Tweedy Browne Co.

Thomas Shrager

$1.3B Portfolio Value
91 Stocks
+8.24% YTD Return
Aug 07, 2026 Last Updated
Portfolio Value Over Time

Current Holdings for Tweedy Browne Co.

Stock Click to search
Shares Value % of Portfolio Change Est. Return
CNH|Cnh Industrial NV
20.1M $225.9M
17.11%
TRIM -0.2% +53.02%
IONS|Ionis Pharmaceuticals Inc.
2.3M $180.8M
13.70%
ADD +0.2% +78.72%
KOF|Coca Cola Femsa
1.2M $123.3M
9.34%
TRIM -0.8%
BRK-A|Berkshire Hathaway Inc
144 $107.8M
8.17%
JNJ|Johnson & Johnson
201.6K $51.2M
3.88%
TRIM -8.1% +89.52%
GOOGL|Alphabet Inc-cl A
141.3K $50.5M
3.83%
TRIM -28.8%
BRK-B|Berkshire Hathaway Inc Del Cl B
97.6K $48.9M
3.70%
ADD +0.2%
ALV|Autoliv Inc.
383.3K $44.5M
3.37%
TRIM -0.1% +60.93%
WFC|Wells Fargo & Co
497.0K $41.1M
3.11%
TRIM -3.7% +62.06%
ZTS|Zoetis, Inc.
556.1K $40.0M
3.03%
ADD NEW -7.71%
NVST|Envista Holdings Corp
1.4M $37.8M
2.87%
TRIM -0.1% +32.12%
TFC|Truist Financial Corp
546.3K $27.2M
2.06%
TRIM -2.0% +12.33%
UNF|Unifirst Corp
101.6K $26.9M
2.04%
TRIM -0.1% +22.83%
UHAL-B|U-haul Holding Co - Non Voting
462.8K $26.7M
2.02%
TRIM -0.1% +13.16%
AXP|American Express Co
62.7K $21.2M
1.61%
TRIM -0.4% +100.30%
BAC|Bank Of America Corp Com
364.8K $20.8M
1.57%
TRIM -0.1% +128.58%
VRTX|Vertex Pharmaceuticals
40.1K $19.9M
1.51%
TRIM -0.7% +54.03%
AZO|Autozone, Inc.
5.5K $17.7M
1.34%
TRIM -0.1%
BK|Bank Of New York Mellon Corp
102.2K $14.8M
1.12%
TRIM -6.2%
JAZZ|Jazz Pharmaceuticals PLC
60.1K $14.5M
1.10%
TRIM -0.1% +46.77%
NVS|Novartis AG American Depository Shares
71.1K $11.1M
0.84%
TRIM -0.2% +97.71%
USB|US Bancorp
181.9K $11.0M
0.83%
TRIM -1.3% +28.19%
DGED|Diageo P L C - ADR
126.2K $10.1M
0.77%
TRIM -0.0%
TTE|Totalenergies SE ADR
117.1K $9.1M
0.69%
TRIM -0.4% +12.33%
UNP|Union Pacific Corp
19.2K $5.2M
0.40%
+106.74%
DIS|Disney Walt Company Holding Co
45.0K $4.3M
0.33%
ADD NEW +4.37%
GSK|Gsk PLC ADR
81.5K $4.3M
0.32%
TRIM -0.3% +51.55%
GL|Globe Life Inc.
22.4K $4.0M
0.30%
TRIM -19.6% +86.09%
KT|Kt Corp - ADR
222.9K $3.9M
0.29%
ADD +33.3% -4.14%
BNS|Bank Of Nova Scotia
42.5K $3.7M
0.28%
ADD NEW +19.45%
CSCO|Cisco Systems Inc
29.4K $3.5M
0.26%
TRIM -46.7%
FDX|Fedex Corp.
10.8K $3.4M
0.26%
TRIM -85.5% +58.34%
COP|Conocophillips
32.1K $3.3M
0.25%
ADD +4.7%
PNC|Pnc Financial Services Group Inc.
13.2K $3.3M
0.25%
ADD +40.4% +15.71%
PGR|Progressive Corp
13.7K $3.0M
0.23%
+137.81%
UL|Unilever PLC Sponsored ADR
49.1K $3.0M
0.22%
TRIM -5.0% -3.06%
GIII|G III Apparel
85.6K $2.9M
0.22%
ADD +41.6% +15.98%
HAFN|Hafnia Ltd
414.4K $2.8M
0.21%
ADD +9.9% +31.79%
ARW|Arrow Electric
12.8K $2.7M
0.21%
ADD +10.0% +51.90%
DINO|Hf Sinclair Corp
38.9K $2.7M
0.20%
ADD +31.0% +86.59%
ARLP|Alliance Resource Partners LP
111.7K $2.7M
0.20%
ADD +54.3% +3.24%
REZI|Resideo Technologies
84.7K $2.6M
0.20%
ADD +15.1% -32.22%
VSNT|Versant Media Group Inc
69.3K $2.5M
0.19%
ADD +84.0% +8.12%
ELV|Elevance Health
6.4K $2.5M
0.19%
ADD +33.8% +18.24%
EVTC|Evertec Inc
88.5K $2.5M
0.19%
ADD NEW +11.42%
ALSN|Allison Transmission Hld
21.8K $2.5M
0.19%
ADD +38.0% +22.89%
NTR|Nutrien Ltd
37.3K $2.4M
0.18%
ADD +9.3% +10.67%
CROX|Crocs Inc
19.2K $2.3M
0.17%
ADD +36.9% +29.68%
ALLY|Ally Financial
47.3K $2.2M
0.17%
ADD +41.1% +1.53%
BMY|Bristol-myers Squibb Co
37.6K $2.2M
0.16%
ADD +43.6% +23.59%
CI|Cigna Corp.
7.6K $2.1M
0.16%
ADD +42.2% -0.29%
HTLD|Heartland Express Inc.
138.1K $2.1M
0.16%
ADD +9.1% +23.67%
WU|Western Union
272.5K $2.1M
0.16%
ADD +57.1% -17.54%
PSX|Phillips 66
12.3K $2.1M
0.16%
TRIM -0.7% +148.71%
ABG|Asbury Auto Group
10.3K $2.1M
0.16%
ADD +42.1% -3.20%
LULU|Lululemon Athletica Inc
18.0K $2.1M
0.15%
ADD NEW -10.84%
THO|Thor Industries Inc.
26.5K $2.0M
0.15%
ADD NEW -1.36%
TDW|Tidewater Inc
29.6K $2.0M
0.15%
ADD +14.0% +51.52%
CAG|Conagra Brands Inc
146.2K $2.0M
0.15%
ADD NEW +15.00%
SIRI|Sirius Xm Holdings Inc
66.5K $2.0M
0.15%
ADD +41.8% +21.28%
MTDR|Matador Resources Co.
37.9K $1.9M
0.14%
ADD +34.0% +14.49%
UPS|United Parcel Service
16.6K $1.8M
0.14%
ADD +7.2% +9.26%
GLOB|Globant SA
61.3K $1.8M
0.13%
ADD NEW -0.02%
BLDR|Builders Firstsource Inc
19.6K $1.8M
0.13%
ADD NEW -13.62%
TAP|Molson Coors Brewing Company
44.7K $1.7M
0.13%
ADD +40.8% -10.00%
SCVL|Shoe Station Group Inc
116.8K $1.7M
0.13%
ADD NEW
HP|Helmerich & Payne
52.2K $1.7M
0.13%
ADD +8.3% +60.96%
UNH|Unitedhealth Group
4.1K $1.7M
0.13%
ADD +11.5% +27.74%
AWN|Advance Auto Parts Inc.
27.1K $1.7M
0.13%
ADD +12.2%
LKQ|Lkq Corp
62.1K $1.6M
0.12%
ADD +45.5% -18.18%
CNC|Centene Corp
25.1K $1.6M
0.12%
ADD +32.5% +38.82%
LW|Lamb Weston Holdings Inc
37.3K $1.6M
0.12%
ADD +43.6% +14.63%
EFOR|Everforth Inc
87.6K $1.6M
0.12%
ADD NEW +53.52%
BZH|Beazer Homes USA
54.4K $1.5M
0.12%
ADD +7.7% +43.37%
DVN|Devon Energy Corp
34.1K $1.4M
0.11%
ADD +33.3% +18.63%
KVUE|Kenvue Inc.
72.9K $1.4M
0.11%
ADD +78.3% -7.55%
LPG|Dorian Lpg Limited
39.9K $1.4M
0.10%
ADD +12.5% +64.21%
EMR|Emerson Electric Co
8.7K $1.3M
0.10%
TRIM -2.2%
AMN|Amn Healthcare Services Inc
37.3K $1.2M
0.09%
ADD +33.4% +63.41%
BSM|Blackstone Mine
83.5K $1.2M
0.09%
ADD +8.0% +7.00%
VZ|Verizon Communications
23.9K $1.0M
0.08%
TRIM -0.4% -11.56%
CMCSA|Comcast Corporation - Class A
31.3K $769.2K
0.06%
TRIM -0.5%
HLN|Haleon PLC ADR
72.0K $672.1K
0.05%
TRIM -1.0% +63.92%
OEC|Orion SA
90.5K $600.1K
0.04%
TRIM -1.3% +8.75%
FMC|Fmc Corp.
43.9K $505.3K
0.04%
ADD +42.3% -80.46%
BABA|Alibaba Group Holding Sp-adr
4.0K $380.1K
0.03%
TRIM -2.5% -52.93%
FDXF|Fedex Holdings Co Inc
2.2K $333.0K
0.03%
ADD NEW -17.70%
CNXC|Concentrix Corp
13.4K $300.9K
0.02%
TRIM -1.4% -76.17%
INTC|Intel Corp
1.5K $209.4K
0.02%
ADD NEW -15.77%
MICC|Magnum Ice Cream Co NV ADR
11.7K $202.9K
0.01%
TRIM -3.3% +26.97%
BAX|Baxter International Inc
9.5K $202.1K
0.01%
TRIM -2.7%

Trading Activity for Tweedy Browne Co.

Stock Click to search
Action Change Shares After Value Est. Return
2026-Q2
CNH|Cnh Industrial NV
SELL -0.17% 20.1M $226M +44.5%
IONS|Ionis Pharmaceuticals Inc.
BUY +0.21% 2.3M $181M -16.9%
KOF|Coca Cola Femsa
SELL -0.81% 1.2M $123M
GOOGL|Alphabet Inc-cl A
SELL -28.77% 141.3K $50M
JNJ|Johnson & Johnson
SELL -8.13% 201.6K $51M +64.6%
BRK-B|Berkshire Hathaway Inc Del Cl B
BUY +0.22% 97.6K $49M +5.0%
ALV|Autoliv Inc.
SELL -0.07% 383.3K $45M +55.2%
WFC|Wells Fargo & Co
SELL -3.67% 497.0K $41M +54.4%
ZTS|Zoetis, Inc.
BUY NEW 556.1K $40M -7.7%
NVST|Envista Holdings Corp
SELL -0.11% 1.4M $38M +21.8%
TFC|Truist Financial Corp
SELL -2.01% 546.3K $27M +13.1%
UNF|Unifirst Corp
SELL -0.12% 101.6K $27M +12.3%
UHAL-B|U-haul Holding Co - Non Voting
SELL -0.11% 462.8K $27M -9.2%
FDX|Fedex Corp.
SELL -85.45% 10.8K $3M +51.1%
AXP|American Express Co
SELL -0.42% 62.7K $21M +89.6%
BAC|Bank Of America Corp Com
SELL -0.14% 364.8K $21M +99.0%
VRTX|Vertex Pharmaceuticals
SELL -0.66% 40.1K $20M +24.3%
AZO|Autozone, Inc.
SELL -0.09% 5.5K $18M
SEE|Sealed Air Corporation
SELL EXIT
BK|Bank Of New York Mellon Corp
SELL -6.16% 102.2K $15M
JAZZ|Jazz Pharmaceuticals PLC
SELL -0.10% 60.1K $14M +32.6%
NVS|Novartis AG American Depository Shares
SELL -0.25% 71.1K $11M +91.6%
USB|US Bancorp
SELL -1.28% 181.9K $11M +14.3%
TTE|Totalenergies SE ADR
SELL -0.42% 117.1K $9M +16.6%
DGED|Diageo P L C - ADR
SELL -0.03% 126.2K $10M
GSK|Gsk PLC ADR
SELL -0.32% 81.5K $4M +55.5%
SNEX|Stonex Group, Inc.
SELL EXIT -8.5%
DIS|Disney Walt Company Holding Co
BUY NEW 45.0K $4M +4.4%
CSCO|Cisco Systems Inc
SELL -46.74% 29.4K $3M
COP|Conocophillips
BUY +4.66% 32.1K $3M +8.9%
GL|Globe Life Inc.
SELL -19.65% 22.4K $4M +62.9%
KT|Kt Corp - ADR
BUY +33.32% 222.9K $4M -0.6%
BNS|Bank Of Nova Scotia
BUY NEW 42.5K $4M +19.4%
PNC|Pnc Financial Services Group Inc.
BUY +40.35% 13.2K $3M +10.1%
UL|Unilever PLC Sponsored ADR
SELL -5.05% 49.1K $3M -13.1%
GIII|G III Apparel
BUY +41.60% 85.6K $3M +6.1%
HAFN|Hafnia Ltd
BUY +9.94% 414.4K $3M +1.2%
ARW|Arrow Electric
BUY +10.02% 12.8K $3M +0.5%
DINO|Hf Sinclair Corp
BUY +30.99% 38.9K $3M +42.1%
ARLP|Alliance Resource Partners LP
BUY +54.26% 111.7K $3M +4.2%
NE|Noble Corp PLC
SELL EXIT +41.5%
REZI|Resideo Technologies
BUY +15.10% 84.7K $3M -11.0%
TRMD|Torm Plc-a
SELL EXIT +35.3%
NTR|Nutrien Ltd
BUY +9.34% 37.3K $2M +3.0%
VSNT|Versant Media Group Inc
BUY +83.97% 69.3K $2M -2.4%
ELV|Elevance Health
BUY +33.80% 6.4K $2M +2.9%
EVTC|Evertec Inc
BUY NEW 88.5K $2M +11.4%
ALSN|Allison Transmission Hld
BUY +37.95% 21.8K $2M +7.8%
BFH|Bread Financial Holdings, Inc.
SELL EXIT +37.7%
CROX|Crocs Inc
BUY +36.86% 19.2K $2M +15.6%
PSX|Phillips 66
SELL -0.69% 12.3K $2M +80.3%
ZION|Zions Bancorporation N.a.
SELL EXIT +11.4%
ALLY|Ally Financial
BUY +41.11% 47.3K $2M -0.2%
TDW|Tidewater Inc
BUY +14.03% 29.6K $2M +14.2%
BMY|Bristol-myers Squibb Co
BUY +43.63% 37.6K $2M +16.7%
CI|Cigna Corp.
BUY +42.21% 7.6K $2M -1.5%
HTLD|Heartland Express Inc.
BUY +9.05% 138.1K $2M -8.1%
WU|Western Union
BUY +57.08% 272.5K $2M -14.8%
HCI|Hci Group Inc
SELL EXIT +4.0%
ABG|Asbury Auto Group
BUY +42.08% 10.3K $2M +6.1%
LULU|Lululemon Athletica Inc
BUY NEW 18.0K $2M -10.8%
THO|Thor Industries Inc.
BUY NEW 26.5K $2M -1.4%
CAG|Conagra Brands Inc
BUY NEW 146.2K $2M +15.0%
SIRI|Sirius Xm Holdings Inc
BUY +41.83% 66.5K $2M +5.4%
EPD|Enterprise Products Partners
SELL EXIT +103.7%
AGCO|Agco Corp.
SELL EXIT +5.3%
MTDR|Matador Resources Co.
BUY +33.99% 37.9K $2M +0.2%
UPS|United Parcel Service
BUY +7.19% 16.6K $2M +0.6%
GLOB|Globant SA
BUY NEW 61.3K $2M +0.0%
BLDR|Builders Firstsource Inc
BUY NEW 19.6K $2M -13.6%
TAP|Molson Coors Brewing Company
BUY +40.79% 44.7K $2M -0.5%
HP|Helmerich & Payne
BUY +8.34% 52.2K $2M +11.4%
SCVL|Shoe Station Group Inc
BUY NEW 116.8K $2M
UNH|Unitedhealth Group
BUY +11.51% 4.1K $2M +4.0%
AWN|Advance Auto Parts Inc.
BUY +12.19% 27.1K $2M
TSN|Tyson Foods
SELL EXIT +9.3%
FIBK|First Interstate Bancsystem Inc
SELL EXIT +8.8%
LKQ|Lkq Corp
BUY +45.54% 62.1K $2M -6.9%
CNC|Centene Corp
BUY +32.53% 25.1K $2M +12.2%
LW|Lamb Weston Holdings Inc
BUY +43.59% 37.3K $2M +26.9%
EFOR|Everforth Inc
BUY NEW 87.6K $2M +53.5%
BZH|Beazer Homes USA
BUY +7.74% 54.4K $2M +44.7%
SFNC|Simmons Firs National Corp-a
SELL EXIT +8.7%
DVN|Devon Energy Corp
BUY +33.27% 34.1K $1M +1.7%
KVUE|Kenvue Inc.
BUY +78.33% 72.9K $1M +9.9%
LPG|Dorian Lpg Limited
BUY +12.46% 39.9K $1M +23.2%
CVS|Cvs Corp.
SELL EXIT +26.7%
EMR|Emerson Electric Co
SELL -2.24% 8.7K $1M
AMN|Amn Healthcare Services Inc
BUY +33.39% 37.3K $1M +28.9%
VZ|Verizon Communications
SELL -0.39% 23.9K $1M -17.3%
BSM|Blackstone Mine
BUY +7.97% 83.5K $1M +7.4%
CMCSA|Comcast Corporation - Class A
SELL -0.53% 31.3K $769152
HLN|Haleon PLC ADR
SELL -0.98% 72.0K $672087 +50.9%
EMBC|Embecta Corp
SELL EXIT -70.5%
OEC|Orion SA
SELL -1.27% 90.5K $600148 +24.7%
FMC|Fmc Corp.
