Mason Hawkins - Longleaf Partners

History Stock Activity Share change % change to portfolio
Q4  2020
MAT - Mattel Inc. Reduce 29.45% 2,451,604 3.05
Q3  2020
FDX - FedEx Corp. Reduce 50.36% 310,562 7.07
CARR - Carrier Global Corp. Sell 100.00% 2,542,013 5.16
GOOG - Alphabet Inc. CL C Sell 100.00% 502,180 3.24
Q2  2020
FDX - FedEx Corp. Reduce 19.17% 146,247 1.87
CNX - CNX Resources Corp. Reduce 20.58% 1,967,516 1.55
DD - DuPont de Nemours Inc. Reduce 38.94% 641,469 3.11
WMB - Williams Cos. Reduce 39.45% 2,078,203 3.61
GOOG - Alphabet Inc. CL C Reduce 48.63% 475,400 3.07
RTX - RTX Corp. Sell 100.00% 761,040 6.58
PK - Park Hotels & Resorts Inc. Sell 100.00% 2,918,308 2.11
Q1  2020
FRFHF - Fairfax Financial Holdings Ltd. Reduce 2.75% 5,113 0.14
CNX - CNX Resources Corp. Reduce 4.12% 411,216 0.20
CNHI - CNH Industrial NV Reduce 4.40% 430,257 0.22
GOOG - Alphabet Inc. CL C Reduce 7.59% 80,260 0.43
CMCSA - Comcast Corp. Reduce 12.66% 228,412 0.72
MAT - Mattel Inc. Reduce 16.38% 1,630,908 1.32
GE - GE Aerospace Reduce 29.73% 487,451 2.84
CKHUY - CK Hutchison Hldgs Ltd. Reduce 41.13% 6,036,500 3.69
CHKGF - CK Asset Holdings Ltd Sell 100.00% 11,111,000 4.95
Q4  2019
FRFHF - Fairfax Financial Holdings Ltd. Reduce 5.10% 9,967 0.29
GE - GE Aerospace Reduce 8.94% 160,917 0.89
CNX - CNX Resources Corp. Reduce 11.96% 1,355,301 0.74
HCMLF - Holcim Ltd. Reduce 17.08% 294,415 1.00
WYNN - Wynn Resorts Ltd. Sell 100.00% 508,073 3.65
Q3  2019
FRFHF - Fairfax Financial Holdings Ltd. Reduce 8.80% 18,864 0.55
HCMLF - Holcim Ltd. Reduce 13.71% 273,936 0.89
CMCSA - Comcast Corp. Reduce 15.20% 323,343 0.96
GOOG - Alphabet Inc. CL C Reduce 15.39% 192,440 0.77
AGN - Allergan Plc Sell 100.00% 417,833 4.16
Q2  2019
HCMLF - Holcim Ltd. Reduce 3.47% 71,786 0.21
GE - GE Aerospace Reduce 9.47% 188,237 0.94
GOOG - Alphabet Inc. CL C Reduce 24.62% 408,320 1.31
PK - Park Hotels & Resorts Inc. Reduce 30.18% 991,439 1.63
RTX - RTX Corp. Reduce 31.19% 243,124 1.88
AGN - Allergan Plc Reduce 38.37% 260,108 2.59
WYNN - Wynn Resorts Ltd. Reduce 38.52% 318,286 2.34
Q1  2019
AGN - Allergan Plc Reduce 2.68% 18,659 0.14
CNHI - CNH Industrial NV Reduce 6.39% 668,087 0.35
WYNN - Wynn Resorts Ltd. Reduce 6.40% 56,526 0.35
CKHUY - CK Hutchison Hldgs Ltd. Reduce 6.58% 1,034,000 0.56
GOOG - Alphabet Inc. CL C Reduce 9.21% 168,260 0.51
RTX - RTX Corp. Reduce 9.35% 80,432 0.53
GE - GE Aerospace Reduce 11.68% 262,978 1.08
MAT - Mattel Inc. Reduce 12.29% 1,395,422 0.93
CHKGF - CK Asset Holdings Ltd Reduce 12.52% 1,589,500 0.73
HCMLF - Holcim Ltd. Reduce 27.47% 783,953 1.99
DD - DuPont de Nemours Inc. Sell 100.00% 1,245,673 3.45
Q4  2018
CNX - CNX Resources Corp. Reduce 1.60% 172,113 0.10
RTX - RTX Corp. Reduce 2.12% 18,612 0.10
