Steven Romick - FPA Crescent Fund

History Stock Activity Share change % change to portfolio
Q3  2015
CVS - CVS Health Corp. Reduce 87.77% 3,639,490 3.59
ESRX - Express Scripts Reduce 68.60% 2,904,380 2.38
ARRS - ARRIS International plc Reduce 66.13% 3,695,750 0.98
VOD - Vodafone Group PLC Reduce 59.49% 1,707,900 0.54
TMO - Thermo Fisher Scientific Reduce 44.19% 1,405,300 1.74
BUD - Anheuser-Busch InBev Reduce 42.52% 846,233 0.91
ORKLY - Orkla ASA Reduce 41.11% 9,590,216 0.72
CNQ - Canadian Natural Resources Reduce 34.64% 1,829,060 0.36
WBA - Walgreens Boots Alliance Reduce 16.52% 359,290 0.30
CABJF - Carlsberg A/S Reduce 6.50% 169,047 0.13
NHYDY - Norsk Hydro ASA Sell 100.00% 8,397,350 0.32
MDT - Medtronic plc Sell 100.00% 2,020,579 1.35
SULZF - Sulzer Ltd. Sell 100.00% 1,478,715 1.37
Q2  2015
INTC - Intel Corp. Sell 100.00% 1,805,000 0.51
Q1  2015
INTC - Intel Corp. Reduce 33.88% 925,000 0.26
CVS - CVS Health Corp. Reduce 33.33% 2,073,400 1.95
TMO - Thermo Fisher Scientific Reduce 5.95% 201,300 0.25
CRC - California Resources Corp. Sell 100.00% 783,000 0.04
COV-OLD - Covidien Plc. Sell 100.00% 4,651,129 4.33
Q4  2014
NHYDY - Norsk Hydro ASA Reduce 54.63% 10,112,515 0.53
INTC - Intel Corp. Reduce 28.44% 1,085,000 0.36
OXY - Occidental Petroleum Reduce 15.98% 589,400 0.43
MSFT - Microsoft Corp. Reduce 11.53% 1,637,200 0.69
CVS - CVS Health Corp. Reduce 8.60% 585,000 0.51
BK - Bank of New York Mellon Corp. Sell 100.00% 1,021,000 0.42
CFN - CareFusion Corp. Sell 100.00% 3,090,000 1.48
JNJ - Johnson & Johnson Sell 100.00% 1,385,000 1.56
CHKP - Check Point Software Technologies Sell 100.00% 2,190,000 1.61
ELV - Elevance Health Inc. Sell 100.00% 1,430,000 1.81
Q3  2014
BK - Bank of New York Mellon Corp. Reduce 68.14% 2,184,000 0.90
INTC - Intel Corp. Reduce 33.40% 1,912,900 0.71
NHYDY - Norsk Hydro ASA Reduce 30.54% 8,136,769 0.48
ELV - Elevance Health Inc. Reduce 29.38% 595,000 0.75
ARRS - ARRIS International plc Reduce 21.27% 1,509,800 0.45
JNJ - Johnson & Johnson Reduce 20.86% 365,000 0.41
CHKP - Check Point Software Technologies Reduce 18.28% 490,000 0.36
QCOM - QUALCOMM Inc. Reduce 14.29% 300,000 0.24
CFN - CareFusion Corp. Reduce 13.69% 490,000 0.23
MSFT - Microsoft Corp. Reduce 5.22% 781,700 0.38
RGS - Regis Corp. Sell 100.00% 20,655 0.06
Q2  2014
CFN - CareFusion Corp. Reduce 17.23% 745,000 0.34
IPG - Interpublic Group Reduce 13.31% 1,377,500 0.27
CIT - CIT Group Reduce 9.33% 233,700 0.11
COV-OLD - Covidien Plc. Reduce 6.01% 291,771 0.27
JNJ - Johnson & Johnson Reduce 4.63% 85,000 0.09
WMT - Walmart Inc. Sell 100.00% 3,661,200 1.08
TSCDF - Tesco Plc Ord Sell 100.00% 31,096,050 1.78
Q1  2014
