Ln Mtg Corp Sell 100.00% 6,610,800 17.64
CMX - Caremark Rx Inc Sell 100.00% 2,911,980 6.26
Q1 2006
LAB - Standard BioTools Inc. Reduce 0.13% 13,282 0.03
UNH - UnitedHealth Group Inc. Reduce 1.19% 19,464 0.05
CMX - Caremark Rx Inc Reduce 69.20% 6,541,020 14.17
Q4 2005
FMCC - Federal Home Ln Mtg Corp Reduce 0.56% 30,470 0.07
CMX - Caremark Rx Inc Reduce 19.56% 2,298,275 4.84
UNH - UnitedHealth Group Inc. Reduce 57.33% 2,197,381 5.21
Q3 2005
UNH - UnitedHealth Group Inc. Reduce 8.27% 345,749 0.69
FMCC - Federal Home Ln Mtg Corp Reduce 16.98% 1,117,225 2.79
CMX - Caremark Rx Inc Reduce 33.80% 5,999,320 10.22
Q1 2005
CMCSK - Comcast Corp New Sell 100.00% 26,365,391 29.57
CMX - Caremark Rx Inc Sell 100.00% 18,518,295 24.93
UNH - UnitedHealth Group Inc. Sell 100.00% 5,783,761 17.39
LAB - Standard BioTools Inc. Sell 100.00% 8,229,361 14.00
SJR - Shaw Communications Inc Sell 100.00% 12,586,602 7.86
IRM* - Iron Mtn Inc Pa Sell 100.00% 6,001,811 6.25
Q4 2004
SJR - Shaw Communications Inc Reduce 1.29% 165,021 0.09
UNH - UnitedHealth Group Inc. Reduce 22.44% 3,346,214 4.02
LAB - Standard BioTools Inc. Reduce 34.56% 4,345,812 6.20
IRM* - Iron Mtn Inc Pa Reduce 51.60% 6,398,223 7.06
ECA - Cations Inc Encana Corp Sell 100.00% 4,040,753 6.10
Q3 2004
SJR - Shaw Communi- Reduce 0.02% 1,930 0.00
ECA - Cations Inc Encana Corp Reduce 0.45% 18,063 0.03
OHP - Oxford Health Plans Inc Sell 100.00% 6,732,817 13.16
CZN - Cations Inc Citizens Communi- Sell 100.00% 14,875,949 6.39
YCC - Yankee Candle Inc Sell 100.00% 1,242,794 1.29
Q2 2004
IRM* - Holdings Iron Mtn Inc Pa Reduce 3.01% 293,465 0.55
CZN - Cations Inc Citizens Communi- Reduce 3.72% 574,141 0.31
YCC - Yankee Candle Inc Reduce 16.44% 244,506 0.28
Q1 2004
CZN - Citizens Communi- Cations Co Reduce 12.62% 2,231,815 1.06
IRM* - Iron Mtn Inc Pa Reduce 13.07% 1,468,035 2.22
CMCSK - Comcast Corp New Reduce 14.22% 3,015,520 3.61
YCC - Yankee Candle Inc Reduce 43.92% 1,164,944 1.22
ECA - Encana Corp Reduce 46.57% 3,511,628 5.30
Q4 2003
CZN - Citizens Communi- Reduce 0.18% 32,345 0.02
YCC - Yankee Candle Inc Reduce 65.76% 5,092,850 6.17
HMA - Health Mgmt Assoc Inc New Sell 100.00% 483,850 0.50
Q2 2003
IRM* - Iron Mtn Inc Pa Sell 100.00% 12,575,919 22.73
LAB - Standard BioTools Inc. Sell 100.00% 13,531,687 17.22
ECA - Encana Corp Sell 100.00% 9,643,651 16.42
SJR - Shaw Communi- Cations Inc Sell 100.00% 26,896,973 15.14
CMCSK - Comcast Corp New Sell 100.00% 11,447,955 14.16
CZN - Citizens Communi- Cations Co Sell 100.00% 16,072,575 9.28