AGN - Allergan Plc Reduce 3.08% 22,101 0.15
CNHI - CNH Industrial NV Reduce 5.93% 659,023 0.31
FDX - FedEx Corp. Reduce 6.00% 44,862 0.37
LUMN - Lumen Technologies Inc. Reduce 10.70% 1,687,936 1.32
CKHUY - CK Hutchison Hldgs Ltd. Reduce 15.03% 2,779,000 1.38
FRFHF - Fairfax Financial Holdings Ltd. Reduce 15.68% 39,872 0.91
GOOG - Alphabet Inc. CL C Reduce 20.24% 463,720 1.24
PK - Park Hotels & Resorts Inc. Reduce 22.88% 974,611 1.31
HCMLF - Holcim Ltd. Reduce 23.38% 870,824 1.85
CHKGF - CK Asset Holdings Ltd Reduce 25.31% 4,303,000 1.63
CMCSA - Comcast Corp. Reduce 43.48% 1,636,464 2.89
Q3  2018
LUMN - Lumen Technologies Inc. Reduce 1.16% 185,357 0.15
FRFHF - Fairfax Financial Holdings Ltd. Reduce 2.73% 7,150 0.15
PK - Park Hotels & Resorts Inc. Reduce 7.74% 357,234 0.46
GOOG - Alphabet Inc. CL C Reduce 9.32% 235,340 0.55
AGN - Allergan Plc Reduce 15.21% 128,935 0.97
CNHI - CNH Industrial NV Reduce 15.67% 2,063,700 0.98
RTX - RTX Corp. Reduce 24.68% 287,769 1.58
CMCSA - Comcast Corp. Reduce 30.75% 1,670,942 2.33
CEIX - CONSOL Energy Inc. Sell 100.00% 1,033,467 1.55
Q2  2018
GE - GE Aerospace Reduce 3.12% 40,374 0.17
GOOG - Alphabet Inc. CL C Reduce 8.74% 241,900 0.53
FRFHF - Fairfax Financial Holdings Ltd. Reduce 12.06% 35,868 0.78
AGN - Allergan Plc Reduce 19.43% 204,459 1.33
PK - Park Hotels & Resorts Inc. Reduce 20.16% 1,165,987 1.39
CEIX - CONSOL Energy Inc. Reduce 27.49% 391,850 0.59
Q1  2018
MAT - Mattel Inc. Reduce 1.58% 177,426 0.09
RTX - RTX Corp. Reduce 7.30% 91,849 0.45
GOOG - Alphabet Inc. CL C Reduce 8.85% 268,640 0.55
FRFHF - Fairfax Financial Holdings Ltd. Reduce 16.96% 60,725 1.21
FDX - FedEx Corp. Reduce 24.92% 248,223 2.34
CHKGF - CK Asset Holdings Ltd Reduce 26.60% 6,160,500 2.04
WYNN - Wynn Resorts Ltd. Sell 100.00% 505,650 3.37
CHK - Chesapeake Energy Sell 100.00% 79,225 2.48
Q4  2017
CNX - CNX Resources Corp. Reduce 6.58% 758,740 0.44
RTX - RTX Corp. Reduce 11.02% 155,728 0.78
CNHI - CNH Industrial NV Reduce 23.91% 3,153,461 1.67
CHK - Chesapeake Energy Reduce 27.40% 29,898 0.94
GOOG - Alphabet Inc. CL C Reduce 28.14% 1,189,320 2.46
WYNN - Wynn Resorts Ltd. Reduce 49.28% 491,339 3.27
LVLT - Level 3 Communications Inc. Sell 100.00% 6,210,293 13.67
TROW - T. Rowe Price Group Sell 100.00% 1,155,251 4.32
Q3  2017
RTX - RTX Corp. Reduce 3.63% 53,242 0.26
CNHI - CNH Industrial NV Reduce 6.30% 886,186 0.44
WYNN - Wynn Resorts Ltd. Reduce 15.72% 185,908 1.14
FDX - FedEx Corp. Reduce 16.10% 191,107 1.78
SNI - Scripps Networks Interactive Inc. Sell 100.00% 1,712,655 4.65
Q2  2017
SNI - Scripps Networks Interactive Inc. Reduce 5.26% 95,000 0.26
CNHI - CNH Industrial NV Reduce 15.92% 2,665,867 1.20
GOOG - Alphabet Inc. CL C Reduce 26.46% 1,520,300 2.75