BUY +42.29% 43.9K $505253 -21.3%
BABA|Alibaba Group Holding Sp-adr
SELL -2.46% 4.0K $380081 -47.7%
PSEC|Prospect Capital Corp
SELL EXIT -26.4%
CNXC|Concentrix Corp
SELL -1.41% 13.4K $300922 -78.7%
FDXF|Fedex Holdings Co Inc
BUY NEW 2.2K $333031 -17.7%
BAX|Baxter International Inc
SELL -2.67% 9.5K $202092
INTC|Intel Corp
BUY NEW 1.5K $209445 -15.8%
MICC|Magnum Ice Cream Co NV ADR
SELL -3.26% 11.7K $202896 -4.1%
2026-Q1
CNH|Cnh Industrial NV
BUY +1.15% 20.2M $222M +4.3%
IONS|Ionis Pharmaceuticals Inc.
SELL -21.56% 2.3M $171M +131.7%
KOF|Coca Cola Femsa
SELL -3.01% 1.2M $114M
GOOGL|Alphabet Inc-cl A
SELL -15.23% 198.3K $57M
JNJ|Johnson & Johnson
SELL -9.30% 219.5K $54M +69.9%
ALV|Autoliv Inc.
SELL -11.34% 383.6K $40M +61.5%
BRK-B|Berkshire Hathaway Inc Del Cl B
SELL -1.72% 97.4K $47M
WFC|Wells Fargo & Co
SELL -11.29% 515.9K $41M +65.9%
NVST|Envista Holdings Corp
SELL -1.07% 1.4M $36M +21.6%
FDX|Fedex Corp.
SELL -34.65% 74.0K $26M +69.7%
TFC|Truist Financial Corp
SELL -3.18% 557.4K $26M +14.8%
UNF|Unifirst Corp
BUY NEW 101.7K $26M +22.8%
AZO|Autozone, Inc.
SELL -4.83% 5.5K $19M
UHAL-B|U-haul Holding Co - Non Voting
SELL -0.27% 463.3K $21M -11.5%
AXP|American Express Co
SELL -4.91% 63.0K $19M +107.0%
BAC|Bank Of America Corp Com
SELL -4.15% 365.3K $18M +96.6%
VRTX|Vertex Pharmaceuticals
BUY +3.38% 40.4K $18M +17.0%
BK|Bank Of New York Mellon Corp
SELL -21.64% 109.0K $13M
DGED|Diageo P L C - ADR
SELL -0.62% 126.2K $9M
JAZZ|Jazz Pharmaceuticals PLC
BUY NEW 60.2K $11M +46.8%
NVS|Novartis AG American Depository Shares
SELL -6.24% 71.3K $11M +94.0%
TTE|Totalenergies SE ADR
BUY NEW 117.6K $11M +12.3%
USB|US Bancorp
SELL -6.06% 184.2K $10M +12.8%
TTE|Totalenergies SE ADR
SELL EXIT +18.1%
FMC|Fmc Corp.
SELL -86.21% 30.9K $531702 -80.0%
UNP|Union Pacific Corp
SELL -4.70% 19.2K $5M +62.3%
GSK|Gsk PLC ADR
SELL -0.56% 81.8K $5M +62.2%
SNEX|Stonex Group, Inc.
BUY +178.02% 54.0K $4M -7.4%
CSCO|Cisco Systems Inc
SELL -1.65% 55.2K $4M
GL|Globe Life Inc.
SELL -4.48% 27.8K $4M +50.0%
COP|Conocophillips
BUY +24.21% 30.7K $4M +17.5%
ATMU|Atmus Filtration Technologies
SELL EXIT +153.1%
UL|Unilever PLC Sponsored ADR
SELL EXIT +0.2%
KT|Kt Corp - ADR
BUY +136.83% 167.2K $4M -9.1%
EPD|Enterprise Products Partners
SELL -52.46% 51.5K $2M +94.2%
UL|Unilever PLC Sponsored ADR
BUY NEW 51.7K $3M -3.1%
HAFN|Hafnia Ltd
BUY +133.24% 376.9K $3M +24.6%
NE|Noble Corp PLC
BUY +83.47% 54.4K $3M +6.5%
TRMD|Torm Plc-a
BUY +132.24% 92.9K $3M +26.6%
NTR|Nutrien Ltd
BUY +133.58% 34.1K $3M +2.4%
REZI|Resideo Technologies
BUY +84.12% 73.6K $2M -44.2%
BFH|Bread Financial Holdings, Inc.
BUY +85.52% 31.3K $2M +47.9%
PSX|Phillips 66
SELL -1.08% 12.4K $2M +61.4%
ZION|Zions Bancorporation N.a.
BUY +83.45% 37.9K $2M +21.9%
TDW|Tidewater Inc
BUY +82.67% 25.9K $2M +31.9%
HCI|Hci Group Inc
BUY +16.10% 10.9K $2M +15.8%
ARLP|Alliance Resource Partners LP
BUY +80.96% 72.4K $2M +2.4%
PNC|Pnc Financial Services Group Inc.
BUY +80.92% 9.4K $2M +11.8%
AGCO|Agco Corp.
BUY +77.30% 16.6K $2M -4.8%
DINO|Hf Sinclair Corp
BUY +107.67% 29.7K $2M +83.2%
ALSN|Allison Transmission Hld
BUY +79.89% 15.8K $2M +13.7%
MTDR|Matador Resources Co.
BUY +82.62% 28.3K $2M +17.8%
HP|Helmerich & Payne
BUY +82.70% 48.2K $2M +23.7%
GIII|G III Apparel
BUY +86.62% 60.5K $2M +12.3%
TSN|Tyson Foods
BUY +84.11% 26.1K $2M -11.2%
ARW|Arrow Electric
BUY +80.93% 11.7K $2M +49.2%
FIBK|First Interstate Bancsystem Inc
BUY +81.25% 49.4K $2M +3.1%
BMY|Bristol-myers Squibb Co
BUY +80.82% 26.2K $2M +13.4%
GOOG|Alphabet Inc-cl C
SELL EXIT
UPS|United Parcel Service
BUY +81.55% 15.5K $2M -1.3%
WU|Western Union
BUY +87.69% 173.5K $2M -24.1%
SFNC|Simmons Firs National Corp-a
BUY +85.29% 77.2K $2M +17.9%
CI|Cigna Corp.
BUY NEW 5.4K $1M +0.2%
ABG|Asbury Auto Group
BUY NEW 7.3K $1M -6.7%
ELV|Elevance Health
BUY +77.89% 4.8K $1M +19.5%
VSNT|Versant Media Group Inc
BUY NEW 37.7K $1M +18.8%
CVS|Cvs Corp.
BUY +84.73% 19.1K $1M +20.4%
TAP|Molson Coors Brewing Company
BUY NEW 31.8K $1M -13.4%
GM|General Motors
SELL EXIT +54.5%
HTLD|Heartland Express Inc.
BUY +84.23% 126.7K $1M +18.6%
ALLY|Ally Financial
BUY NEW 33.5K $1M +2.3%
DVN|Devon Energy Corp
BUY +80.58% 25.6K $1M +8.3%
AWN|Advance Auto Parts Inc.
BUY +85.66% 24.2K $1M
LKQ|Lkq Corp
BUY NEW 42.6K $1M -22.4%
LPG|Dorian Lpg Limited
BUY +83.37% 35.5K $1M +55.0%
EMR|Emerson Electric Co
SELL -2.67% 8.9K $1M
WF2|Wintrust Financial
SELL EXIT
BSM|Blackstone Mine
BUY +81.18% 77.4K $1M -0.5%
CROX|Crocs Inc
BUY +81.00% 14.0K $1M +43.4%
AN|Autonation, Inc.
SELL EXIT +2.8%
LW|Lamb Weston Holdings Inc
BUY +82.96% 26.0K $1M +23.4%
SIRI|Sirius Xm Holdings Inc
BUY +81.71% 46.9K $1M +33.3%
UNH|Unitedhealth Group
BUY +71.60% 3.7K $992254 +37.7%
BZH|Beazer Homes USA
BUY +84.82% 50.5K $972063 +41.0%
WMK|Weis Markets Inc
SELL EXIT -6.4%
EIG|Employers Holding Inc
SELL EXIT -6.8%
CVE|Cenovus Energy
SELL EXIT +54.3%
OBDC|Blue Owl Capital Corp
SELL EXIT -20.1%
HLN|Haleon PLC ADR
SELL -5.11% 72.8K $728228 +68.5%
KVUE|Kenvue Inc.
SELL -0.33% 40.9K $705219 -24.4%
CCSI|Consensus Cloud
SELL EXIT +3.8%
EMBC|Embecta Corp
BUY +82.55% 75.4K $666147 -51.7%
CNXC|Concentrix Corp
SELL -3.78% 13.6K $372725 -72.1%
CLF|Cleveland-cliffs Inc
SELL EXIT +15.7%
CNC|Centene Corp
BUY +83.67% 19.0K $620587 +52.8%
AMN|Amn Healthcare Services Inc
BUY +80.64% 28.0K $512841 +80.6%
PSEC|Prospect Capital Corp
BUY +16.71% 163.0K $422048 -15.0%
OEC|Orion SA
BUY +82.22% 61.1K $397280 +5.2%
HLF|Herbalife Ltd
SELL EXIT +98.0%
ALB|Albemarle Corp
SELL EXIT +113.6%
MICC|Magnum Ice Cream Co NV ADR
BUY NEW 12.0K $180103 +27.0%
2025-Q3
IONS|Ionis Pharmaceuticals Inc.
BUY +0.32% 2.9M $190M +45.7%
CNH|Cnh Industrial NV
SELL -0.23% 13.3M $144M +13.0%
KOF|Coca Cola Femsa
SELL -0.95% 1.2M $100M
BRK-A|Berkshire Hathaway Inc
SELL -5.88% 144 $109M
GOOGL|Alphabet Inc-cl A
SELL -27.18% 234.0K $57M
ALV|Autoliv Inc.
SELL -0.13% 432.7K $53M +55.8%
BRK-B|Berkshire Hathaway Inc Del Cl B
SELL -2.35% 99.1K $50M
WFC|Wells Fargo & Co
SELL -2.87% 581.6K $49M +55.4%
JNJ|Johnson & Johnson
SELL -1.11% 242.0K $45M +24.2%
NVST|Envista Holdings Corp
SELL -0.55% 1.5M $30M -0.3%
FDX|Fedex Corp.
SELL -0.66% 113.3K $27M +10.1%
TFC|Truist Financial Corp
SELL -0.83% 575.7K $26M +3.7%
UHAL-B|U-haul Holding Co - Non Voting
SELL -2.27% 464.6K $24M -1.1%
AZO|Autozone, Inc.
SELL -3.88% 5.8K $25M
AXP|American Express Co
SELL -2.73% 66.2K $22M +91.3%
BAC|Bank Of America Corp Com
SELL -1.20% 381.1K $20M +82.3%
SEE|Sealed Air Corporation
SELL -1.32% 509.6K $18M +11.9%
VRTX|Vertex Pharmaceuticals
BUY +4.86% 39.1K $15M +38.3%
BK|Bank Of New York Mellon Corp
SELL -2.74% 139.0K $15M
DGED|Diageo P L C - ADR
SELL -2.91% 127.0K $12M
FMC|Fmc Corp.
SELL -5.97% 223.9K $8M -47.9%
NVS|Novartis AG American Depository Shares
SELL -1.57% 76.1K $10M +57.1%
USB|US Bancorp
SELL -3.45% 196.1K $9M -2.9%
TTE|Totalenergies SE ADR
SELL -0.74% 132.2K $8M -5.2%
UNP|Union Pacific Corp
SELL -2.83% 20.1K $5M +50.3%
GL|Globe Life Inc.
SELL -4.54% 29.1K $4M +47.8%
ATMU|Atmus Filtration Technologies
SELL -0.48% 89.2K $4M +89.3%
CSCO|Cisco Systems Inc
SELL -2.83% 56.1K $4M
UL|Unilever PLC Sponsored ADR
SELL -0.54% 62.6K $4M +3.9%
GSK|Gsk PLC ADR
SELL -5.33% 82.2K $4M +18.0%
COP|Conocophillips
BUY +16.04% 24.7K $2M +37.1%
GOOG|Alphabet Inc-cl C
SELL -52.32% 6.3K $2M
SNEX|Stonex Group, Inc.
BUY NEW 19.4K $2M -28.5%
HCI|Hci Group Inc
BUY +97.35% 9.4K $2M +19.6%
REZI|Resideo Technologies
BUY +105.42% 40.0K $2M -37.2%
PSX|Phillips 66
SELL -2.89% 12.5K $2M +33.2%
KT|Kt Corp - ADR
BUY +109.81% 70.6K $1M -3.6%
GM|General Motors
BUY +104.50% 22.0K $1M +53.3%
EMR|Emerson Electric Co
SELL -5.17% 9.2K $1M
WF2|Wintrust Financial
BUY +104.89% 9.1K $1M
ZION|Zions Bancorporation N.a.
BUY +105.34% 20.6K $1M +28.5%
AN|Autonation, Inc.
BUY +104.58% 5.2K $1M -6.2%
CMCSA|Comcast Corporation - Class A
SELL -0.22% 31.5K $989604
VZ|Verizon Communications
SELL -0.26% 24.0K $1M -23.8%
PNC|Pnc Financial Services Group Inc.
BUY NEW 5.2K $1M +23.7%
ARLP|Alliance Resource Partners LP
BUY +105.37% 40.0K $1M +6.3%
AGCO|Agco Corp.
BUY +97.46% 9.4K $1M +0.9%
HAFN|Hafnia Ltd
BUY +110.92% 161.6K $967966 +47.2%
KVUE|Kenvue Inc.
SELL -10.50% 41.0K $666095 -9.8%
BFH|Bread Financial Holdings, Inc.
BUY +104.38% 16.9K $939780 +76.2%
ELV|Elevance Health
BUY NEW 2.7K $871132 +28.7%
FIBK|First Interstate Bancsystem Inc
BUY +104.24% 27.2K $868107 +21.3%
GIII|G III Apparel
BUY NEW 32.4K $861978 +29.0%
NTR|Nutrien Ltd
BUY +109.96% 14.6K $858476 +25.6%
NE|Noble Corp PLC
BUY +105.42% 29.7K $839039 +64.8%
WMK|Weis Markets Inc
BUY NEW 11.6K $834411 +3.7%
TRMD|Torm Plc-a
BUY +109.54% 40.0K $824944 +59.0%
LW|Lamb Weston Holdings Inc
BUY +105.43% 14.2K $824097 -0.7%
EIG|Employers Holding Inc
BUY +105.26% 19.4K $822583 +15.7%
AWN|Advance Auto Parts Inc.
BUY +106.13% 13.0K $799367
SFNC|Simmons Firs National Corp-a
BUY +103.46% 41.7K $798622 +17.4%
CVE|Cenovus Energy
BUY +111.99% 46.9K $797211 +105.8%
HLN|Haleon PLC ADR
SELL -0.18% 76.7K $687712 +58.2%
CNXC|Concentrix Corp
SELL -4.71% 14.2K $653392 -56.2%
CVS|Cvs Corp.
BUY +104.64% 10.4K $780814 +35.5%
ARW|Arrow Electric
BUY +105.41% 6.5K $780450 +64.5%
OBDC|Blue Owl Capital Corp
BUY +105.42% 60.6K $774232 -16.3%
TSN|Tyson Foods
BUY +105.43% 14.2K $770463 +0.4%
TDW|Tidewater Inc
BUY +105.43% 14.2K $756699 +66.2%
DINO|Hf Sinclair Corp
BUY +106.73% 14.3K $748881 +114.7%
ALSN|Allison Transmission Hld
BUY NEW 8.8K $745331 +46.3%
WU|Western Union
BUY NEW 92.4K $738412 -14.1%
UNH|Unitedhealth Group
BUY +95.16% 2.1K $737906 +30.0%
UPS|United Parcel Service
BUY NEW 8.5K $713847 +21.2%
MTDR|Matador Resources Co.
BUY +105.29% 15.5K $695921 +16.5%
CCSI|Consensus Cloud
BUY +104.93% 23.3K $683499 +37.0%
BZH|Beazer Homes USA
BUY +106.25% 27.3K $671099 +34.9%
BMY|Bristol-myers Squibb Co
BUY +101.36% 14.5K $652417 +42.3%
CROX|Crocs Inc
BUY +105.33% 7.7K $646928 +40.5%
CLF|Cleveland-cliffs Inc
BUY +103.81% 52.0K $634241 +12.5%
SIRI|Sirius Xm Holdings Inc
BUY +105.41% 25.8K $600495 +22.4%
HP|Helmerich & Payne
BUY +105.75% 26.4K $582933 +139.8%
EMBC|Embecta Corp
BUY +105.42% 41.3K $582447 -63.6%
LPG|Dorian Lpg Limited
BUY +105.43% 19.3K $576600 +62.2%
HTLD|Heartland Express Inc.
BUY +104.22% 68.8K $576125 +45.5%
BSM|Blackstone Mine
BUY +104.75% 42.7K $561091 +19.2%
DVN|Devon Energy Corp
BUY +105.43% 14.2K $497466 +39.2%
PSEC|Prospect Capital Corp
BUY +108.29% 139.6K $383961 -19.4%
HLF|Herbalife Ltd
BUY +104.07% 44.1K $372508 +32.1%
CNC|Centene Corp
BUY +105.41% 10.3K $368218 +122.7%
LGND|Ligand Pharmaceuticals
SELL EXIT +45.1%
ALB|Albemarle Corp
BUY NEW 3.9K $313699 +66.1%
AMN|Amn Healthcare Services Inc
BUY NEW 15.5K $299693 +78.5%
BAX|Baxter International Inc
SELL -0.32% 9.7K $221757
OEC|Orion SA
BUY +105.41% 33.5K $254241 -40.0%
HPK|Highpeak Energy, Inc.
