Wallace Weitz - Weitz Large Cap Equity Fund

History Stock Activity Share change % change to portfolio
Q2  2021
BRK.B - Berkshire Hathaway CL B Reduce 17.50% 35,000 1.02
ORCL - Oracle Corp. Reduce 35.00% 175,000 1.43
Q1  2021
DHR - Danaher Corp. Reduce 3.23% 5,000 0.12
VMC - Vulcan Materials Reduce 3.30% 7,500 0.14
ADI - Analog Devices Reduce 4.26% 10,000 0.17
LH - Laboratory Corp. of America Hldgs Reduce 9.09% 15,000 0.42
SCHW - Charles Schwab Corp. Reduce 12.26% 95,000 0.69
LIN - Linde plc Reduce 16.67% 15,000 0.47
KMX - CarMax Inc. Reduce 18.07% 55,156 0.81
JPM - JPMorgan Chase & Co. Reduce 18.75% 37,500 0.63
DEO - Diageo ADR Sell 100.00% 126,600 2.37
Q4  2020
VMC - Vulcan Materials Reduce 5.21% 12,500 0.22
LIN - Linde plc Reduce 5.26% 5,000 0.16
ADI - Analog Devices Reduce 6.00% 15,000 0.26
BRK.B - Berkshire Hathaway CL B Reduce 6.98% 15,000 0.41
SCHW - Charles Schwab Corp. Reduce 8.82% 75,000 0.47
DEO - Diageo ADR Reduce 9.57% 13,400 0.25
DHR - Danaher Corp. Reduce 11.43% 20,000 0.52
TMO - Thermo Fisher Scientific Reduce 14.12% 12,000 0.66
JPM - JPMorgan Chase & Co. Reduce 16.67% 40,000 0.60
Q3  2020
CMCSA - Comcast Corp. Reduce 1.79% 10,000 0.06
MA - Mastercard Inc. Reduce 4.76% 5,000 0.22
ORCL - Oracle Corp. Reduce 4.76% 25,000 0.19
LIN - Linde plc Reduce 5.00% 5,000 0.15
DHR - Danaher Corp. Reduce 5.41% 10,000 0.27
AMZN - Amazon.com Inc. Reduce 5.56% 10,000 0.20
CRM - Salesforce.com Reduce 14.29% 20,000 0.64
TMO - Thermo Fisher Scientific Reduce 15.00% 15,000 0.84
BRK.B - Berkshire Hathaway CL B Reduce 18.87% 50,000 1.36
LBRDK - Liberty Broadband Corp. CL C Reduce 23.29% 85,000 1.55
GOOG - Alphabet Inc. CL C Reduce 25.00% 200,000 1.87
META - Meta Platforms Inc. Reduce 26.88% 43,000 1.43
Q2  2020
KMX - CarMax Inc. Reduce 2.08% 5,000 0.06
META - Meta Platforms Inc. Reduce 3.03% 5,000 0.16
ORCL - Oracle Corp. Reduce 4.55% 25,000 0.19
LBRDK - Liberty Broadband Corp. CL C Reduce 13.10% 55,000 0.94
JPM - JPMorgan Chase & Co. Reduce 17.24% 50,000 0.65
LH - Laboratory Corp. of America Hldgs Reduce 20.00% 37,500 0.86
AMZN - Amazon.com Inc. Reduce 21.74% 50,000 0.95
LBTYK - Liberty Global Ltd CL C Sell 100.00% 850,000 2.12
Q1  2020
V - Visa Inc. Reduce 2.86% 5,000 0.13
BRK.B - Berkshire Hathaway CL B Reduce 3.64% 10,000 0.29
LH - Laboratory Corp. of America Hldgs Reduce 3.85% 7,500 0.15
GOOG - Alphabet Inc. CL C Reduce 4.76% 40,000 0.37
KMX - CarMax Inc. Reduce 7.69% 20,000 0.17
SCHW - Charles Schwab Corp. Reduce 8.00% 50,000 0.27
META - Meta Platforms Inc. Reduce 8.33% 15,000 0.40
LBRDK - Liberty Broadband Corp. CL C Reduce 16.00% 80,000 1.40
LIN - Linde plc Reduce 33.33% 50,000 1.37
