Liberty Broadband Corp. CL C (LBRDK)

Sector:Services
Super Investor Stats:
Ownership count:4
Ownership rank:204
% of all portfolios:0.084%
Hold Price * :$50.30
History Portfolio Manager Activity Share change % change to portfolio
Q1  2026
First Pacific Advisors Add 73.92% 1,973,262 1.42
Q4  2025
Wallace Weitz - Weitz Investment Management Add 30.07% 150,500 0.43
First Pacific Advisors Buy 2,669,348 1.74
Q2  2025
Seth Klarman - Baupost Group Add 337.03% 575,000 1.37
Q1  2025
Lee Ainslie - Maverick Capital Add 124.42% 4,372 0.01
Q4  2024
Francois Rochon - Giverny Capital Buy 15,000 0.04
Q3  2024
Bill Nygren - Oakmark Funds Add 0.69% 46,084 0.01
Seth Klarman - Baupost Group Buy 170,610 0.38
Lee Ainslie - Maverick Capital Buy 23,287 0.04
Q2  2024
Bill Nygren - Oakmark Funds Add 36.78% 1,802,587 0.17
Q1  2024
Prem Watsa - Fairfax Financial Holdings Add 131.66% 8,400 0.04
Q4  2023
Wallace Weitz - Weitz Investment Management Add 3.01% 20,000 0.09
Q3  2023
Tom Bancroft - Makaira Partners Add 2.08% 35,425 0.42
Q2  2023
Wallace Weitz - Weitz Investment Management Add 6.33% 47,600 0.20
Tom Bancroft - Makaira Partners Add 1.79% 30,000 0.33
Q1  2023
Tom Bancroft - Makaira Partners Add 10.87% 163,820 1.75
Q4  2022
Tom Bancroft - Makaira Partners Add 2.65% 38,980 0.43
Q3  2022
Tom Bancroft - Makaira Partners Add 52.26% 504,077 6.16
Q4  2021
Francois Rochon - Giverny Capital Buy 36,865 0.32
Q1  2021
Francois Rochon - Giverny Capital Add 4.49% 933 0.01
Q4  2020
Francois Rochon - Giverny Capital Add 16.02% 2,871 0.03
Howard Marks - Oaktree Capital Management Buy 86,999 0.29
Prem Watsa - Fairfax Financial Holdings Buy 6,380 0.04
Lee Ainslie - Maverick Capital Buy 3,721 0.01
Q3  2020
Francois Rochon - Giverny Capital Add 88.56% 8,419 0.11
Q2  2020
Francois Rochon - Giverny Capital Buy 9,507 0.12
Q2  2018
Triple Frond Partners Add 13.31% 105,697 0.84
Q1  2018
Triple Frond Partners Buy 794,303 7.65
Q2  2015
Thomas Gayner - Markel Group Buy 172,113 0.22

* "Hold Price" is the last known price at which an investor still held a security. It is the closing price of the security as of the portfolio date (quarter end). This value is only provided when a security is owned by at least two investors. In the case of reporting dates being different, a weighted average price is calculated.