SELL EXIT -33.5%
ACDC|Profrac Holdings A
SELL EXIT -40.5%
SELL EXIT
2025-Q2
CNH|Cnh Industrial NV
SELL -0.18% 13.3M $173M +14.7%
BRK-A|Berkshire Hathaway Inc
SELL -8.38% 153 $112M
KOF|Coca Cola Femsa
SELL -5.24% 1.2M $118M
IONS|Ionis Pharmaceuticals Inc.
SELL -3.07% 2.9M $114M -4.9%
GOOGL|Alphabet Inc-cl A
SELL -52.25% 321.3K $57M
JNJ|Johnson & Johnson
SELL -44.16% 244.7K $37M +9.8%
BRK-B|Berkshire Hathaway Inc Del Cl B
BUY +12.81% 101.5K $49M -0.7%
ALV|Autoliv Inc.
SELL -0.11% 433.2K $48M +32.2%
WFC|Wells Fargo & Co
SELL -7.06% 598.8K $48M +40.0%
NVST|Envista Holdings Corp
SELL -2.43% 1.5M $29M -14.8%
UHAL-B|U-haul Holding Co - Non Voting
SELL -1.06% 475.4K $26M +3.7%
FDX|Fedex Corp.
SELL -1.01% 114.0K $26M +4.5%
TFC|Truist Financial Corp
SELL -4.49% 580.5K $25M -9.6%
AZO|Autozone, Inc.
SELL -3.28% 6.1K $22M
AXP|American Express Co
SELL -5.19% 68.1K $22M +72.1%
VRTX|Vertex Pharmaceuticals
SELL -2.77% 37.3K $17M +28.8%
BAC|Bank Of America Corp Com
SELL -1.88% 385.7K $18M +63.3%
SEE|Sealed Air Corporation
SELL -5.50% 516.4K $16M +7.6%
DGED|Diageo P L C - ADR
SELL -3.96% 130.8K $13M
BK|Bank Of New York Mellon Corp
SELL -3.73% 143.0K $13M
FMC|Fmc Corp.
SELL -17.09% 238.1K $10M -46.6%
NVS|Novartis AG American Depository Shares
SELL -4.64% 77.3K $9M +43.6%
USB|US Bancorp
SELL -2.40% 203.1K $9M -11.7%
TTE|Totalenergies SE ADR
SELL -2.93% 133.2K $8M -9.0%
UNP|Union Pacific Corp
SELL -1.66% 20.7K $5M +49.3%
GL|Globe Life Inc.
SELL -3.48% 30.5K $4M +28.3%
CSCO|Cisco Systems Inc
SELL -0.93% 57.8K $4M
UL|Unilever PLC Sponsored ADR
SELL -5.58% 63.0K $4M +6.5%
EPD|Enterprise Products Partners
SELL -2.69% 108.4K $3M +68.1%
GSK|Gsk PLC ADR
SELL -4.06% 86.9K $3M +15.4%
COP|Conocophillips
SELL -6.19% 21.3K $2M
GOOG|Alphabet Inc-cl C
SELL -7.88% 13.2K $2M
PSX|Phillips 66
SELL -1.73% 12.9K $2M +17.2%
EMR|Emerson Electric Co
SELL -2.71% 9.7K $1M
CNXC|Concentrix Corp
SELL -32.62% 14.9K $785320 -56.0%
CMCSA|Comcast Corporation - Class A
SELL -2.36% 31.6K $1M
KVUE|Kenvue Inc.
SELL -2.63% 45.9K $959787 -1.5%
HLN|Haleon PLC ADR
SELL -5.67% 76.8K $796478 +71.4%
HCI|Hci Group Inc
BUY +140.28% 4.8K $724472 +24.1%
KT|Kt Corp - ADR
BUY +176.91% 33.6K $699143 +1.7%
BABA|Alibaba Group Holding Sp-adr
SELL -12.59% 4.1K $460445 -51.9%
WF2|Wintrust Financial
BUY +117.74% 4.4K $547744
GM|General Motors
BUY +123.15% 10.8K $529942 +80.7%
ZION|Zions Bancorporation N.a.
BUY +120.84% 10.1K $522257 +53.7%
ARLP|Alliance Resource Partners LP
BUY +122.47% 19.5K $509129 +0.2%
AN|Autonation, Inc.
BUY NEW 2.5K $502982 +9.3%
AGCO|Agco Corp.
BUY NEW 4.8K $490526 +11.4%
BFH|Bread Financial Holdings, Inc.
BUY NEW 8.2K $470954 +113.0%
EIG|Employers Holding Inc
BUY +119.96% 9.4K $445096 +2.4%
REZI|Resideo Technologies
BUY NEW 19.5K $429442 -1.0%
OBDC|Blue Owl Capital Corp
BUY +119.75% 29.5K $423245 -17.1%
NTR|Nutrien Ltd
BUY NEW 7.0K $404804 +27.1%
ARW|Arrow Electric
BUY NEW 3.1K $400130 +76.5%
SFNC|Simmons Firs National Corp-a
BUY NEW 20.5K $388225 +24.5%
TSN|Tyson Foods
BUY NEW 6.9K $386378 -1.2%
FIBK|First Interstate Bancsystem Inc
BUY NEW 13.3K $384372 +38.2%
NE|Noble Corp PLC
BUY NEW 14.4K $383462 +94.1%
HAFN|Hafnia Ltd
BUY +171.86% 76.6K $382319 +64.2%
CROX|Crocs Inc
BUY NEW 3.8K $381927 +20.9%
MTDR|Matador Resources Co.
BUY NEW 7.5K $360047 +29.5%
LW|Lamb Weston Holdings Inc
BUY NEW 6.9K $358128 +2.6%
LGND|Ligand Pharmaceuticals
BUY NEW 3.1K $356955 +177.6%
CVS|Cvs Corp.
BUY NEW 5.1K $349108 +41.0%
UNH|Unitedhealth Group
BUY NEW 1.1K $341607 +24.0%
BAX|Baxter International Inc
SELL -0.62% 9.8K $295836
BMY|Bristol-myers Squibb Co
BUY NEW 7.2K $332547 +38.3%
TDW|Tidewater Inc
BUY NEW 6.9K $318620 +126.8%
TRMD|Torm Plc-a
BUY NEW 19.1K $318089 +91.2%
CVE|Cenovus Energy
BUY NEW 22.1K $300717 +133.5%
BZH|Beazer Homes USA
BUY NEW 13.3K $296492 +58.0%
AWN|Advance Auto Parts Inc.
BUY NEW 6.3K $293631
HTLD|Heartland Express Inc.
BUY +119.57% 33.7K $290857 +42.7%
SIRI|Sirius Xm Holdings Inc
BUY NEW 12.6K $288503 +31.2%
DINO|Hf Sinclair Corp
BUY NEW 6.9K $284315 +173.6%
BSM|Blackstone Mine
BUY NEW 20.9K $272783 +8.7%
CNC|Centene Corp
BUY NEW 5.0K $272703 +9.9%
CCSI|Consensus Cloud
BUY NEW 11.4K $261869 +58.2%
HPK|Highpeak Energy, Inc.
BUY +118.89% 24.9K $243746 -26.5%
FITBI|Fifth Third Banc
SELL EXIT -1.2%
LPG|Dorian Lpg Limited
BUY NEW 9.4K $229635 +125.2%
DVN|Devon Energy Corp
BUY NEW 6.9K $219712 +49.6%
ACDC|Profrac Holdings A
BUY +120.72% 27.6K $214424 -32.6%
PSEC|Prospect Capital Corp
BUY +119.33% 67.0K $213162 -33.8%
EMBC|Embecta Corp
BUY NEW 20.1K $194721 -56.8%
HP|Helmerich & Payne
BUY NEW 12.8K $194442 +131.3%
CLF|Cleveland-cliffs Inc
BUY +124.43% 25.5K $193853 +60.7%
HLF|Herbalife Ltd
BUY NEW 21.6K $186433 +69.6%
OEC|Orion SA
BUY NEW 16.3K $171291 -44.5%
BUY +120.43% 22.6K $24189
2025-Q1
BRK-A|Berkshire Hathaway Inc
SELL -41.40% 167 $133M
CNH|Cnh Industrial NV
SELL -8.88% 13.3M $164M +16.1%
JNJ|Johnson & Johnson
SELL -59.44% 438.3K $73M +11.3%
GOOGL|Alphabet Inc-cl A
SELL -8.67% 672.9K $104M
FMC|Fmc Corp.
SELL -89.96% 287.2K $12M -43.5%
KOF|Coca Cola Femsa
SELL -3.36% 1.3M $117M
IONS|Ionis Pharmaceuticals Inc.
SELL -8.17% 3.0M $90M -5.7%
BRK-B|Berkshire Hathaway Inc Del Cl B
SELL -10.40% 90.0K $48M
WFC|Wells Fargo & Co
SELL -4.88% 644.3K $46M +45.0%
ALV|Autoliv Inc.
SELL -2.35% 433.7K $38M +24.7%
FDX|Fedex Corp.
SELL -3.07% 115.2K $28M +23.6%
UHAL-B|U-haul Holding Co - Non Voting
SELL -1.84% 480.4K $28M +18.8%
NVST|Envista Holdings Corp
SELL -2.09% 1.5M $26M -5.5%
TFC|Truist Financial Corp
SELL -4.55% 607.8K $25M +4.0%
AXP|American Express Co
SELL -19.80% 71.8K $19M +80.4%
AZO|Autozone, Inc.
SELL -18.71% 6.3K $24M
SEE|Sealed Air Corporation
SELL -3.19% 546.5K $16M +17.6%
BAC|Bank Of America Corp Com
SELL -8.55% 393.1K $16M +71.2%
VRTX|Vertex Pharmaceuticals
SELL -5.70% 38.3K $19M +35.8%
DGED|Diageo P L C - ADR
SELL -1.61% 136.2K $14M
BK|Bank Of New York Mellon Corp
SELL -5.34% 148.5K $12M
USB|US Bancorp
SELL -9.98% 208.1K $9M -3.2%
NVS|Novartis AG American Depository Shares
SELL -2.55% 81.0K $9M +37.3%
TTE|Totalenergies SE ADR
SELL -3.54% 137.2K $9M -7.0%
KVUE|Kenvue Inc.
SELL -86.80% 47.1K $1M -6.1%
ATMU|Atmus Filtration Technologies
SELL -31.99% 89.6K $3M +71.7%
UNP|Union Pacific Corp
SELL -4.08% 21.1K $5M +62.9%
EPD|Enterprise Products Partners
SELL -18.24% 111.4K $4M +80.7%
GL|Globe Life Inc.
SELL -4.84% 31.6K $4M +29.6%
UL|Unilever PLC Sponsored ADR
SELL -3.09% 66.7K $4M -2.4%
PGR|Progressive Corp
SELL -6.00% 13.7K $4M +186.9%
CSCO|Cisco Systems Inc
SELL -2.74% 58.3K $4M
GSK|Gsk PLC ADR
SELL -3.49% 90.5K $4M +10.2%
GOOG|Alphabet Inc-cl C
SELL -2.64% 14.3K $2M
COP|Conocophillips
SELL -5.41% 22.7K $2M
PSX|Phillips 66
SELL -2.75% 13.1K $2M +28.1%
EMR|Emerson Electric Co
SELL -6.12% 10.0K $1M
CMCSA|Comcast Corporation - Class A
SELL -6.51% 32.3K $1M
CNXC|Concentrix Corp
SELL -21.82% 22.1K $1M -61.9%
HLN|Haleon PLC ADR
SELL -4.78% 81.4K $837802 +61.0%
BAX|Baxter International Inc
SELL -0.30% 9.8K $336515
HCI|Hci Group Inc
BUY NEW 2.0K $295625 +52.8%
ARLP|Alliance Resource Partners LP
BUY NEW 8.8K $238836 -1.1%
FITBI|Fifth Third Banc
BUY NEW 5.9K $232260 -0.3%
WF2|Wintrust Financial
BUY NEW 2.0K $228181
ZION|Zions Bancorporation N.a.
BUY NEW 4.6K $227013 +31.6%
GM|General Motors
BUY NEW 4.8K $226967 +77.4%
EIG|Employers Holding Inc
BUY NEW 4.3K $217195 -0.2%
KT|Kt Corp - ADR
BUY NEW 12.2K $215176 +13.1%
OBDC|Blue Owl Capital Corp
BUY NEW 13.4K $196898 -20.7%
HPK|Highpeak Energy, Inc.
BUY NEW 11.4K $143856 -47.9%
HTLD|Heartland Express Inc.
BUY NEW 15.3K $141361 +14.1%
PSEC|Prospect Capital Corp
BUY NEW 30.6K $125304 -45.9%
HAFN|Hafnia Ltd
BUY NEW 28.2K $117241 +62.5%
ACDC|Profrac Holdings A
BUY NEW 12.5K $95019 -43.7%
CLF|Cleveland-cliffs Inc
BUY NEW 11.4K $93420 +17.2%
BUY NEW 10.3K $10769
2024-Q4
BRK-A|Berkshire Hathaway Inc
SELL -49.47% 285 $194M
GOOGL|Alphabet Inc-cl A
SELL -56.70% 736.8K $139M
FMC|Fmc Corp.
SELL -8.43% 2.9M $139M -19.4%
JNJ|Johnson & Johnson
SELL -4.06% 1.1M $156M +10.8%
CNH|Cnh Industrial NV
SELL -4.56% 14.6M $166M +2.3%
IONS|Ionis Pharmaceuticals Inc.
SELL -5.96% 3.2M $114M +9.1%
KOF|Coca Cola Femsa
SELL -4.01% 1.3M $104M
BRK-B|Berkshire Hathaway Inc Del Cl B
SELL -28.71% 100.4K $46M
WFC|Wells Fargo & Co
SELL -20.71% 677.4K $48M +34.3%
ALV|Autoliv Inc.
SELL -5.76% 444.2K $42M +25.9%
UHAL-B|U-haul Holding Co - Non Voting
SELL -18.21% 489.4K $31M +23.9%
FDX|Fedex Corp.
SELL -24.40% 118.9K $33M +32.5%
NVST|Envista Holdings Corp
SELL -19.00% 1.5M $29M -6.3%
AZO|Autozone, Inc.
SELL -30.19% 7.7K $25M
TFC|Truist Financial Corp
SELL -16.31% 636.8K $28M +0.9%
SEE|Sealed Air Corporation
SELL -26.32% 564.5K $19M +25.3%
AXP|American Express Co
SELL -10.49% 89.5K $27M +72.4%
VRTX|Vertex Pharmaceuticals
SELL -24.20% 40.6K $16M +33.9%
BAC|Bank Of America Corp Com
SELL -15.13% 429.9K $19M +67.2%
DGED|Diageo P L C - ADR
SELL -0.65% 138.4K $18M
BK|Bank Of New York Mellon Corp
SELL -40.50% 156.9K $12M
USB|US Bancorp
SELL -6.62% 231.2K $11M +1.0%
CSCO|Cisco Systems Inc
SELL -71.53% 59.9K $4M
UNP|Union Pacific Corp
SELL -48.79% 22.0K $5M +59.2%
NVS|Novartis AG American Depository Shares
SELL -2.58% 83.1K $8M +34.2%
TTE|Totalenergies SE ADR
SELL -1.79% 142.2K $8M -6.5%
GOOG|Alphabet Inc-cl C
SELL -73.13% 14.7K $3M
KVUE|Kenvue Inc.
SELL -6.89% 356.8K $8M -2.4%
CNXC|Concentrix Corp
SELL -82.82% 28.2K $1M -63.8%
PGR|Progressive Corp
SELL -30.18% 14.6K $3M +174.9%
UL|Unilever PLC Sponsored ADR
SELL -2.09% 68.8K $4M +0.8%
GSK|Gsk PLC ADR
SELL -13.16% 93.8K $3M +7.1%
PSX|Phillips 66
SELL -55.44% 13.5K $2M +34.6%
GL|Globe Life Inc.
SELL -6.39% 33.2K $4M +15.2%
COP|Conocophillips
SELL -10.15% 24.0K $2M
CMCSA|Comcast Corporation - Class A
SELL -2.55% 34.6K $1M
BABA|Alibaba Group Holding Sp-adr
SELL -64.10% 4.6K $393850 -62.8%
EMR|Emerson Electric Co
SELL -11.26% 10.6K $1M
VZ|Verizon Communications
SELL -11.00% 24.0K $961120 -25.8%
HLN|Haleon PLC ADR
SELL -8.63% 85.5K $815756 +58.9%
2024-Q3
BRK-A|Berkshire Hathaway Inc
SELL -13.50% 564 $390M
GOOGL|Alphabet Inc-cl A
SELL -12.49% 1.7M $282M
FMC|Fmc Corp.
SELL -1.06% 3.1M $206M -16.7%
JNJ|Johnson & Johnson
SELL -0.38% 1.1M $183M +14.5%
CNH|Cnh Industrials
SELL -0.18% 15.3M $170M -7.7%
KOF|Coca Cola Femsa
SELL -0.31% 1.4M $123M
BRK-B|Berkshire Hathaway Inc Del Cl B
SELL -6.02% 140.9K $65M
WFC|Wells Fargo & Co
SELL -1.91% 854.3K $48M +7.7%
ALV|Autoliv Inc.
SELL -0.14% 471.3K $44M +29.9%
FDX|Fedex Corp.
SELL -2.32% 157.2K $43M +40.2%
UHAL-B|U-haul Holding Co - Non Voting
SELL -0.59% 598.4K $43M +20.3%
NVST|Envista Holdings Corp
SELL -0.78% 1.9M $37M -17.3%
AZO|Autozone, Inc.