YCC - Yankee Candle Inc Sell 100.00% 5,540,944 4.85
NHL - Newhall Land & Farming Co Ca Sell 100.00% 127,900 0.20
Q4 2002
YCC - Yankee Candle Inc Reduce 1.23% 69,171 0.09
IRM* - Iron Mtn Inc Pa Reduce 1.73% 221,756 0.44
ECA - Encana Corp Reduce 2.11% 207,553 0.49
SJR - Shaw Communi- Cations Inc Reduce 7.11% 2,057,208 1.35
CZN - Citizens Communi- Cations Co Reduce 9.41% 1,670,375 0.89
NHL - Newhall Land & Farming Co Ca Reduce 43.85% 99,900 0.19
Q3 2002
NHL - Newhall Land And Farming Co Cal Reduce 3.39% 8,000 0.02
SJR - Shaw Communi- Cations Inc Reduce 5.19% 1,585,875 1.21
ECA - Encana Corp Reduce 40.01% 6,568,878 13.71
Q2 2002
YCC - Yankee Candle Inc Reduce 14.28% 917,425 1.38
735553Q - Alberta Energy Ltd Sell 100.00% 11,309,126 32.24
Q1 2002
SJR - Shaw Communi- Cations Inc Reduce 0.75% 222,600 0.27
YCC - Yankee Candle Inc Reduce 21.04% 1,711,261 1.78
735553Q - Alberta Energy Ltd Reduce 33.87% 5,791,052 11.95
CJREF - Corus Entertainment Inc Sell 100.00% 1,753,499 1.75
Q3 2001
CJREF - Corus Entertainment Inc Reduce 48.86% 3,351,102 2.13
3346Q - Us Bancorp Del Sell 100.00% 9,454,841 11.89
GD - General Dynamics Corp. Sell 100.00% 1,708,508 5.81
Q4 2000
735553Q - Alberta Energy Ltd Sell 100.00% 16,479,313 28.38
SJR - Shaw Communications Inc Sell 100.00% 28,861,827 27.09
9489 - At&t Corp. Sell 100.00% 12,483,218 15.17
GD - General Dynamics Corp. Sell 100.00% 5,425,824 14.10
YCC - Yankee Candle Inc Sell 100.00% 7,494,776 6.24
3346Q - Us Bancorp Del Sell 100.00% 4,666,388 4.39
CJREF - Corus Entertainment Inc Sell 100.00% 3,578,307 4.24
FMCC - Federal Home Ln Mtg Corp Sell 100.00% 180,159 0.40
Q3 2000
CJREF - Corus Entertainment Inc Reduce 7.14% 550,212 0.33
FMCC - Federal Home Ln Mtg Corp Reduce 66.76% 361,872 0.65
UMGI - Mediaone Group Inc* Sell 100.00% 387,950 1.14
Q2 2000
FMCC - Federal Home Ln Mtg Corp Reduce 2.98% 16,670 0.04
SJR - Shaw Communications Inc Reduce 4.00% 1,171,210 1.77
Q1 2000
FMCC - Federal Home Ln Mtg Corp Reduce 0.41% 2,297 0.01
UMGI - Mediaone Group Inc Reduce 70.19% 689,900 3.80
3017264Q - Servicemaster Co Sell 100.00% 1,263,225 1.11
Q4 1999
FMCC - Federal Home Ln Mtg Corp Reduce 4.15% 24,308 0.11
UMGI - Mediaone Group Inc Reduce 13.63% 155,052 0.87
TCAT - Tca Cable Tv Inc Sell 100.00% 2,039,449 8.52
Q2 1999
FMCC - Federal Home Ln Mtg Corp Reduce 0.30% 1,782 0.01
TCAT - Tca Cable Tv Inc Reduce 50.61% 2,090,136 6.28
UMGI - Mediaone Group Inc Reduce 66.05% 2,213,638 9.70
HMN - Horace Mann Educators Corp. Sell 100.00% 2,928,695 4.69
AXP - American Express Co. Sell 100.00% 544,670 4.43