VOD - Vodafone Group PLC Reduce 45.45% 1,862,319 0.80
GOOGL - Alphabet Inc. Reduce 15.74% 806,000 0.52
BK - Bank of New York Mellon Corp. Reduce 13.80% 513,200 0.21
TMO - Thermo Fisher Scientific Reduce 10.28% 380,000 0.53
MSFT - Microsoft Corp. Reduce 0.22% 33,700 0.02
Q4  2013
AON - Aon Plc Reduce 7.91% 494,200 0.50
BUD - Anheuser-Busch InBev Reduce 2.45% 50,000 0.06
RDC - Rowan Cos. Sell 100.00% 911,800 0.48
OCR - Omnicare Inc. Sell 100.00% 714,900 0.57
LOW - Lowe's Cos. Sell 100.00% 861,100 0.59
ITT - ITT Inc. Sell 100.00% 1,150,000 0.60
HPQ - HP Inc. Sell 100.00% 2,991,800 0.91
RNSDF - Renault SA Sell 100.00% 2,084,000 2.41
Q3  2013
OCR - Omnicare Inc. Reduce 83.28% 3,560,100 2.84
LOW - Lowe's Cos. Reduce 70.61% 2,068,900 1.42
RDC - Rowan Cos. Reduce 36.01% 513,200 0.27
ITT - ITT Inc. Reduce 35.24% 625,800 0.33
JNJ - Johnson & Johnson Reduce 17.87% 310,000 0.39
Y-OLD - Alleghany Corp. Reduce 13.34% 38,166 0.23
CFN - CareFusion Corp. Reduce 9.79% 469,400 0.25
BK - Bank of New York Mellon Corp. Reduce 9.46% 388,500 0.17
CIT - CIT Group Reduce 9.35% 221,200 0.16
CSCO - Cisco Systems Reduce 5.83% 640,000 0.22
BUD - Anheuser-Busch InBev Reduce 2.60% 54,500 0.08
HNT - Health Net Inc. Sell 100.00% 1,958,000 0.92
XRX - Xerox Holdings Corp. Sell 100.00% 1,720,825 0.92
Q2  2013
OCR - Omnicare Inc. Reduce 26.87% 1,571,000 1.11
XRX - Xerox Holdings Corp. Reduce 25.45% 587,600 0.31
CIT - CIT Group Reduce 13.86% 380,600 0.26
BK - Bank of New York Mellon Corp. Reduce 8.57% 384,700 0.16
JNJ - Johnson & Johnson Reduce 7.22% 135,000 0.17
UNLYF - Unilever Ord Shares Reduce 6.16% 183,147 0.11
LOW - Lowe's Cos. Reduce 6.09% 190,000 0.11
WMT - Walmart Inc. Reduce 5.76% 223,800 0.08
BUD - Anheuser-Busch InBev Reduce 3.05% 65,900 0.09
PETM - PetSmart Inc. Sell 100.00% 423,000 0.42
VAL - Valaris plc Sell 100.00% 470,000 0.45
TRV - Travelers Companies Inc. Sell 100.00% 695,000 0.92
Q1  2013
VAL - Valaris plc Reduce 71.23% 1,163,400 1.11
PETM - PetSmart Inc. Reduce 53.77% 492,000 0.49
TRV - Travelers Companies Inc. Reduce 44.89% 566,000 0.75
LOW - Lowe's Cos. Reduce 20.41% 800,000 0.48
XRX - Xerox Holdings Corp. Reduce 18.86% 536,575 0.29
AON - Aon Plc Reduce 2.05% 131,100 0.13
KAOCF - KAO Corp. Sell 100.00% 2,130,300 0.92
WDC - Western Digital Corp. Sell 100.00% 1,850,000 1.30
THLEF - Thales Sell 100.00% 2,850,886 1.64
Q4  2012
WDC - Western Digital Corp. Reduce 41.73% 1,325,000 0.93
VAL - Valaris plc Reduce 35.44% 896,600 0.88
WMT - Walmart Inc. Reduce 35.25% 2,115,000 0.80
PETM - PetSmart Inc. Reduce 26.10% 323,200 0.37
LOW - Lowe's Cos. Reduce 25.26% 1,325,000 0.78
ELV - Elevance Health Inc. Reduce 15.45% 370,000 0.37