SELL -9.09% 11.0K $35M
TFC|Truist Financial Corp
SELL -2.41% 760.9K $33M -3.2%
SEE|Sealed Air Corporation
SELL -14.24% 766.1K $28M +21.6%
GOOG|Alphabet Inc-cl C
SELL -63.12% 54.6K $9M
AXP|American Express Co
SELL -3.89% 100.0K $27M +49.4%
VRTX|Vertex Pharmaceuticals
SELL -1.37% 53.6K $25M +37.4%
NWLIEUR|National Western Life Group
SELL EXIT
BAC|Bank Of America Corp Com
SELL -1.59% 506.5K $20M +50.4%
DGED|Diageo P L C - ADR
SELL -1.40% 139.3K $20M
BK|Bank Of New York Mellon Corp
SELL -6.05% 263.7K $19M
USB|US Bancorp
SELL -2.46% 247.6K $11M -8.2%
CSCO|Cisco Systems Inc
SELL -8.81% 210.5K $11M
UNP|Union Pacific Corp
SELL -1.11% 42.9K $11M +64.0%
CNXC|Concentrix Corp
SELL -1.27% 164.2K $8M -45.5%
TTE|Totalenergies SE ADR
SELL -2.73% 144.8K $9M +4.7%
NVS|Novartis AG American Depository Shares
SELL -2.58% 85.3K $10M +45.0%
KVUE|Kenvue Inc.
SELL -1.93% 383.2K $9M -8.6%
UL|Unilever PLC Sponsored ADR
SELL -28.07% 70.3K $5M +4.2%
PGR|Progressive Corp
SELL -6.44% 20.9K $5M +156.1%
ATMU|Atmus Filtration Technologies
SELL -0.35% 131.7K $5M +42.5%
GSK|Gsk PLC ADR
SELL -1.66% 108.0K $4M +22.7%
GL|Globe Life Inc.
BUY NEW 35.5K $4M +86.1%
COP|Conocophillips
SELL -1.18% 26.7K $3M
BIDUN|Baidu Inc. - Spon ADR
SELL EXIT
CMCSA|Comcast Corporation - Class A
SELL -5.74% 35.5K $1M
BABA|Alibaba Group Holding Sp-adr
SELL -5.37% 12.9K $1M -67.6%
VZ|Verizon Communications
SELL -6.28% 27.0K $1M -27.5%
HLN|Haleon PLC ADR
SELL -2.12% 93.6K $990119 +59.5%
2024-Q2
BRK-A|Berkshire Hathaway Inc
SELL -1.51% 652 $399M
GOOGL|Alphabet Inc-cl A
SELL -2.95% 1.9M $354M
FMC|Fmc Corp.
BUY +26.00% 3.2M $182M -81.9%
JNJ|Johnson & Johnson
SELL -0.29% 1.1M $165M +5.5%
CNH|Cnh Industrials
BUY NEW 15.4M $156M +0.3%
KOF|Coca Cola Femsa
SELL -5.63% 1.4M $119M
ALV|Autoliv Inc.
SELL -50.98% 472.0K $50M +57.1%
BRK-B|Berkshire Hathaway Inc Del Cl B
SELL -7.07% 149.9K $61M
GOOG|Alphabet Inc-cl C
SELL -64.21% 148.0K $27M
WFC|Wells Fargo & Co
SELL -2.40% 870.9K $52M +12.6%
FDX|Fedex Corp.
SELL -0.96% 161.0K $48M +24.4%
UHAL-B|U-haul Holding Co - Non Voting
SELL -0.85% 601.9K $36M +17.7%
AZO|Autozone, Inc.
SELL -0.81% 12.1K $36M
SEE|Sealed Air Corporation
SELL -1.22% 893.4K $31M +27.0%
NVST|Envista Holdings Corp
BUY +93.17% 1.9M $32M +45.3%
TFC|Truist Financial Corp
SELL -2.13% 779.7K $30M -13.1%
VRTX|Vertex Pharmaceuticals
SELL -18.52% 54.3K $25M +23.0%
AXP|American Express Co
SELL -4.69% 104.1K $24M +39.4%
NWLIEUR|National Western Life Group
SELL -0.47% 43.7K $22M
DGED|Diageo P L C - ADR
SELL -1.01% 141.3K $18M
BAC|Bank Of America Corp Com
SELL -1.24% 514.7K $20M +45.2%
BK|Bank Of New York Mellon Corp
SELL -14.08% 280.7K $17M
CSCO|Cisco Systems Inc
SELL -4.70% 230.9K $11M
USB|US Bancorp
SELL -5.53% 253.8K $10M -15.9%
CNXC|Concentrix Corp
SELL -4.05% 166.3K $11M -50.8%
UNP|Union Pacific Corp
SELL -2.46% 43.4K $10M +57.6%
TTE|Totalenergies SE ADR
SELL -5.56% 148.9K $10M +10.3%
NVS|Novartis AG American Depository Shares
SELL -2.06% 87.6K $9M +28.6%
KVUE|Kenvue Inc.
SELL -4.69% 390.7K $7M -17.8%
UL|Unilever PLC Sponsored ADR
SELL -7.84% 97.7K $5M -8.5%
GSK|Gsk PLC ADR
SELL -10.72% 109.9K $4M +24.3%
PSX|Phillips 66
SELL -3.45% 30.2K $4M +49.8%
PGR|Progressive Corp
SELL -7.90% 22.3K $5M +128.7%
COP|Conocophillips
SELL -2.04% 27.0K $3M
BIDUN|Baidu Inc. - Spon ADR
SELL -9.50% 17.5K $2M
CMCSA|Comcast Corporation - Class A
SELL -5.62% 37.6K $1M
EMR|Emerson Electric Co
SELL -10.30% 12.0K $1M
VZ|Verizon Communications
SELL -11.58% 28.8K $1M -29.5%
BABA|Alibaba Group Holding Sp-adr
SELL -20.56% 13.7K $984600 -69.5%
HLN|Haleon PLC ADR
SELL -13.46% 95.6K $789730 +36.6%
CSL|Carlisle Cos Inc
SELL EXIT +220.5%
BAX|Baxter International Inc
SELL -8.11% 9.9K $329850
2024-Q1
GOOGL|Alphabet Inc-cl A
SELL -0.18% 2.0M $302M
FMC|Fmc Corp.
SELL -15.35% 2.5M $160M -24.2%
JNJ|Johnson & Johnson
SELL -0.12% 1.1M $179M +13.6%
KOF|Coca Cola Femsa
SELL -6.65% 1.5M $143M
ALV|Autoliv Inc.
SELL -4.96% 962.8K $116M +45.4%
BRK-B|Berkshire Hathaway Inc Del Cl B
SELL -0.67% 161.3K $68M
GOOG|Alphabet Inc-cl C
SELL -7.65% 413.5K $63M
WFC|Wells Fargo & Co
SELL -0.90% 892.3K $52M -2.4%
FDX|Fedex Corp.
SELL -0.07% 162.5K $47M +18.3%
UHAL-B|U-haul Holding Co - Non Voting
SELL -0.05% 607.1K $40M +20.6%
AZO|Autozone, Inc.
SELL -0.11% 12.2K $39M
SEE|Sealed Air Corporation
SELL -0.12% 904.5K $34M +25.5%
TFC|Truist Financial Corp
BUY +0.06% 796.7K $31M +36.9%
VRTX|Vertex Pharmaceuticals
SELL -0.10% 66.7K $28M +20.4%
AXP|American Express Co
SELL -0.63% 109.2K $25M +27.2%
NWLIEUR|National Western Life Group
SELL -0.06% 43.9K $22M
DGED|Diageo P L C - ADR
SELL -0.22% 142.7K $21M
NVST|Envista Holdings Corp
BUY NEW 984.7K $21M +21.8%
BAC|Bank Of America Corp Com
BUY +0.60% 521.2K $20M +80.3%
BK|Bank Of New York Mellon Corp
SELL -7.45% 326.6K $19M
CNH|Cnh Industrials
BUY +32.04% 1.1M $14M -5.2%
CNXC|Concentrix Corp
BUY +21.61% 173.3K $11M -66.3%
CSCO|Cisco Systems Inc
SELL -0.88% 242.3K $12M
USB|US Bancorp
SELL -1.35% 268.7K $12M -13.3%
THO|Thor Industries Inc.
SELL EXIT +24.1%
UNP|Union Pacific Corp
SELL -0.11% 44.5K $11M +65.6%
TTE|Totalenergies SE ADR
BUY NEW 157.7K $11M +32.7%
TTE|Totalenergies SE ADR
SELL EXIT +4.8%
NVS|Novartis AG American Depository Shares
SELL -1.29% 89.4K $9M +31.3%
KVUE|Kenvue Inc.
SELL -3.27% 410.0K $9M -12.5%
UL|Unilever PLC Sponsored ADR
SELL -13.13% 106.0K $5M -16.5%
GSK|Gsk PLC ADR
SELL -1.09% 123.0K $5M +26.3%
PSX|Phillips 66
SELL -0.17% 31.3K $5M +50.6%
PGR|Progressive Corp
SELL -4.81% 24.2K $5M +105.2%
COP|Conocophillips
SELL -0.18% 27.6K $4M
BIDUN|Baidu Inc. - Spon ADR
SELL -4.54% 19.3K $2M
VZ|Verizon Communications
SELL -48.04% 32.6K $1M -29.5%
CMCSA|Comcast Corporation - Class A
SELL -3.86% 39.9K $2M
EMR|Emerson Electric Co
SELL -7.65% 13.3K $2M
BABA|Alibaba Group Holding Sp-adr
SELL -10.92% 17.2K $1M -70.3%
HLN|Haleon PLC ADR
SELL -4.57% 110.5K $937958 +36.2%
CSL|Carlisle Cos Inc
SELL -14.74% 2.0K $781741 +172.4%
2023-Q4
BRK-A|Berkshire Hathaway Inc
SELL -0.75% 662 $359M
GOOGL|Alphabet Inc-cl A
SELL -0.03% 2.0M $280M
FMC|Fmc Corp.
BUY +105.14% 3.0M $187M -81.0%
JNJ|Johnson & Johnson
SELL -0.46% 1.1M $178M +10.1%
IONS|Ionis Pharmaceuticals Inc.
SELL -1.58% 3.5M $175M +39.3%
KOF|Coca Cola Femsa
SELL -0.51% 1.6M $149M
ALV|Autoliv Inc.
SELL -0.36% 1.0M $112M +31.0%
GOOG|Alphabet Inc-cl C
SELL -24.71% 447.7K $63M
BRK-B|Berkshire Hathaway Inc Del Cl B
SELL -1.59% 162.4K $58M
AZO|Autozone, Inc.
SELL -33.20% 12.2K $32M
WFC|Wells Fargo & Co
SELL -1.30% 900.5K $44M -19.7%
FDX|Fedex Corp.
SELL -0.56% 162.6K $41M +21.2%
UHAL-B|U-haul Holding Co - Non Voting
BUY +45.08% 607.4K $43M +15.5%
SEE|Sealed Air Corporation
BUY +11.12% 905.5K $33M +27.4%
TFC|Truist Financial Corp
SELL -1.94% 796.2K $29M -28.4%
VRTX|Vertex Pharmaceuticals
SELL -10.99% 66.8K $27M +3.9%
DGED|Diageo P L C - ADR
SELL -1.72% 143.1K $21M
NWLIEUR|National Western Life Group
SELL -0.65% 43.9K $21M
AXP|American Express Co
SELL -3.36% 109.9K $21M -6.0%
BK|Bank Of New York Mellon Corp
SELL -17.44% 352.9K $18M
BAC|Bank Of America Corp Com
SELL -1.58% 518.0K $17M +10.2%
CSCO|Cisco Systems Inc
SELL -8.76% 244.4K $12M
CNXC|Concentrix Corp
SELL -4.06% 142.5K $14M -29.2%
USB|US Bancorp
SELL -4.65% 272.3K $12M -25.8%
THO|Thor Industries Inc.
SELL -8.31% 96.5K $11M +7.6%
UNP|Union Pacific Corp
SELL -1.13% 44.5K $11M +45.0%
TTE|Totalenergies SE ADR
SELL -3.35% 158.4K $11M +7.9%
CNH|Cnh Industrials
SELL -2.85% 819.1K $10M +73.8%
NVS|Novartis AG American Depository Shares
SELL -4.53% 90.6K $9M +24.1%
KVUE|Kenvue Inc.
SELL -5.28% 423.8K $9M -14.9%
UL|Unilever PLC Sponsored ADR
SELL -8.44% 122.0K $6M -18.7%
PGR|Progressive Corp
SELL -26.28% 25.5K $4M +72.8%
GSK|Gsk PLC ADR
SELL -4.30% 124.4K $5M +8.5%
PSX|Phillips 66
SELL -2.01% 31.4K $4M +21.1%
0VVB|Paramount Global - Class B
SELL EXIT
COP|Conocophillips
SELL -8.46% 27.7K $3M
BIDUN|Baidu Inc. - Spon ADR
SELL -7.13% 20.2K $2M
BABA|Alibaba Group Holding Sp-adr
SELL -42.62% 19.3K $1M -67.5%
CMCSA|Comcast Corporation - Class A
SELL -15.50% 41.5K $2M
INTC|Intel Corp
SELL EXIT -20.2%
EMR|Emerson Electric Co
SELL -8.44% 14.4K $1M
HLN|Haleon PLC ADR
SELL -4.10% 115.8K $952754 +34.2%
CSL|Carlisle Cos Inc
SELL -4.10% 2.3K $731086 +115.0%
BAX|Baxter International Inc
SELL -2.91% 10.7K $414860
2023-Q3
BRK-A|Berkshire Hathaway Inc
SELL -0.60% 667 $354M
GOOGL|Alphabet Inc-cl A
SELL +0.00% 2.0M $263M
JNJ|Johnson & Johnson
SELL -5.71% 1.1M $178M +16.8%
IONS|Ionis Pharmaceuticals Inc.
SELL -0.87% 3.5M $159M +18.1%
KOF|Coca Cola Femsa
SELL -13.12% 1.6M $124M
FMC|Fmc Corp.
BUY +43.18% 1.4M $97M -88.0%
ALV|Autoliv Inc.
SELL -0.04% 1.0M $98M +25.7%
BRK-B|Berkshire Hathaway Inc Del Cl B
SELL -10.82% 165.0K $58M
AZO|Autozone, Inc.
SELL -3.84% 18.3K $47M
CSCO|Cisco Systems Inc
SELL -68.04% 267.9K $14M
FDX|Fedex Corp.
SELL -3.54% 163.6K $43M +24.5%
WFC|Wells Fargo & Co
SELL -4.68% 912.3K $37M -18.2%
BK|Bank Of New York Mellon Corp
SELL -39.17% 427.5K $18M
SEE|Sealed Air Corporation
SELL -0.37% 814.9K $27M +31.8%
VRTX|Vertex Pharmaceuticals
BUY NEW 75.0K $26M +56.7%
TFC|Truist Financial Corp
SELL -3.55% 812.0K $23M -29.9%
DGED|Diageo P L C - ADR
SELL -0.49% 145.6K $22M
UHAL-B|U-haul Holding Co - Non Voting
SELL -3.36% 418.6K $22M +0.3%
AXP|American Express Co
SELL -4.70% 113.7K $17M -3.0%
NWLIEUR|National Western Life Group
SELL -0.17% 44.2K $19M
CNXC|Concentrix Corp
SELL -33.30% 148.6K $12M -37.5%
BAC|Bank Of America Corp Com
SELL -3.66% 526.4K $14M +9.8%
CNH|Cnh Industrials
SELL -1.44% 843.1K $10M +116.3%
THO|Thor Industries Inc.
SELL -3.78% 105.2K $10M +13.8%
TTE|Totalenergies SE ADR
SELL -0.98% 163.9K $11M -0.2%
USB|US Bancorp
SELL -10.25% 285.6K $9M -25.6%
NVS|Novartis AG American Depository Shares
SELL -1.19% 94.9K $10M +30.6%
UNP|Union Pacific Corp
SELL -0.17% 45.0K $9M +45.0%
KVUE|Kenvue Inc.
BUY NEW 447.4K $9M -17.8%
FMS|Fresenius Medical Care-adr
SELL EXIT -34.9%
UL|Unilever PLC Sponsored ADR
SELL -12.17% 133.3K $7M -13.2%
0VVB|Paramount Global - Class B
SELL -25.14% 287.7K $4M
GSK|Gsk PLC ADR
SELL -3.36% 130.0K $5M +6.1%
PSX|Phillips 66
SELL -0.82% 32.0K $4M +17.5%
COP|Conocophillips
SELL -0.93% 30.2K $4M
BIDUN|Baidu Inc. - Spon ADR
SELL -2.84% 21.8K $3M
BABA|Alibaba Group Holding Sp-adr
SELL -4.83% 33.7K $3M -63.0%
ATMU|Atmus Filtration Technologies
BUY NEW 132.2K $3M +123.0%
VZ|Verizon Communications
SELL -3.84% 62.7K $2M -41.0%
CMCSA|Comcast Corporation - Class A
SELL -2.91% 49.1K $2M
EMR|Emerson Electric Co
SELL -28.47% 15.8K $2M
INTC|Intel Corp
SELL -5.01% 51.0K $2M -30.1%
HLN|Haleon PLC ADR
SELL -1.39% 120.7K $1M +35.0%
CSL|Carlisle Cos Inc
SELL -1.17% 2.4K $632594 +111.2%
BAX|Baxter International Inc
SELL -2.08% 11.1K $417140
CKX|Ckx Lands Inc
SELL EXIT
2023-Q2
BRK-A|Berkshire Hathaway Inc
SELL -1.32% 671 $347M
GOOGL|Alphabet Inc-cl A
SELL -0.33% 2.0M $240M
JNJ|Johnson & Johnson
SELL -1.82% 1.2M $200M +15.7%
KOF|Coca Cola Femsa
SELL -5.20% 1.8M $152M
IONS|Ionis Pharmaceuticals Inc.
SELL -0.01% 3.5M $145M +7.4%
FMC|Fmc Corp.
SELL -3.98% 1.0M $105M +11.9%
ALV|Autoliv Inc.
SELL -5.09% 1.0M $86M +14.1%
GOOG|Alphabet Inc-cl C
SELL -1.11% 594.7K $72M
BRK-B|Berkshire Hathaway Inc Del Cl B
SELL -3.04% 185.0K $63M
AZO|Autozone, Inc.
