Bill Nygren - Oakmark Select Fund

History Stock Activity Share change % change to portfolio
Q2  2013
CVE - Cenovus Energy Inc. Add 15.29% 600,000 0.48
INTC - Intel Corp. Reduce 9.79% 700,000 0.47
MDT - Medtronic plc Reduce 4.65% 200,000 0.29
JPM - JPMorgan Chase & Co. Reduce 5.00% 200,000 0.29
KMT - Kennametal Inc. Add 7.68% 207,000 0.22
TRW - TRW Automotive Holdings Corp. Add 2.27% 100,000 0.19
Q1  2013
WBD - Warner Bros. Discovery Inc. Reduce 83.84% 2,859,000 5.81
FRX-OLD - Forest Laboratories Buy 4,200,000 4.67
DTV - DIRECTV Group Inc. Add 28.59% 700,000 1.16
MDT - Medtronic plc Add 22.86% 800,000 1.10
COF - Capital One Financial Add 13.11% 400,000 0.64
TRW - TRW Automotive Holdings Corp. Add 10.00% 400,000 0.64
AIG - American International Group Add 11.61% 500,000 0.57
INTC - Intel Corp. Add 13.50% 850,000 0.54
DELL-OLD - Dell Inc. Reduce 8.00% 1,000,000 0.42
CMCSA - Comcast Corp. Reduce 8.45% 600,000 0.35
KMT - Kennametal Inc. Add 12.20% 293,000 0.33
CPN - Calpine Corp. Add 7.04% 500,000 0.30
NFX - Newfield Exploration Add 5.62% 340,000 0.22
TXN - Texas Instruments Add 4.94% 200,000 0.21
CVE - Cenovus Energy Inc. Add 5.09% 190,000 0.17
Q4  2012
BMC - BMC Software Sell 100.00% 3,000,000 4.33
KMT - Kennametal Inc. Buy 2,402,000 3.16
WBD - Warner Bros. Discovery Inc. Reduce 26.03% 1,200,000 2.31
NFX - Newfield Exploration Add 28.16% 1,329,000 1.17
DELL-OLD - Dell Inc. Add 38.89% 3,500,000 1.16
TRW - TRW Automotive Holdings Corp. Add 14.29% 500,000 0.88
CMCSA - Comcast Corp. Reduce 16.47% 1,400,000 0.83
AIG - American International Group Add 16.35% 605,000 0.70
INTC - Intel Corp. Add 14.55% 800,000 0.54
TEL - TE Connectivity Add 4.96% 250,000 0.31
MDT - Medtronic plc Add 2.94% 100,000 0.13
Q3  2012
BAC - Bank of America Corp. Buy 17,100,000 5.25
EBAY - eBay Inc. Sell 100.00% 3,500,000 5.21
TWX - Time Warner Inc. Sell 100.00% 3,560,666 4.86
AIG - American International Group Buy 3,700,000 4.22
QRTEA - Qurate Retail Group Inc. CL A Reduce 13.33% 1,200,000 0.77
CMCSA - Comcast Corp. Reduce 10.53% 1,000,000 0.61
WBD - Warner Bros. Discovery Inc. Reduce 6.10% 299,500 0.58
CPN - Calpine Corp. Add 13.58% 849,596 0.51
TRW - TRW Automotive Holdings Corp. Add 9.38% 300,000 0.46
NFX - Newfield Exploration Reduce 7.80% 399,534 0.44
DTV - DIRECTV Group Inc. Reduce 3.92% 99,949 0.18
INTC - Intel Corp. Add 3.78% 200,000 0.16
CVE - Cenovus Energy Inc. Add 0.01% 200 0.00
TEL - TE Connectivity Add 0.00% 62 0.00
DELL-OLD - Dell Inc. Reduce 0.14% 13,000 0.00
Q2  2012
BMC - BMC Software Buy 3,000,000 4.54
HRB - H&R Block Inc. Sell 100.00% 7,069,600 3.95