BKNG - Booking Holdings Inc. Sell 100.00% 18,000 4.54
DLTR - Dollar Tree Inc. Sell 100.00% 200,000 2.31
Q4  2019
GOOG - Alphabet Inc. CL C Reduce 3.45% 30,000 0.25
LH - Laboratory Corp. of America Hldgs Reduce 4.88% 10,000 0.21
LBTYK - Liberty Global Ltd CL C Reduce 5.56% 50,000 0.13
LBRDK - Liberty Broadband Corp. CL C Reduce 5.66% 30,000 0.46
V - Visa Inc. Reduce 9.09% 17,500 0.40
DLTR - Dollar Tree Inc. Reduce 11.11% 25,000 0.29
KMX - CarMax Inc. Reduce 13.33% 40,000 0.43
MA - Mastercard Inc. Reduce 16.00% 20,000 0.73
Q3  2019
CMCSA - Comcast Corp. Reduce 1.75% 10,000 0.06
LBRDK - Liberty Broadband Corp. CL C Reduce 3.64% 20,000 0.27
V - Visa Inc. Reduce 3.75% 7,500 0.17
LSXMK - Liberty SiriusXM Series C Reduce 4.17% 25,000 0.13
GOOG - Alphabet Inc. CL C Reduce 4.40% 40,000 0.31
LH - Laboratory Corp. of America Hldgs Reduce 6.82% 15,000 0.32
MA - Mastercard Inc. Reduce 7.41% 10,000 0.35
KMX - CarMax Inc. Reduce 14.29% 50,000 0.56
TDG - TransDigm Group Inc. Sell 100.00% 50,000 3.09
Q2  2019
V - Visa Inc. Reduce 2.44% 5,000 0.11
LIN - Linde plc Reduce 3.23% 5,000 0.13
LBRDK - Liberty Broadband Corp. CL C Reduce 4.35% 25,000 0.33
LH - Laboratory Corp. of America Hldgs Reduce 12.00% 30,000 0.66
KMX - CarMax Inc. Reduce 17.65% 75,000 0.83
DLTR - Dollar Tree Inc. Reduce 20.00% 55,000 0.76
Q1  2019
V - Visa Inc. Reduce 2.38% 5,000 0.11
AMZN - Amazon.com Inc. Reduce 2.56% 5,000 0.06
MA - Mastercard Inc. Reduce 3.57% 5,000 0.16
LBTYK - Liberty Global Ltd CL C Reduce 5.26% 50,000 0.16
AON - Aon Plc Reduce 7.14% 10,000 0.23
CMCSA - Comcast Corp. Reduce 8.06% 50,000 0.27
LBRDK - Liberty Broadband Corp. CL C Reduce 14.18% 95,000 1.19
DLTR - Dollar Tree Inc. Reduce 15.38% 50,000 0.72
ORCL - Oracle Corp. Reduce 33.57% 240,000 1.76
AGN - Allergan Plc Sell 100.00% 165,000 3.38
MHK - Mohawk Industries Sell 100.00% 125,000 2.24
FOXA - Fox Corporation Sell 100.00% 290,000 2.14
Q4  2018
TMO - Thermo Fisher Scientific Reduce 8.65% 9,000 0.31
FOXA - Fox Corporation Reduce 10.77% 35,000 0.26
BRK.B - Berkshire Hathaway CL B Reduce 11.67% 35,000 1.10
AON - Aon Plc Reduce 15.15% 25,000 0.56
AGN - Allergan Plc Reduce 21.43% 45,000 0.92
PX - Praxair Inc. Sell 100.00% 155,000 3.37
WFC - Wells Fargo Sell 100.00% 295,000 2.10
DXC - DXC Technology Co. Sell 100.00% 130,000 1.64
CHTR - Charter Communications Sell 100.00% 32,000 1.41
PXD - Pioneer Natural Resources Sell 100.00% 58,000 1.37
Q3  2018
ACN - Accenture Reduce 9.52% 10,000 0.23
TMO - Thermo Fisher Scientific Reduce 11.86% 14,000 0.46
BRK.B - Berkshire Hathaway CL B Reduce 16.67% 60,000 1.74
MA - Mastercard Inc. Reduce 20.00% 35,000 1.05