SELL -11.60% 19.1K $48M
CSCO|Cisco Systems Inc
SELL -1.12% 838.0K $43M
FDX|Fedex Corp.
SELL -0.06% 169.6K $42M +9.2%
WFC|Wells Fargo & Co
SELL -0.18% 957.1K $41M -22.7%
BK|Bank Of New York Mellon Corp
SELL -10.14% 702.8K $31M
CNXC|Concentrix Corp
SELL -19.33% 222.8K $18M -28.3%
TFC|Truist Financial Corp
SELL -7.67% 841.9K $26M -28.1%
DGED|Diageo P L C - ADR
SELL -0.10% 146.3K $25M
UHAL-B|U-haul Holding Co - Non Voting
BUY NEW 433.2K $22M +12.2%
SEE|Sealed Air Corporation
BUY NEW 545.3K $22M -0.1%
AXP|American Express Co
SELL -0.40% 119.3K $21M -3.3%
NWLIEUR|National Western Life Group
SELL -0.11% 44.3K $18M
UL|Unilever PLC Sponsored ADR
SELL -53.54% 151.7K $8M -9.6%
BAC|Bank Of America Corp Com
BUY +9.89% 546.4K $16M +114.8%
USB|US Bancorp
SELL -14.98% 318.2K $11M -33.6%
CNH|Cnh Industrials
SELL -0.58% 855.4K $12M +120.1%
THO|Thor Industries Inc.
SELL -0.19% 109.4K $11M -13.0%
TTE|Totalenergies SE ADR
SELL -0.38% 165.6K $10M -2.9%
NVS|Novartis AG American Depository Shares
SELL -1.81% 96.1K $10M +28.3%
INTC|Intel Corp
SELL -80.81% 53.7K $2M -36.9%
0VVB|Paramount Global - Class B
BUY +0.35% 384.3K $6M
FMS|Fresenius Medical Care-adr
SELL -1.14% 339.6K $8M -37.5%
CMCSA|Comcast Corporation - Class A
SELL -67.99% 50.6K $2M
GSK|Gsk PLC ADR
SELL -0.64% 134.5K $5M +8.6%
BABA|Alibaba Group Holding Sp-adr
SELL -2.96% 35.4K $3M -65.3%
BIDUN|Baidu Inc. - Spon ADR
SELL -0.81% 22.4K $3M
COP|Conocophillips
SELL -0.46% 30.5K $3M
EMR|Emerson Electric Co
SELL -5.25% 22.0K $2M
BAX|Baxter International Inc
SELL -70.26% 11.3K $514000
HLN|Haleon PLC ADR
SELL -7.81% 122.4K $1M +40.9%
2023-Q1
BRK-A|Berkshire Hathaway Inc
SELL -0.44% 680 $317M
JNJ|Johnson & Johnson
SELL -0.15% 1.2M $191M +14.4%
GOOGL|Alphabet Inc-cl A
SELL -0.16% 2.0M $209M
KOF|Coca Cola Femsa
SELL -0.31% 1.9M $155M
IONS|Ionis Pharmaceuticals Inc.
SELL +0.00% 3.5M $127M +9.8%
FMC|Fmc Corp.
SELL -0.23% 1.1M $128M +30.3%
GOOG|Alphabet Inc-cl C
SELL -59.21% 601.4K $63M
ALV|Autoliv Inc.
BUY +7.09% 1.1M $100M +36.4%
BRK-B|Berkshire Hathaway Inc Del Cl B
SELL -0.02% 190.8K $59M
AZO|Autozone, Inc.
SELL -2.56% 21.6K $53M
CSCO|Cisco Systems Inc
SELL -0.30% 847.5K $44M
WFC|Wells Fargo & Co
SELL -1.26% 958.8K $36M -15.2%
FDX|Fedex Corp.
SELL -0.55% 169.7K $39M -2.4%
CNXC|Concentrix Corp
SELL -0.61% 276.1K $34M +10.3%
BK|Bank Of New York Mellon Corp
SELL -2.51% 782.0K $36M
TFC|Truist Financial Corp
BUY +168.81% 911.8K $31M +7.7%
DGED|Diageo P L C - ADR
SELL -0.14% 146.4K $27M
UL|Unilever PLC Sponsored ADR
SELL -24.32% 326.6K $17M -14.3%
AXP|American Express Co
SELL -2.04% 119.8K $20M -1.4%
USB|US Bancorp
SELL -1.33% 374.3K $13M -3.2%
BAC|Bank Of America Corp Com
BUY +1.55% 497.2K $14M +78.8%
FOXA|Fox Corp Class B
SELL EXIT -5.4%
CNH|Cnh Industrials
SELL -5.14% 860.3K $13M +156.7%
NWLIEUR|National Western Life Group
SELL -0.23% 44.3K $11M
INTC|Intel Corp
SELL -40.25% 279.7K $9M -42.4%
TTE|Totalenergies SE ADR
SELL EXIT +5.5%
CMCSA|Comcast Corporation - Class A
SELL -43.97% 158.0K $6M
TTE|Totalenergies SE ADR
BUY NEW 166.2K $10M +39.2%
UNP|Union Pacific Corp
SELL -0.78% 45.1K $9M +36.9%
NVS|Novartis AG American Depository Shares
SELL -1.09% 97.8K $9M +11.0%
THO|Thor Industries Inc.
SELL -0.58% 109.6K $9M -1.8%
0VVB|Paramount Global - Class B
BUY +0.24% 383.0K $9M
FMS|Fresenius Medical Care-adr
BUY +1.37% 343.6K $7M +20.4%
PGR|Progressive Corp
SELL -1.82% 34.5K $5M +51.6%
GSK|Gsk PLC ADR
SELL -2.84% 135.4K $5M +5.8%
BABA|Alibaba Group Holding Sp-adr
SELL -1.88% 36.5K $4M -58.4%
COP|Conocophillips
SELL -1.25% 30.6K $3M
BIDUN|Baidu Inc. - Spon ADR
SELL -1.88% 22.6K $3M
PSX|Phillips 66
SELL -0.40% 32.3K $3M +5.6%
EMR|Emerson Electric Co
SELL -11.28% 23.3K $2M
BAX|Baxter International Inc
SELL -0.60% 38.0K $2M
HLN|Haleon PLC ADR
SELL -3.72% 132.8K $1M +30.0%
CSL|Carlisle Cos Inc
SELL -5.55% 2.5K $558000 +91.4%
2022-Q4
BRK-A|Berkshire Hathaway Inc
SELL -20.86% 683 $320M
JNJ|Johnson & Johnson
SELL -17.14% 1.2M $218M +24.4%
GOOGL|Alphabet Inc-cl A
SELL -15.63% 2.0M $178M
GOOG|Alphabet Inc-cl C
SELL -6.62% 1.5M $131M
KOF|Coca Cola Femsa
SELL -17.45% 1.9M $131M
IONS|Ionis Pharmaceuticals Inc.
BUY +30.05% 3.5M $134M +46.2%
FMC|Fmc Corp.
SELL -15.00% 1.1M $131M +26.9%
AZO|Autozone, Inc.
SELL -54.71% 22.1K $55M
ALV|Autoliv Inc.
SELL -10.27% 1.0M $77M +6.0%
WFC|Wells Fargo & Co
SELL -37.56% 971.0K $40M -16.1%
BRK-B|Berkshire Hathaway Inc Del Cl B
SELL -1.03% 190.8K $59M
BK|Bank Of New York Mellon Corp
SELL -46.19% 802.2K $37M
CNXC|Concentrix Corp
SELL -44.92% 277.8K $37M -3.4%
BAC|Bank Of America Corp Com
SELL -71.94% 489.6K $16M +30.4%
CSCO|Cisco Systems Inc
SELL -20.07% 850.0K $40M
USB|US Bancorp
SELL -58.69% 379.3K $17M -11.9%
TFC|Truist Financial Corp
SELL -58.58% 339.2K $15M +5.1%
INTC|Intel Corp
SELL -61.75% 468.1K $12M -44.0%
FOXA|Fox Corp Class B
SELL -52.48% 522.9K $15M -13.9%
UNP|Union Pacific Corp
SELL -71.32% 45.5K $9M +39.2%
FDX|Fedex Corp.
SELL -10.16% 170.6K $30M -18.8%
DGED|Diageo P L C - ADR
SELL -0.65% 146.6K $26M
UL|Unilever PLC Sponsored ADR
SELL -5.89% 431.5K $22M -18.7%
PGR|Progressive Corp
SELL -78.27% 35.2K $5M +39.5%
AXP|American Express Co
SELL -1.20% 122.3K $18M -11.8%
CNH|Cnh Industrials
SELL -6.29% 906.9K $15M +136.5%
FMS|Fresenius Medical Care-adr
SELL -66.21% 338.9K $6M -59.3%
THO|Thor Industries Inc.
SELL -43.65% 110.2K $8M -13.3%
0VVB|Paramount Global - Class B
SELL -42.44% 382.0K $6M
NWLIEUR|National Western Life Group
SELL -0.04% 44.4K $12M
CMCSA|Comcast Corporation - Class A
SELL -27.29% 281.9K $10M
TTE|Totalenergies SE ADR
BUY NEW 169.7K $11M +46.7%
CSL|Carlisle Cos Inc
SELL -92.17% 2.6K $616000 +98.3%
NVS|Novartis AG American Depository Shares
SELL -1.79% 98.9K $9M +7.2%
MS|Morgan Stanley
SELL EXIT +112.4%
TTE|Totalenergies SE ADR
SELL EXIT +61.0%
GSK|Gsk PLC ADR
BUY NEW 139.3K $5M +51.6%
GSK|Gsk PLC ADR
SELL EXIT
COP|Conocophillips
SELL -0.74% 31.0K $4M
EMR|Emerson Electric Co
SELL -44.76% 26.2K $3M
PSX|Phillips 66
SELL -0.28% 32.4K $3M +7.0%
BABA|Alibaba Group Holding Sp-adr
SELL -9.88% 37.2K $3M -68.0%
BIDUN|Baidu Inc. - Spon ADR
SELL -5.61% 23.0K $3M
VZ|Verizon Communications
BUY +6.52% 65.2K $3M +31.1%
BAX|Baxter International Inc
SELL -2.05% 38.2K $2M
HLN|Haleon PLC ADR
SELL -23.30% 137.9K $1M +9.2%
2022-Q3
JNJ|Johnson & Johnson
SELL -0.22% 1.5M $243M +19.5%
GOOGL|Alphabet Inc-cl A
BUY +0.07% 2.4M $229M +204.8%
GOOG|Alphabet Inc-cl C
SELL -3.50% 1.6M $152M
KOF|Coca Cola Femsa
SELL -3.92% 2.3M $137M
FMC|Fmc Corp.
BUY +4.29% 1.2M $131M -90.1%
IONS|Ionis Pharmaceuticals Inc.
SELL -0.14% 2.7M $120M +33.2%
AZO|Autozone, Inc.
SELL -9.13% 48.8K $105M
ALV|Autoliv Inc.
BUY +1.81% 1.1M $74M +58.0%
WFC|Wells Fargo & Co
SELL -4.73% 1.6M $63M -17.2%
BK|Bank Of New York Mellon Corp
SELL -1.42% 1.5M $57M
BAC|Bank Of America Corp Com
SELL -7.11% 1.7M $53M +27.2%
CNXC|Concentrix Corp
BUY +444.30% 504.4K $56M -78.4%
BRK-B|Berkshire Hathaway Inc Del Cl B
SELL -1.35% 192.8K $51M
CSCO|Cisco Systems Inc
SELL -10.58% 1.1M $43M
FOXA|Fox Corp Class B
SELL -34.11% 1.1M $31M -5.2%
INTC|Intel Corp
SELL -3.53% 1.2M $32M -28.4%
USB|US Bancorp
SELL -1.88% 918.3K $37M -4.1%
FDX|Fedex Corp.
BUY +3.36% 189.9K $28M +47.8%
CMCSA|Comcast Corporation - Class A
SELL -62.99% 387.8K $11M
TFC|Truist Financial Corp
SELL -0.33% 818.9K $36M +15.9%
UNP|Union Pacific Corp
SELL -0.13% 158.5K $31M +50.4%
DGED|Diageo P L C - ADR
SELL -0.57% 147.6K $25M
FMS|Fresenius Medical Care-adr
SELL -1.32% 1.0M $14M -50.5%
UL|Unilever PLC Sponsored ADR
SELL +0.00% 458.5K $20M -21.6%
PGR|Progressive Corp
SELL -0.98% 161.9K $19M +31.8%
AXP|American Express Co
SELL -0.16% 123.8K $17M -8.2%
0VVB|Paramount Global - Class B
BUY +2.62% 663.8K $13M
THO|Thor Industries Inc.
SELL -0.05% 195.6K $14M -11.3%
CNH|Cnh Industrials
SELL -0.24% 967.8K $11M +90.1%
CSL|Carlisle Cos Inc
BUY +0.06% 33.4K $9M +22.9%
MS|Morgan Stanley
SELL -14.36% 105.1K $8M +112.3%
NWLIEUR|National Western Life Group
SELL -1.19% 44.4K $8M
TTE|Totalenergies SE ADR
BUY +0.42% 171.9K $8M +71.9%
NVS|Novartis AG American Depository Shares
BUY +2.32% 100.7K $8M +84.2%
GSK|Gsk PLC ADR
SELL -23.50% 145.7K $4M
VZ|Verizon Communications
SELL -55.20% 61.2K $2M -22.1%
EMR|Emerson Electric Co
SELL -24.04% 47.5K $3M
BABA|Alibaba Group Holding Sp-adr
SELL -1.43% 41.2K $3M -62.6%
BIDUN|Baidu Inc. - Spon ADR
SELL -0.51% 24.4K $3M
COP|Conocophillips
SELL -5.86% 31.3K $3M
BAX|Baxter International Inc
SELL -0.59% 39.0K $2M
HLN|Haleon PLC ADR
BUY NEW 179.8K $1M +63.9%
2022-Q2
GOOGL|Alphabet Inc-cl A
SELL -5.86% 119.5K $260M
JNJ|Johnson & Johnson
SELL -4.58% 1.5M $265M +27.1%
GOOG|Alphabet Inc-cl C
SELL -0.52% 81.8K $179M
FMC|Fmc Corp.
SELL -0.38% 1.2M $127M +24.3%
AZO|Autozone, Inc.
SELL -26.31% 53.7K $116M
KOF|Coca Cola Femsa
SELL -9.27% 2.4M $135M
IONS|Ionis Pharmaceuticals Inc.
SELL -6.78% 2.7M $101M +17.2%
WFC|Wells Fargo & Co
SELL -19.90% 1.6M $64M -15.0%
BRK-B|Berkshire Hathaway Inc Del Cl B
SELL -29.85% 195.5K $53M
CSCO|Cisco Systems Inc
SELL -27.78% 1.2M $51M
BK|Bank Of New York Mellon Corp
SELL -13.77% 1.5M $63M
ALV|Autoliv Inc.
SELL -2.23% 1.1M $78M -1.3%
FOXA|Fox Corp Class B
SELL -23.85% 1.7M $50M -2.9%
BAC|Bank Of America Corp Com
SELL -2.53% 1.9M $58M +37.0%
INTC|Intel Corp
BUY +0.72% 1.3M $47M +111.2%
USB|US Bancorp
SELL -12.88% 935.9K $43M +2.8%
MMM|3M Co
SELL EXIT
CMCSA|Comcast Corporation - Class A
SELL -0.49% 1.0M $41M
TFC|Truist Financial Corp
SELL -2.56% 821.6K $39M +18.1%
UNP|Union Pacific Corp
SELL -0.53% 158.7K $34M +51.5%
FDX|Fedex Corp.
BUY NEW 183.7K $42M +58.7%
FMS|Fresenius Medical Care-adr
SELL -1.02% 1.0M $25M -18.6%
DGED|Diageo P L C - ADR
SELL -1.33% 148.4K $26M
UL|Unilever PLC Sponsored ADR
SELL -1.33% 458.6K $21M -23.0%
CSL|Carlisle Cos Inc
SELL -60.74% 33.4K $8M +94.3%
MS|Morgan Stanley
SELL -45.81% 122.7K $9M +106.6%
THO|Thor Industries Inc.
SELL -15.20% 195.7K $15M -16.4%
AXP|American Express Co
BUY NEW 124.0K $17M +100.3%
CNH|Cnh Industrials
SELL -3.88% 970.1K $11M +127.1%
0VVB|Paramount Global - Class B
BUY NEW 646.8K $16M
CNXC|Concentrix Corp
SELL -1.08% 92.7K $13M +43.8%
VZ|Verizon Communications
SELL -53.52% 136.7K $7M -11.0%
EMR|Emerson Electric Co
SELL -53.73% 62.5K $5M
NWLIEUR|National Western Life Group
SELL -0.81% 45.0K $9M
TTE|Totalenergies SE ADR
SELL -3.70% 171.2K $9M +44.0%
NVS|Novartis AG American Depository Shares
SELL -3.44% 98.4K $8M +12.9%
GSK|Gsk PLC ADR
SELL -3.25% 190.4K $8M
BABA|Alibaba Group Holding Sp-adr
SELL -30.28% 41.8K $5M -60.8%
BIDUN|Baidu Inc. - Spon ADR
SELL -10.23% 24.5K $4M
COP|Conocophillips
SELL -3.33% 33.2K $3M
BAX|Baxter International Inc
SELL -0.09% 39.2K $3M
PSX|Phillips 66
SELL -4.00% 32.5K $3M -5.8%
ANG-PD|American National Group Inc
SELL EXIT
2022-Q1
BRK-A|Berkshire Hathaway Inc
SELL -2.60% 863 $456M
GOOGL|Alphabet Inc-cl A
SELL -0.11% 126.9K $353M
JNJ|Johnson & Johnson
SELL -6.19% 1.6M $277M +21.6%
GOOG|Alphabet Inc-cl C
SELL -4.51% 82.2K $230M
CSCO|Cisco Systems Inc
SELL -41.05% 1.6M $92M
AZO|Autozone, Inc.