NFX - Newfield Exploration Add 54.22% 1,800,000 1.87
WBD - Warner Bros. Discovery Inc. Reduce 12.48% 700,000 1.24
JPM - JPMorgan Chase & Co. Add 18.20% 616,000 0.78
CMCSA - Comcast Corp. Reduce 11.21% 1,200,000 0.67
COF - Capital One Financial Add 8.93% 250,000 0.48
QRTEA - Qurate Retail Group Inc. CL A Reduce 7.22% 700,000 0.44
MA - Mastercard Inc. Reduce 7.35% 250,000 0.38
DELL-OLD - Dell Inc. Add 9.74% 800,000 0.36
FDX - FedEx Corp. Add 7.41% 100,000 0.32
INTC - Intel Corp. Reduce 3.64% 200,000 0.19
DTV - DIRECTV Group Inc. Reduce 3.78% 100,000 0.17
EBAY - eBay Inc. Reduce 2.78% 100,000 0.15
CVE - Cenovus Energy Inc. Add 2.75% 100,000 0.11
Q1  2012
DTV - DIRECTV Group Inc. Add 23.28% 500,000 0.84
NFX - Newfield Exploration Add 23.86% 639,534 0.75
MDT - Medtronic plc Add 17.24% 500,000 0.66
TWX - Time Warner Inc. Add 16.34% 500,000 0.64
DELL-OLD - Dell Inc. Add 15.46% 1,100,000 0.62
CVE - Cenovus Energy Inc. Add 12.71% 410,000 0.50
COF - Capital One Financial Add 9.80% 250,000 0.47
TEL - TE Connectivity Add 8.06% 376,100 0.47
INTC - Intel Corp. Add 8.92% 450,000 0.43
WBD - Warner Bros. Discovery Inc. Reduce 3.44% 200,000 0.32
TXN - Texas Instruments Add 6.58% 250,000 0.29
HRB - H&R Block Inc. Add 7.61% 500,000 0.28
EBAY - eBay Inc. Add 4.35% 150,000 0.19
FDX - FedEx Corp. Add 3.85% 50,000 0.16
TRW - TRW Automotive Holdings Corp. Add 3.23% 100,000 0.16
JPM - JPMorgan Chase & Co. Add 2.73% 90,000 0.14
MA - Mastercard Inc. Reduce 2.86% 100,000 0.14
QRTEA - Qurate Retail Group Inc. CL A Add 2.11% 200,000 0.13
Q4  2011
BMY - Bristol-Myers Squibb Sell 100.00% 3,080,200 4.48
TRW - TRW Automotive Holdings Corp. Buy 3,100,000 4.26
CPN - Calpine Corp. Reduce 20.37% 1,600,196 1.10
NFX - Newfield Exploration Add 28.85% 600,000 0.95
CMCSA - Comcast Corp. Reduce 10.08% 1,200,000 0.60
JPM - JPMorgan Chase & Co. Add 10.02% 300,000 0.42
FDX - FedEx Corp. Add 4.00% 50,000 0.18
DTV - DIRECTV Group Inc. Reduce 4.45% 100,000 0.18
MDT - Medtronic plc Add 3.57% 100,000 0.16
HRB - H&R Block Inc. Reduce 2.95% 200,000 0.14
Q3  2011
FDX - FedEx Corp. Buy 1,250,000 3.92
BBY - Best Buy Co. Inc. Sell 100.00% 3,000,000 3.67
BAC - Bank of America Corp. Sell 100.00% 6,195,100 2.64
BMY - Bristol-Myers Squibb Reduce 23.19% 930,000 1.35
NFX - Newfield Exploration Add 31.65% 500,000 0.92
COF - Capital One Financial Add 18.60% 400,000 0.74
MA - Mastercard Inc. Reduce 12.50% 500,000 0.74
JPM - JPMorgan Chase & Co. Add 20.05% 500,000 0.70
QRTEA - Qurate Retail Group Inc. CL A Reduce 5.00% 500,000 0.34
WBD - Warner Bros. Discovery Inc. Reduce 3.33% 200,000 0.33