SELL -12.90% 72.9K $149M
FMC|Fmc Corp.
SELL -0.05% 1.2M $157M +18.6%
KOF|Coca Cola Femsa
SELL -3.33% 2.7M $147M
ALV|Autoliv Inc.
SELL -0.01% 1.1M $86M +29.8%
IONS|Ionis Pharmaceuticals Inc.
BUY NEW 2.9M $108M +92.3%
BK|Bank Of New York Mellon Corp
SELL -2.58% 1.8M $87M
WFC|Wells Fargo & Co
SELL -5.55% 2.0M $99M +2.4%
BRK-B|Berkshire Hathaway Inc Del Cl B
SELL -0.85% 278.7K $98M
BAC|Bank Of America Corp Com
BUY +0.11% 1.9M $79M +34.3%
FOXA|Fox Corp Class B
SELL -1.54% 2.2M $80M +14.3%
INTC|Intel Corp
BUY +26.71% 1.3M $62M +90.3%
MMM|3M Co
SELL -0.58% 344.8K $51M
USB|US Bancorp
SELL -0.56% 1.1M $57M +17.6%
CMCSA|Comcast Corporation - Class A
SELL -0.56% 1.1M $49M
CSL|Carlisle Cos Inc
SELL -59.62% 85.0K $21M +84.0%
TFC|Truist Financial Corp
BUY +0.04% 843.2K $48M -19.3%
UNP|Union Pacific Corp
SELL -0.78% 159.5K $44M +67.6%
FMS|Fresenius Medical Care-adr
BUY +0.10% 1.0M $35M -29.5%
DGED|Diageo P L C - ADR
SELL -1.92% 150.4K $31M
UL|Unilever PLC Sponsored ADR
SELL -1.48% 464.7K $21M -13.1%
MS|Morgan Stanley
SELL -4.81% 226.4K $20M +139.5%
CNH|Cnh Industrials
SELL -2.25% 1.0M $16M +144.2%
PGR|Progressive Corp
BUY +0.27% 163.5K $19M +102.2%
THO|Thor Industries Inc.
BUY NEW 230.7K $18M -17.1%
CNXC|Concentrix Corp
SELL -1.42% 93.7K $16M +85.5%
COP|Conocophillips
SELL -84.80% 34.3K $3M
VZ|Verizon Communications
BUY +0.21% 294.0K $15M -7.2%
EMR|Emerson Electric Co
SELL -0.95% 135.0K $13M
NWLIEUR|National Western Life Group
SELL -7.11% 45.3K $10M
NVS|Novartis AG American Depository Shares
SELL -3.91% 101.9K $9M +10.9%
TTE|Totalenergies SE ADR
SELL -3.89% 177.7K $9M +49.8%
GSK|Glaxo Smithkline PLC ADR
SELL -1.44% 196.8K $9M
BABA|Alibaba Group Holding Sp-adr
BUY +0.34% 60.0K $7M -0.8%
BIDUN|Baidu Inc. - Spon ADR
SELL -4.44% 27.3K $4M
PSX|Phillips 66
SELL -32.61% 33.8K $3M -12.6%
BAX|Baxter International Inc
SELL -1.37% 39.3K $3M
ANG-PD|American National Group Inc
SELL -3.84% 13.5K $3M
2021-Q4
GOOGL|Alphabet Inc-cl A
SELL -0.10% 127.1K $368M
JNJ|Johnson & Johnson
SELL -0.46% 1.7M $285M +16.4%
GOOG|Alphabet Inc-cl C
SELL -3.94% 86.1K $249M
CSCO|Cisco Systems Inc
SELL -7.12% 2.8M $177M
AZO|Autozone, Inc.
SELL -4.03% 83.7K $176M
KOF|Coca Cola Femsa
SELL -0.94% 2.8M $152M
FMC|Fmc Corp.
BUY +20.31% 1.2M $131M -89.8%
ALV|Autoliv Inc.
BUY +0.63% 1.1M $116M +25.3%
BK|Bank Of New York Mellon Corp
SELL -3.67% 1.8M $105M
WFC|Wells Fargo & Co
SELL -0.90% 2.2M $104M -5.8%
BAC|Bank Of America Corp Com
SELL -0.20% 1.9M $86M +70.7%
BRK-B|Berkshire Hathaway Inc Del Cl B
SELL -1.65% 281.0K $84M
FOXA|Fox Corp Class B
SELL -0.98% 2.2M $76M +13.2%
USB|US Bancorp
SELL -0.95% 1.1M $61M +23.4%
CMCSA|Comcast Corporation - Class A
SELL -5.62% 1.1M $53M
MMM|3M Co
SELL -0.68% 346.8K $62M
CSL|Carlisle Cos Inc
SELL -2.25% 210.6K $52M +83.6%
INTC|Intel Corp
BUY +57.58% 994.1K $51M +81.9%
TFC|Truist Financial Corp
SELL -0.29% 842.8K $49M +46.0%
AXP|American Express Co
SELL EXIT +9.3%
UNP|Union Pacific Corp
SELL -0.62% 160.8K $41M +61.6%
DGED|Diageo P L C - ADR
SELL -4.40% 153.4K $34M
FMS|Fresenius Medical Care-adr
BUY +20.74% 1.0M $33M -29.4%
EMR|Emerson Electric Co
SELL -53.01% 136.3K $13M
UL|Unilever PLC Sponsored ADR
SELL -5.41% 471.7K $25M -10.3%
CNH|Cnh Industrials
SELL -3.44% 1.0M $20M +138.5%
CNXC|Concentrix Corp
SELL -1.18% 95.0K $17M +70.8%
PGR|Progressive Corp
SELL -0.83% 163.1K $17M +3.9%
COP|Conocophillips
SELL -8.51% 225.9K $16M
VZ|Verizon Communications
SELL -0.29% 293.4K $15M -8.3%
NWLIEUR|National Western Life Group
SELL -0.59% 48.8K $10M
TTE|Totalenergies SE ADR
SELL -5.12% 184.9K $9M +37.2%
BABA|Alibaba Group Holding Sp-adr
SELL -5.03% 59.8K $7M -41.8%
NVS|Novartis AG American Depository Shares
SELL -4.58% 106.1K $9M +5.8%
GSK|Glaxo Smithkline PLC ADR
BUY +7.53% 199.7K $9M +19.3%
BIDUN|Baidu Inc. - Spon ADR
SELL -5.70% 28.6K $4M
PSX|Phillips 66
SELL -17.52% 50.2K $4M -22.4%
BAX|Baxter International Inc
SELL -4.13% 39.8K $3M
JEF|Jefferies Financial Group Inc
SELL EXIT +72.9%
ANG-PD|American National Group Inc
SELL -3.77% 14.0K $3M
AIT|Applied Industrial Tech Inc.
SELL EXIT +52.9%
HSBC|Hsbc Holdings PLC Sponsored ADR
SELL EXIT -29.7%
2021-Q3
BRK-A|Berkshire Hathaway Inc
SELL -2.85% 886 $364M
BABA|Alibaba Group Holding Sp-adr
SELL -95.93% 63.0K $9M -26.2%
GOOGL|Alphabet Inc-cl A
SELL -0.29% 127.2K $340M
GOOG|Alphabet Inc-cl C
SELL -21.73% 89.6K $239M
JNJ|Johnson & Johnson
SELL -3.21% 1.7M $270M +22.6%
BIDUN|Baidu Inc. - Spon ADR
SELL -96.89% 30.3K $5M
CSCO|Cisco Systems Inc
SELL -15.40% 3.0M $164M
KOF|Coca Cola Femsa
SELL -0.12% 2.8M $158M
AZO|Autozone, Inc.
SELL -0.52% 87.3K $148M
ALV|Autoliv Inc.
SELL -1.10% 1.1M $95M +22.5%
WFC|Wells Fargo & Co
SELL -3.55% 2.2M $101M -12.4%
BK|Bank Of New York Mellon Corp
SELL -1.87% 1.9M $97M
FMC|Fmc Corp.
BUY NEW 991.2K $91M -89.0%
FOXA|Fox Corp Class B
SELL -0.32% 2.2M $83M +3.2%
BAC|Bank Of America Corp Com
SELL -0.22% 1.9M $82M +53.2%
BRK-B|Berkshire Hathaway Inc Del Cl B
BUY +4.46% 285.8K $78M +80.1%
MMM|3M Co
SELL -0.59% 349.2K $61M
USB|US Bancorp
SELL -3.40% 1.1M $65M +16.7%
CMCSA|Comcast Corporation - Class A
SELL -0.17% 1.1M $63M
TFC|Truist Financial Corp
SELL -0.33% 845.3K $50M +33.8%
AXP|American Express Co
SELL -0.85% 270.0K $45M +6.7%
ABBV|Abbvie Inc.
SELL EXIT +24.2%
CSL|Carlisle Cos Inc
SELL -3.42% 215.4K $43M +59.7%
UNP|Union Pacific Corp
SELL -8.59% 161.8K $32M +47.1%
INTC|Intel Corp
SELL -0.02% 630.8K $34M +9.6%
DGED|Diageo P L C - ADR
SELL -7.98% 160.4K $31M
FMS|Fresenius Medical Care-adr
BUY +40.46% 849.7K $30M -41.7%
UL|Unilever PLC Sponsored ADR
SELL -1.23% 498.7K $27M -4.3%
EMR|Emerson Electric Co
SELL -1.75% 290.1K $27M
MS|Morgan Stanley
SELL -15.67% 237.8K $23M +150.9%
CNH|Cnh Industrials
SELL -3.43% 1.1M $18M +124.5%
CNXC|Concentrix Corp
SELL -1.50% 96.2K $17M +55.9%
COP|Conocophillips
SELL -0.89% 246.9K $17M
VZ|Verizon Communications
SELL -0.89% 294.3K $16M -2.9%
PGR|Progressive Corp
BUY +21.64% 164.4K $15M +127.3%
NWLIEUR|National Western Life Group
SELL -0.09% 49.1K $10M
NVS|Novartis AG American Depository Shares
SELL -3.66% 111.2K $9M +17.4%
TTE|Totalenergies SE ADR
SELL -3.12% 194.9K $9M +21.3%
GSK|Glaxo Smithkline PLC ADR
SELL -1.69% 185.7K $7M
PSX|Phillips 66
SELL -1.15% 60.9K $4M -25.7%
JEF|Jefferies Financial Group Inc
SELL -4.69% 84.4K $3M +51.5%
AIT|Applied Industrial Tech Inc.
SELL -10.70% 29.4K $3M +34.4%
ANG-PD|American National Group Inc
SELL -3.50% 14.6K $3M
HSBC|Hsbc Holdings PLC Sponsored ADR
SELL -18.50% 36.8K $962000 -34.1%
2021-Q2
BRK-A|Berkshire Hathaway Inc
SELL -8.43% 912 $382M
BABA|Alibaba Group Holding Sp-adr
BUY +39.53% 1.5M $351M -47.1%
GOOGL|Alphabet Inc-cl A
SELL -0.73% 127.6K $311M
JNJ|Johnson & Johnson
SELL -1.86% 1.7M $285M +17.8%
GOOG|Alphabet Inc-cl C
SELL -1.82% 114.5K $287M
BIDUN|Baidu Inc. - Spon ADR
SELL -0.46% 973.7K $199M
CSCO|Cisco Systems Inc
SELL -10.86% 3.6M $188M
KOF|Coca Cola Femsa
SELL -1.12% 2.8M $149M
BK|Bank Of New York Mellon Corp
SELL -35.25% 1.9M $98M
AZO|Autozone, Inc.
SELL -2.38% 87.7K $131M
ALV|Autoliv Inc.
SELL -0.52% 1.1M $110M +34.4%
WFC|Wells Fargo & Co
SELL -4.68% 2.3M $102M -13.2%
FOXA|Fox Corp Class B
SELL -10.37% 2.3M $79M +5.4%
BAC|Bank Of America Corp Com
SELL -1.24% 1.9M $80M +56.3%
BRK-B|Berkshire Hathaway Inc Del Cl B
SELL -7.35% 273.5K $76M
MMM|3M Co
SELL -4.64% 351.3K $70M
USB|US Bancorp
SELL -4.52% 1.1M $64M +20.7%
CMCSA|Comcast Corporation - Class A
SELL -1.91% 1.1M $64M
TFC|Truist Financial Corp
SELL -1.88% 848.1K $47M +42.7%
EMR|Emerson Electric Co
SELL -44.07% 295.3K $28M
AXP|American Express Co
SELL -6.68% 272.4K $45M -0.7%
ABBV|Abbvie Inc.
SELL -0.31% 390.4K $44M +21.4%
CSL|Carlisle Cos Inc
SELL -2.17% 223.0K $43M +49.1%
INTC|Intel Corp
SELL -1.71% 631.0K $35M +16.4%
UNP|Union Pacific Corp
SELL -1.45% 177.0K $39M +49.8%
DGED|Diageo P L C - ADR
SELL -4.97% 174.3K $33M
MS|Morgan Stanley
SELL -30.12% 282.0K $26M +114.2%
UL|Unilever PLC Sponsored ADR
SELL -9.76% 504.9K $30M +1.2%
FMS|Fresenius Medical Care-adr
BUY +14.13% 605.0K $25M -42.1%
CNH|Cnh Industrials
SELL -10.83% 1.1M $19M +124.0%
VZ|Verizon Communications
SELL -5.96% 296.9K $17M +0.4%
CNXC|Concentrix Corp
SELL -4.38% 97.6K $16M +46.0%
COP|Conocophillips
SELL -0.98% 249.1K $15M
PGR|Progressive Corp
SELL -0.89% 135.2K $13M +9.4%
NWLIEUR|National Western Life Group
SELL -0.33% 49.1K $11M
NVS|Novartis AG American Depository Shares
SELL -9.63% 115.4K $11M +13.0%
TTE|Totalenergies SE ADR
SELL -8.53% 201.2K $9M +28.2%
GSK|Glaxo Smithkline PLC ADR
SELL -1.96% 188.9K $8M
PSX|Phillips 66
SELL -2.19% 61.6K $5M -12.2%
AIT|Applied Industrial Tech Inc.
SELL -34.31% 32.9K $3M +46.0%
BAX|Baxter International Inc
SELL -0.97% 41.5K $3M
JEF|Jefferies Financial Group Inc
SELL -11.16% 88.6K $3M +38.0%
ANG-PD|American National Group Inc
SELL -0.82% 15.1K $2M
HSBC|Hsbc Holdings PLC Sponsored ADR
SELL -16.43% 45.1K $1M -26.0%
2021-Q1
BRK-A|Berkshire Hathaway Inc
SELL -0.30% 996 $384M
BIDUN|Baidu Inc. - Spon ADR
SELL -30.66% 978.2K $213M
JNJ|Johnson & Johnson
SELL -1.52% 1.8M $290M +15.0%
GOOGL|Alphabet Inc-cl A
SELL -0.19% 128.5K $265M
BABA|Alibaba Group Holding Sp-adr
BUY +67.76% 1.1M $251M -51.7%
GOOG|Alphabet Inc-cl C
SELL -0.17% 116.7K $241M
CSCO|Cisco Systems Inc
SELL -18.82% 4.0M $206M
BK|Bank Of New York Mellon Corp
SELL -4.28% 2.9M $139M
KOF|Coca Cola Femsa
SELL -0.59% 2.8M $131M
AZO|Autozone, Inc.
SELL -1.03% 89.9K $126M
ALV|Autoliv Inc.
SELL -0.18% 1.1M $105M +23.2%
WFC|Wells Fargo & Co
SELL -0.78% 2.4M $93M -32.3%
FOXA|Fox Corp Class B
SELL -1.20% 2.5M $88M -7.6%
BAC|Bank Of America Corp Com
SELL -0.24% 2.0M $76M +29.6%
BRK-B|Berkshire Hathaway Inc Del Cl B
SELL -3.42% 295.3K $75M
MMM|3M Co
SELL -0.70% 368.3K $71M
USB|US Bancorp
SELL -0.41% 1.2M $65M +1.8%
CMCSA|Comcast Corporation - Class A
SELL -0.27% 1.1M $62M
TFC|Truist Financial Corp
SELL -0.47% 864.3K $50M +34.0%
EMR|Emerson Electric Co
SELL -7.47% 527.9K $48M
ABBV|Abbvie Inc.
SELL -0.16% 391.6K $42M +14.6%
AXP|American Express Co
SELL -1.34% 291.8K $41M -18.1%
INTC|Intel Corp
SELL -0.43% 642.0K $41M +23.0%
UNP|Union Pacific Corp
SELL -0.69% 179.6K $40M +40.9%
CSL|Carlisle Cos Inc
SELL -0.55% 228.0K $38M +20.3%
UL|Unilever PLC Sponsored ADR
SELL -0.70% 559.5K $31M -5.3%
COP|Conocophillips
SELL -69.31% 251.6K $13M
DGED|Diageo P L C - ADR
SELL -9.98% 183.4K $30M
GS|Goldman Sachs
SELL EXIT +48.9%
MS|Morgan Stanley
SELL -12.85% 403.6K $31M +89.4%
FMS|Fresenius Medical Care-adr
BUY NEW 530.1K $20M -36.6%
VZ|Verizon Communications
SELL -4.95% 315.7K $18M -1.1%
CNH|Cnh Industrials
SELL -1.24% 1.2M $19M +99.2%
CNXC|Concentrix Corp
BUY +42.35% 102.1K $15M -76.2%
NWLIEUR|National Western Life Group
SELL -26.52% 49.3K $12M
PGR|Progressive Corp
BUY NEW 136.4K $13M +140.4%
NVS|Novartis AG American Depository Shares
SELL -1.64% 127.7K $11M +14.6%
TTE|Total SA - ADR
SELL -1.48% 219.9K $10M +24.8%
GSK|Glaxo Smithkline PLC ADR
BUY +26.11% 192.7K $7M +39.5%
UNF|Unifirst Corp
SELL EXIT +18.6%
PSX|Phillips 66
SELL -1.33% 63.0K $5M -17.9%
AIT|Applied Industrial Tech Inc.
SELL -2.11% 50.1K $5M +28.6%
BAX|Baxter International Inc
SELL -22.72% 41.9K $4M
SHEN|Shenandoah Telecommunications Co.
SELL EXIT +4.6%
JEF|Jefferies Financial Group Inc
SELL -2.28% 99.7K $3M +24.2%
ANG-PD|American National Group Inc
SELL -1.74% 15.3K $2M
HSBC|Hsbc Holdings PLC Sponsored ADR
SELL -2.92% 54.0K $2M -30.7%
ALC|Alcon Inc ADR
SELL EXIT +19.1%
2020-Q4
BRK-A|Berkshire Hathaway Inc
SELL -3.48% 999 $347M
BIDUN|Baidu Inc. - Spon ADR
BUY +0.78% 1.4M $305M
JNJ|Johnson & Johnson
SELL -0.70% 1.8M $282M +5.6%
GOOGL|Alphabet Inc-cl A
SELL -0.64% 128.7K $226M
CSCO|Cisco Systems Inc
SELL -8.33% 4.9M $220M
GOOG|Alphabet Inc-cl C
SELL -1.26% 116.9K $205M
BABA|Alibaba Group Holding Sp-adr
BUY NEW 661.0K $154M -57.0%
KOF|Coca Cola Femsa
BUY +1.00% 2.9M $132M +152.3%
BK|Bank Of New York Mellon Corp
SELL -17.59% 3.1M $130M
AZO|Autozone, Inc.
SELL -3.51% 90.8K $108M
ALV|Autoliv Inc.
SELL -0.74% 1.1M $104M +16.1%
FOXA|Fox Corp Class B
BUY +1.11% 2.5M $74M +139.9%
WFC|Wells Fargo & Co
SELL -0.76% 2.4M $72M -52.2%
BRK-B|Berkshire Hathaway Inc Del Cl B
SELL -2.18% 305.7K $71M
MMM|3M Co
SELL -2.67% 370.9K $65M
CMCSA|Comcast Corporation - Class A
BUY +1.81% 1.1M $60M -42.5%
BAC|Bank Of America Corp Com
BUY +218.03% 2.0M $59M +126.6%
USB|US Bancorp
SELL -1.06% 1.2M $55M -11.2%
EMR|Emerson Electric Co
SELL -2.78% 570.5K $46M
ABBV|Abbvie Inc.
BUY +29.74% 392.2K $42M +161.5%
TFC|Truist Financial Corp
BUY +81.12% 868.4K $42M +8.6%
UNP|Union Pacific Corp
SELL -3.01% 180.8K $38M +36.5%
CSL|Carlisle Cos Inc
BUY +27.22% 229.2K $36M +150.3%
AXP|American Express Co
SELL -2.26% 295.8K $36M -27.7%
UL|Unilever PLC Sponsored ADR
BUY +789.88% 563.4K $34M -5.1%
COP|Conocophillips
SELL -12.46% 819.8K $33M
DGED|Diageo P L C - ADR
SELL -5.84% 203.8K $32M
INTC|Intel Corp
BUY +61.86% 644.8K $32M +90.5%
UNUSD|Unilever N V - ADR
SELL EXIT
GS|Goldman Sachs
BUY +34.45% 121.2K $32M +375.1%
VZ|Verizon Communications
SELL -2.18% 332.2K $20M +4.3%
CNH|Cnh Industrials
SELL -2.75% 1.3M $16M +37.4%
NWLIEUR|National Western Life Group
SELL -2.38% 67.1K $14M
NVS|Novartis AG American Depository Shares
SELL -7.28% 129.8K $12M +12.0%
TTE|Total SA - ADR
SELL -5.36% 223.2K $9M +7.0%
CNXC|Concentrix Corp
BUY NEW 71.7K $7M -71.8%
UNF|Unifirst Corp
SELL -0.08% 30.9K $7M +0.0%
GSK|Glaxo Smithkline PLC ADR
SELL -4.28% 152.8K $6M
PSX|Phillips 66
SELL -8.04% 63.8K $4M -38.8%
BAX|Baxter International Inc
SELL -2.20% 54.2K $4M
AIT|Applied Industrial Tech Inc.
SELL -3.86% 51.1K $4M +9.6%
EPD|Enterprise Products Partners
BUY NEW 136.3K $3M +111.0%
JEF|Jefferies Financial Group Inc
BUY NEW 102.1K $3M +139.1%
ANG-PD|American National Group Inc
SELL -48.30% 15.5K $1M
HSBC|Hsbc Holdings PLC Sponsored ADR
SELL -34.44% 55.6K $1M -40.2%
ALC|Alcon Inc ADR
SELL -37.03% 14.8K $973000 +7.4%
RDS-A|Royal Dutch Shell Plc-a Shrs ADR
SELL EXIT
MRK|Merck & Company Inc.
SELL EXIT +8.8%
2020-Q3
BRK-A|Berkshire Hathaway Inc
SELL -0.58% 1.0K $331M
JNJ|Johnson & Johnson
SELL -2.11% 1.8M $268M +5.6%
CSCO|Cisco Systems Inc
SELL -1.21% 5.4M $211M
GOOGL|Alphabet Inc-cl A
SELL -0.20% 129.6K $190M
BIDUN|Baidu Inc. - Spon ADR
SELL -0.12% 1.4M $177M
GOOG|Alphabet Inc-cl C
SELL -0.33% 118.4K $174M
BK|Bank Of New York Mellon Corp
SELL -0.58% 3.7M $128M
KOF|Coca Cola Femsa
BUY +3.04% 2.8M $115M +169.9%
AZO|Autozone, Inc.
SELL -4.67% 94.1K $111M
ALV|Autoliv Inc.
SELL -0.13% 1.1M $83M -6.8%
FOXA|Fox Corp Class B
SELL -1.12% 2.5M $70M -26.5%
BRK-B|Berkshire Hathaway Inc Del Cl B
SELL -1.11% 312.5K $67M
COP|Conocophillips
SELL -40.10% 936.5K $31M
WFC|Wells Fargo & Co
SELL -2.31% 2.4M $57M -53.1%
MMM|3M Co
SELL -0.70% 381.1K $61M
CMCSA|Comcast Corporation - Class A
SELL -0.36% 1.1M $52M
USB|US Bancorp
BUY +5.90% 1.2M $43M +70.1%
EMR|Emerson Electric Co
SELL -2.35% 586.8K $38M
UNP|Union Pacific Corp
SELL -0.64% 186.4K $37M +28.0%
UNUSD|Unilever N V - ADR
SELL -0.84% 530.8K $32M
AXP|American Express Co
SELL -1.37% 302.6K $30M -38.7%
DGED|Diageo P L C - ADR
SELL -2.11% 216.4K $30M
ABBV|Abbvie Inc.
BUY +46.76% 302.3K $26M +172.7%
PSX|Phillips 66
SELL -80.81% 69.4K $4M -36.3%
MS|Morgan Stanley
BUY +0.14% 463.2K $22M +325.0%
CSL|Carlisle Cos Inc
BUY NEW 180.2K $22M +194.7%
INTC|Intel Corp
BUY NEW 398.4K $21M +85.2%
VZ|Verizon Communications
SELL -2.83% 339.6K $20M +3.0%
TFC|Truist Financial Corp
BUY NEW 479.5K $18M +33.6%
GS|Goldman Sachs
SELL -0.29% 90.1K $18M -1.2%
BAC|Bank Of America Corp Com
BUY NEW 617.0K $15M +143.7%
NWLIEUR|National Western Life Group
SELL -0.20% 68.7K $13M
NVS|Novartis AG American Depository Shares
SELL -2.84% 140.0K $12M +11.4%
CNH|Cnh Industrials
SELL -2.52% 1.3M $10M +3.6%
TTE|Total SA - ADR
SELL -2.54% 235.9K $8M +5.6%
UL|Unilever PLC Sponsored ADR
SELL -49.39% 63.3K $4M +11.9%
GSK|Glaxo Smithkline PLC ADR
BUY +2.65% 159.6K $6M +24.7%
BAX|Baxter International Inc
SELL -11.79% 55.5K $4M
AIT|Applied Industrial Tech Inc.
SELL -2.42% 53.2K $3M -6.7%
ANG-PD|American National Group Inc
SELL -0.10% 30.0K $2M
HSBC|Hsbc Holdings PLC Sponsored ADR
SELL -1.48% 84.9K $2M -47.4%
ALC|Alcon Inc ADR
SELL -5.37% 23.4K $1M -0.0%
RDS-A|Royal Dutch Shell Plc-a Shrs ADR
SELL -4.21% 40.3K $1M
2020-Q2
BRK-A|Berkshire Hathaway Inc
BUY +1.07% 1.0K $278M +176.2%
JNJ|Johnson & Johnson
SELL -1.35% 1.8M $259M +4.9%
CSCO|Cisco Systems Inc
SELL -1.41% 5.4M $253M
GOOGL|Alphabet Inc-cl A
SELL -2.14% 129.8K $184M
BIDUN|Baidu Inc. - Spon ADR
BUY +3.69% 1.4M $168M
GOOG|Alphabet Inc-cl C
SELL -1.21% 118.7K $168M
BK|Bank Of New York Mellon Corp
SELL -3.09% 3.8M $145M
KOF|Coca Cola Femsa
BUY +83.33% 2.7M $120M +170.5%
AZO|Autozone, Inc.
SELL -3.66% 98.7K $111M
ALV|Autoliv Inc.
SELL -0.25% 1.1M $74M -18.2%
WFC|Wells Fargo & Co
SELL -2.01% 2.5M $63M -48.0%
FOXA|Fox Corp Class B
SELL -0.47% 2.5M $68M -24.6%
COP|Conocophillips
SELL -2.19% 1.6M $66M
MMM|3M Co
SELL -1.93% 383.8K $60M
BRK-B|Berkshire Hathaway Inc Del Cl B
BUY +11.78% 316.0K $56M +176.9%
CMCSA|Comcast Corporation - Class A
BUY +137.41% 1.1M $44M -26.3%
USB|US Bancorp
BUY +19.84% 1.1M $42M +74.7%
EMR|Emerson Electric Co
SELL -2.86% 600.9K $37M
UNP|Union Pacific Corp
SELL -1.30% 187.6K $32M +7.2%
DGED|Diageo P L C - ADR
SELL -1.78% 221.1K $30M
AXP|American Express Co
BUY +1.89% 306.8K $29M +271.0%
UNUSD|Unilever N V - ADR
SELL -1.87% 535.3K $29M
DAL|Delta Air Lines Inc.
SELL EXIT -57.4%
PSX|Phillips 66
SELL -0.13% 361.7K $26M -23.9%
MS|Morgan Stanley
BUY NEW 462.5K $22M +435.4%
ABBV|Abbvie Inc.
BUY NEW 206.0K $20M +186.8%
VZ|Verizon Communications
SELL -2.93% 349.5K $19M -1.0%
GS|Goldman Sachs
SELL -1.71% 90.4K $18M -10.8%
37M|Mrc Global Inc.
SELL EXIT
NWLIEUR|National Western Life Group
SELL -0.91% 68.9K $14M
NVS|Novartis AG American Depository Shares
SELL -4.94% 144.1K $13M +9.8%
TMK|Total SA - ADR
SELL EXIT
CNH|Cnh Industrials
SELL -5.06% 1.3M $9M -14.5%
TTE|Total SA - ADR
BUY NEW 242.0K $9M +136.5%
UL|Unilever PLC Sponsored ADR
SELL -0.25% 125.1K $7M -2.7%
GSK|Glaxo Smithkline PLC ADR
SELL -5.53% 155.5K $6M
WPP|Wpp PLC - ADR
SELL EXIT -34.2%
UNF|Unifirst Corp
SELL -1.89% 31.0K $6M -12.1%
BAX|Baxter International Inc
SELL -0.49% 62.9K $5M
AIT|Applied Industrial Tech Inc.
SELL -3.83% 54.5K $3M -18.1%
HSBC|Hsbc Holdings PLC Sponsored ADR
SELL -8.56% 86.1K $2M -40.1%
ACIC|American National Insurance Co
SELL EXIT
HAL|Halliburton Co
SELL EXIT -67.7%
ANG-PD|American National Group Inc
BUY NEW 30.1K $2M
RDS-A|Royal Dutch Shell Plc-a Shrs ADR
SELL -9.29% 42.1K $1M
ALC|Alcon Inc ADR
SELL -4.76% 24.8K $1M -3.6%
CCL|Carnival Corp
SELL EXIT -74.0%
2020-Q1
BRK-A|Berkshire Hathaway Inc
SELL -0.96% 1.0K $280M
JNJ|Johnson & Johnson
SELL -5.14% 1.9M $245M +3.7%
CSCO|Cisco Systems Inc
SELL -1.10% 5.5M $216M
BIDUN|Baidu Inc. - Spon ADR
SELL -16.65% 1.4M $136M
BK|Bank Of New York Mellon Corp
SELL -2.08% 3.9M $130M
GOOGL|Alphabet Inc-cl A
SELL -0.97% 132.7K $154M
GOOG|Alphabet Inc-cl C
SELL -0.45% 120.2K $140M
WFC|Wells Fargo & Co
SELL -1.62% 2.5M $72M -10.1%
AZO|Autozone, Inc.
SELL -0.30% 102.4K $87M
COP|Conocophillips
SELL -0.34% 1.6M $49M
MMM|3M Co
BUY +11.53% 391.4K $53M +34.8%
KOF|Coca Cola Femsa
BUY +83.97% 1.5M $60M +85.4%
FOXA|Fox Corp Class B
BUY +72.11% 2.6M $59M +83.3%
BRK-B|Berkshire Hathaway Inc Del Cl B
BUY +15.87% 282.7K $52M +124.4%
ALV|Autoliv Inc.
BUY NEW 1.1M $53M +63.4%
EMR|Emerson Electric Co
SELL -6.56% 618.6K $29M
37M|Mrc Global Inc.
SELL -7.27% 3.4M $14M
USB|US Bancorp
BUY +13.76% 945.7K $33M +15.9%
PSX|Phillips 66
SELL -0.59% 362.2K $19M -7.4%
DGED|Diageo P L C - ADR
SELL -0.79% 225.1K $29M
AXP|American Express Co
BUY +8.37% 301.1K $26M +162.5%
UNP|Union Pacific Corp
BUY +0.92% 190.1K $27M +71.5%
UNUSD|Unilever N V - ADR
BUY +0.14% 545.5K $27M
DAL|Delta Air Lines Inc.
BUY NEW 927.6K $26M +42.1%
VZ|Verizon Communications
SELL -16.03% 360.0K $19M +2.0%
GS|Goldman Sachs
SELL -0.94% 92.0K $14M +13.8%
NWLIEUR|National Western Life Group
SELL -1.20% 69.5K $12M
CMCSA|Comcast Corporation - Class A
BUY +5.45% 477.0K $16M -36.2%
NVS|Novartis AG American Depository Shares
SELL -1.42% 151.6K $12M +20.7%
WPP|Wpp PLC - ADR
SELL -16.83% 171.2K $6M +12.0%
TMK|Total SA - ADR
BUY +4.88% 255.3K $10M
HAL|Halliburton Co
SELL -26.07% 327.2K $2M -35.5%
CNH|Cnh Industrials
SELL -1.15% 1.4M $8M +29.1%
GSK|Glaxo Smithkline PLC ADR
SELL -3.73% 164.6K $6M
UL|Unilever PLC Sponsored ADR
SELL -0.21% 125.4K $6M +6.1%
CCL|Carnival Corp
SELL -45.86% 76.0K $1M -23.1%
UNF|Unifirst Corp
SELL -0.65% 31.6K $5M +6.0%
BAX|Baxter International Inc
SELL -0.78% 63.2K $5M
HSBC|Hsbc Holdings PLC Sponsored ADR
SELL -6.00% 94.2K $3M -12.8%
ACIC|American National Insurance Co
SELL -0.10% 30.6K $3M
RDS-A|Royal Dutch Shell Plc-a Shrs ADR
SELL -2.91% 46.4K $2M
AIT|Applied Industrial Tech Inc.
BUY NEW 56.7K $3M +448.8%
ALC|Alcon Inc ADR
SELL -7.99% 26.0K $1M +2.8%
2019-Q4
BRK-A|Berkshire Hathaway Inc
SELL -0.57% 1.0K $353M
JNJ|Johnson & Johnson
SELL -3.71% 2.0M $287M -3.9%
CSCO|Cisco Systems Inc
SELL -3.13% 5.6M $267M
UNUSD|Unilever N V - ADR
SELL -84.76% 544.8K $31M
BIDUN|Baidu Inc. - Spon ADR
BUY +14.81% 1.6M $205M
BK|Bank Of New York Mellon Corp
SELL -4.69% 4.0M $199M
GOOGL|Alphabet Inc-cl A
SELL -0.41% 134.0K $179M
GOOG|Alphabet Inc-cl C
SELL -0.62% 120.7K $161M
WFC|Wells Fargo & Co
SELL -2.86% 2.6M $137M +1.7%
AZO|Autozone, Inc.
SELL -1.90% 102.8K $122M
COP|Conocophillips
SELL -0.32% 1.6M $104M
MMM|3M Co
SELL -0.39% 350.9K $62M
BRK-B|Berkshire Hathaway Inc Del Cl B
SELL -1.85% 244.0K $55M
37M|Mrc Global Inc.
SELL -19.50% 3.6M $49M
FOXA|Fox Corp Class B
BUY NEW 1.5M $54M +92.4%
EMR|Emerson Electric Co
SELL -8.39% 662.0K $50M
KOF|Coca Cola Femsa
BUY +56.35% 813.2K $49M +94.6%
USB|US Bancorp
SELL -0.32% 831.3K $49M +13.6%
FOXA|Fox Corp Class B
SELL EXIT +1.5%
PSX|Phillips 66
SELL -0.11% 364.3K $41M +17.2%
DGED|Diageo P L C - ADR
SELL -2.03% 226.9K $38M
AXP|American Express Co
SELL -0.33% 277.9K $35M
UNP|Union Pacific Corp
SELL -3.15% 188.4K $34M +17.2%
UNF|Unifirst Corp
SELL -94.27% 31.8K $6M +7.1%
DVN|Devon Energy Corp
SELL EXIT
VZ|Verizon Communications
SELL -0.62% 428.8K $26M +5.5%
AVT|Avnet
SELL EXIT
GS|Goldman Sachs
SELL -4.90% 92.9K $21M +6.4%
NWLIEUR|National Western Life Group
SELL -5.71% 70.4K $20M
CMCSA|Comcast Corporation - Class A
SELL -0.33% 452.3K $20M
NVS|Novartis AG American Depository Shares
SELL -0.87% 153.8K $15M +14.6%
WPP|Wpp PLC - ADR
SELL -1.52% 205.9K $14M +13.1%
TMK|Total SA - ADR
SELL -0.49% 243.5K $13M
HAL|Halliburton Co
SELL -16.34% 442.6K $11M -38.1%
CNH|Cnh Industrials
SELL -0.99% 942.1K $10M -1.0%
GSK|Glaxo Smithkline PLC ADR
SELL -1.55% 171.0K $8M
UL|Unilever PLC Sponsored ADR
SELL -3.17% 125.7K $7M +10.4%
BAX|Baxter International Inc
SELL -11.77% 63.7K $5M
TTE|Unifirst Corp
SELL EXIT
HSBC|Hsbc Holdings PLC Sponsored ADR
SELL -5.88% 100.2K $4M -8.9%
ACIC|American National Insurance Co
SELL -0.89% 30.6K $4M
RDS-A|Royal Dutch Shell Plc-a Shrs ADR
SELL -1.77% 47.8K $3M
ALC|Alcon Inc ADR
SELL -7.81% 28.2K $2M -2.9%
CTWSEUR|Connecticut Water Service Inc
SELL EXIT
2019-Q3
BRK-A|Berkshire Hathaway Inc
BUY +1.85% 1.0K $326M +143.7%
CSCO|Cisco Systems Inc
SELL -0.15% 5.7M $284M
JNJ|Johnson & Johnson
SELL -0.16% 2.0M $264M -6.8%
BIDUN|Baidu Inc. - Spon ADR
SELL -40.35% 1.4M $145M
UNUSD|Unilever NV
BUY +538.71% 3.6M $215M
BK|Bank Of New York Mellon Corp
SELL -0.55% 4.1M $188M
GOOGL|Alphabet Inc-cl A
SELL -0.08% 134.5K $164M
GOOG|Alphabet Inc-cl C
SELL -0.12% 121.5K $148M
WFC|Wells Fargo & Co
SELL -0.40% 2.6M $133M -10.1%
AZO|Autozone, Inc.
SELL -3.14% 104.7K $114M
COP|Conocophillips
SELL -0.18% 1.6M $92M
37M|Mrc Global Inc.
SELL -0.37% 4.5M $55M
MMM|3M Co
SELL -0.26% 352.3K $58M
BRK-B|Berkshire Hathaway Inc Del Cl B
SELL -2.36% 248.6K $52M
EMR|Emerson Electric Co
SELL -3.29% 722.6K $48M
USB|US Bancorp
SELL -0.47% 834.0K $46M +3.1%
MA|Mastercard Inc - Class A
SELL EXIT +38.8%
FOXA|Fox Corp Class B
BUY NEW 1.3M $41M +96.0%
DGED|Diageo P L C - ADR
SELL -0.34% 231.6K $38M
DVN|Devon Energy Corp
SELL -12.78% 1.2M $28M
PSX|Phillips 66
SELL -0.40% 364.7K $37M +4.2%
AXP|American Express Co
SELL -1.41% 278.8K $33M
UNF|Unilever N V - ADR
BUY NEW 554.7K $33M +46.8%
UNP|Union Pacific Corp
SELL -0.26% 194.5K $32M +13.0%
AVT|Avnet
SELL -0.19% 580.1K $26M
VZ|Verizon Communications
SELL -1.63% 431.4K $26M +0.2%
CMCSA|Comcast Corporation - Class A
SELL -1.95% 453.8K $20M
GS|Goldman Sachs
SELL -0.55% 97.6K $20M +1.1%
NWLIEUR|National Western Life Group
SELL -0.60% 74.6K $20M
NVS|Novartis AG American Depository Shares
SELL -2.59% 155.1K $13M +14.7%
TTE|Unifirst Corp
SELL -87.19% 32.2K $6M
WPP|Wpp PLC - ADR
SELL -2.15% 209.0K $13M +6.0%
HAL|Halliburton Co
SELL -7.18% 529.1K $10M -39.6%
TMK|Total SA - ADR
BUY +132.19% 244.7K $13M
CNH|Cnh Industrials
SELL -1.31% 951.5K $10M -6.4%
UL|Unilever PLC Sponsored ADR
SELL -0.28% 129.8K $8M +14.7%
GSK|Glaxo Smithkline PLC ADR
SELL -3.57% 173.7K $7M
CCL|Carnival Corp
SELL -6.28% 140.4K $6M -17.1%
AGCO|Agco Corp.
SELL EXIT
HSBC|Hsbc Holdings PLC Sponsored ADR
SELL -6.07% 106.5K $4M -8.1%
ACIC|American National Insurance Co
SELL -1.25% 30.9K $4M
RDS-A|Royal Dutch Shell Plc-a Shrs ADR
SELL -0.90% 48.6K $3M
ALC|Alcon Inc ADR
SELL -6.13% 30.6K $2M +1.6%
2019-Q2
CSCO|Cisco Systems Inc
SELL -25.41% 5.8M $315M
BRK-A|Berkshire Hathaway Inc
SELL -0.19% 1.0K $327M
JNJ|Johnson & Johnson
SELL -0.46% 2.0M $285M -1.1%
BIDUN|Baidu Inc. - Spon ADR
BUY +64.78% 2.4M $278M
BK|Bank Of New York Mellon Corp
SELL -0.72% 4.2M $184M
GOOGL|Alphabet Inc-cl A
SELL -0.34% 134.6K $146M
GOOG|Alphabet Inc-cl C
SELL -0.35% 121.7K $131M
WFC|Wells Fargo & Co
SELL -0.54% 2.6M $125M -11.3%
AZO|Autozone, Inc.
SELL -10.84% 108.1K $119M
COP|Conocophillips
SELL -0.21% 1.6M $98M
37M|Mrc Global Inc.
SELL -1.74% 4.5M $77M
MMM|3M Co
SELL -0.57% 353.2K $61M
BRK-B|Berkshire Hathaway Inc Del Cl B
SELL -2.40% 254.6K $54M
EMR|Emerson Electric Co
SELL -0.28% 747.2K $50M
MA|Mastercard Inc - Class A
SELL -18.53% 174.0K $46M +25.5%
HAL|Halliburton Co
SELL -66.18% 570.0K $13M -24.3%
AGCO|Agco Corp.
SELL -90.58% 61.1K $5M
USB|US Bancorp
BUY +0.95% 837.9K $44M +20.4%
DVN|Devon Energy Corp
SELL -2.25% 1.4M $39M
DGED|Diageo P L C - ADR
SELL -1.14% 232.4K $40M
PSX|Phillips 66
SELL -0.27% 366.2K $34M -8.4%
AXP|American Express Co
SELL -1.15% 282.8K $35M
UNUSD|Unilever N V - ADR
SELL -0.89% 559.7K $34M
UNP|Union Pacific Corp
SELL -0.35% 195.0K $33M +15.1%
VZ|Verizon Communications
SELL -2.75% 438.6K $25M +0.5%
AVT|Avnet
SELL -0.22% 581.2K $26M
GS|Goldman Sachs
SELL -1.63% 98.2K $20M -3.9%
NWLIEUR|National Western Life Group
SELL -0.75% 75.1K $19M
CMCSA|Comcast Corporation - Class A
SELL -2.47% 462.8K $20M
NVS|Novartis AG American Depository Shares
SELL -2.54% 159.3K $15M +7.8%
TTE|Total SA - ADR
SELL -5.13% 251.3K $14M
WPP|Wpp PLC - ADR
SELL -1.49% 213.6K $13M +9.7%
CNH|Cnh Industrials
SELL -1.02% 964.2K $10M -8.3%
TMK|Torchmark Corp
SELL -5.13% 105.4K $9M
UL|Unilever PLC Sponsored ADR
SELL -0.15% 130.2K $8M +12.9%
GSK|Glaxo Smithkline PLC ADR
SELL -4.41% 180.1K $7M
CCL|Carnival Corp
BUY +92.26% 149.8K $7M -52.8%
UNF|Unifirst Corp
SELL -2.40% 32.4K $6M +7.0%
BAX|Baxter International Inc
SELL -0.17% 72.2K $6M
HSBC|Hsbc Holdings PLC Sponsored ADR
SELL -6.93% 113.4K $5M +1.1%
ACIC|American National Insurance Co
SELL -3.09% 31.3K $4M
RDS-A|Royal Dutch Shell Plc-a Shrs ADR
SELL -2.20% 49.1K $3M
FOXA|Fox Corp Class B
BUY NEW 58.2K $2M +82.1%
ALC|Alcon Inc ADR
BUY NEW 32.6K $2M +22.8%
2019-Q1
CSCO|Cisco Systems Inc
SELL -6.42% 7.7M $416M
BRK-A|Berkshire Hathaway Inc
SELL -0.96% 1.0K $310M
JNJ|Johnson & Johnson
SELL -3.53% 2.1M $287M -4.1%
BIDUN|Baidu Inc. - Spon ADR
BUY +3.48% 1.4M $237M
BK|Bank Of New York Mellon Corp
SELL -0.36% 4.2M $212M
GOOGL|Alphabet Inc-cl A
BUY +4.36% 135.1K $159M -69.7%
AZO|Autozone, Inc.
SELL -31.61% 121.3K $124M
WFC|Wells Fargo & Co
SELL -14.77% 2.7M $128M -6.0%
GOOG|Alphabet Inc-cl C
SELL -0.12% 122.1K $143M
COP|Conocophillips
SELL -0.35% 1.6M $108M
37M|Mrc Global Inc.
SELL -0.29% 4.6M $80M
MMM|3M Co
SELL -0.25% 355.2K $74M
BRK-B|Berkshire Hathaway Inc Del Cl B
SELL -0.69% 260.9K $52M
EMR|Emerson Electric Co
SELL -0.33% 749.3K $51M
MA|Mastercard Inc - Class A
SELL -4.77% 213.6K $50M +10.7%
HAL|Halliburton Co
SELL -0.19% 1.7M $49M -9.2%
AGCO|Agco Corp.
SELL -0.03% 647.9K $45M
DVN|Devon Energy Corp
SELL -1.84% 1.4M $44M
USB|US Bancorp
BUY +53.77% 830.1K $40M +22.5%
DGED|Diageo P L C - ADR
SELL -1.03% 235.1K $38M
UNP|Union Pacific Corp
SELL -25.83% 195.7K $33M +8.9%
PSX|Phillips 66
SELL -0.42% 367.2K $35M -1.1%
UNUSD|Unilever N V - ADR
SELL -2.41% 564.7K $33M
AXP|American Express Co
SELL -1.12% 286.1K $31M
VZ|Verizon Communications
SELL -3.02% 451.0K $27M -0.5%
AVT|Avnet
BUY +0.24% 582.5K $25M +115.0%
NWLIEUR|National Western Life Group
SELL -0.60% 75.6K $20M
GS|Goldman Sachs
SELL -0.21% 99.8K $19M -4.7%
CMCSA|Comcast Corporation - Class A
SELL -1.77% 474.5K $19M
NVS|Novartis AG American Depository Shares
SELL -5.02% 163.4K $16M +2.1%
TTE|Total SA - ADR
SELL -1.72% 264.9K $15M
WPP|Wpp PLC - ADR
SELL -0.12% 216.9K $11M +0.6%
CNH|Cnh Industrials
SELL -0.62% 974.1K $10M -6.3%
TMK|Torchmark Corp
SELL -0.72% 111.1K $9M
GSK|Glaxo Smithkline PLC ADR
SELL -0.42% 188.5K $8M
UL|Unilever PLC Sponsored ADR
SELL -0.27% 130.4K $8M +0.6%
HSBC|Hsbc Holdings PLC Sponsored ADR
SELL -11.69% 121.8K $5M -0.6%
ACIC|American National Insurance Co
SELL -2.83% 32.3K $4M
CCL|Carnival Corp
BUY +3.73% 77.9K $4M -55.8%
RDS-A|Royal Dutch Shell Plc-a Shrs ADR
BUY +3.56% 50.2K $3M
2018-Q4
CSCO|Cisco Systems Inc
SELL -5.42% 8.2M $357M
BRK-A|Berkshire Hathaway Inc
SELL -0.48% 1.0K $318M
BIDUN|Baidu Inc. - Spon ADR
BUY +0.45% 1.4M $220M
JNJ|Johnson & Johnson
BUY NEW 2.1M $275M +89.5%
BK|Bank Of New York Mellon Corp
SELL -0.41% 4.2M $198M
GOOGL|Alphabet Inc-cl A
SELL -0.13% 129.4K $135M
AZO|Autozone, Inc.
SELL -0.40% 177.4K $149M
GOOG|Alphabet Inc-cl C
SELL -0.13% 122.2K $127M
WFC|Wells Fargo & Co
BUY NEW 3.1M $143M +62.1%
COP|Conocophillips
SELL -3.00% 1.6M $101M
MMM|3M Co
SELL -8.49% 356.1K $68M
DVN|Devon Energy Corp
SELL -28.16% 1.4M $32M
EMR|Emerson Electric Co
SELL -22.54% 751.7K $45M
37M|Mrc Global Inc.
BUY NEW 4.6M $56M
BRK-B|Berkshire Hathaway Inc Del Cl B
BUY +10.58% 262.7K $54M +140.7%
HAL|Halliburton Co
BUY NEW 1.7M $45M +5.7%
MA|Mastercard Inc - Class A
BUY NEW 224.3K $42M +198.0%
AGCO|Agco Corp.
BUY +0.93% 648.2K $36M +96.0%
DGED|Diageo P L C - ADR
SELL -8.16% 237.5K $34M
UNP|Union Pacific Corp
BUY NEW 263.8K $36M +107.1%
PSX|Phillips 66
BUY NEW 368.8K $32M +148.7%
AXP|American Express Co
SELL -2.16% 289.3K $28M
UNUSD|Unilever N V - ADR
BUY NEW 578.6K $31M
VZ|Verizon Communications
BUY NEW 465.0K $26M -13.4%
USB|US Bancorp
BUY NEW 539.8K $25M +19.2%
NWLIEUR|National Western Life Group
BUY NEW 76.1K $23M
CMCSA|Comcast Corporation - Class A
SELL -22.87% 483.1K $16M
GS|Goldman Sachs
BUY NEW 100.0K $17M +406.4%
NVS|Novartis AG American Depository Shares
BUY NEW 172.0K $15M +98.0%
TTE|Total SA - ADR
BUY NEW 269.5K $14M
WPP|Wpp PLC - ADR
BUY NEW 217.1K $12M -50.7%
CNH|Cnh Industrials
BUY +57.76% 980.2K $9M +33.1%
TMK|Torchmark Corp
BUY NEW 111.9K $8M
GSK|Glaxo Smithkline PLC ADR
SELL -2.10% 189.3K $7M
UL|Unilever PLC Sponsored ADR
BUY NEW 130.7K $7M +6.6%
HSBC|Hsbc Holdings PLC Sponsored ADR
BUY NEW 137.9K $6M +147.1%
BAX|Baxter International Inc
SELL -0.25% 72.3K $5M
UNF|Unifirst Corp
BUY NEW 33.2K $5M +91.5%
CCL|Carnival Corp
BUY NEW 75.1K $4M -56.8%
SHEN|Shenandoah Telecommunications Co.
BUY NEW 79.7K $4M -71.7%
RDS-A|Royal Dutch Shell Plc-a Shrs ADR
BUY NEW 48.4K $3M
MRK|Merck & Company Inc.
BUY NEW 3.3K $253000 +112.1%
2018-Q3
CSCO|Cisco Systems Inc
SELL -2.99% 8.7M $424M
BRK-A|Berkshire Hathaway Inc
SELL -0.10% 1.0K $334M
BIDUN|Baidu Inc. - Spon ADR
BUY +0.60% 1.4M $316M
JNJ|Johnson & Johnson
SELL EXIT
BK|Bank Of New York Mellon Corp
SELL -1.96% 4.2M $216M
WFC|Wells Fargo & Co
SELL EXIT
AZO|Autozone, Inc.
SELL -0.80% 178.1K $138M
COP|Conocophillips
SELL -1.23% 1.7M $129M
37M|Mrc Global Inc.
SELL EXIT
DVN|Devon Energy Corp
SELL -5.26% 2.0M $78M
MMM|3M Co
SELL -4.82% 389.1K $82M
EMR|Emerson Electric Co
SELL -8.09% 970.4K $74M
HAL|Halliburton Co
SELL EXIT
BRK-B|Berkshire Hathaway Inc Del Cl B
SELL -0.39% 237.6K $51M
MA|Mastercard Inc - Class A
SELL EXIT
UNP|Union Pacific Corp
SELL EXIT
PSX|Phillips 66
SELL EXIT
DGED|Diageo P L C - ADR
SELL -6.80% 258.6K $37M
UNUSD|Unilever N V - ADR
SELL EXIT
AXP|American Express Co
SELL -1.23% 295.7K $31M
VZ|Verizon Communications
SELL EXIT
USB|US Bancorp
SELL EXIT
AVT|Avnet
SELL -1.40% 581.1K $26M
NWLIEUR|National Western Life Group
SELL EXIT
CMCSA|Comcast Corporation - Class A
SELL -0.67% 626.4K $22M
WPP|Wpp PLC - ADR
SELL EXIT
TTE|Total SA - ADR
SELL EXIT
NVS|Novartis AG American Depository Shares
SELL EXIT
UL|Unilever PLC Sponsored ADR
SELL EXIT
TMK|Torchmark Corp
SELL EXIT
GSK|Glaxo Smithkline PLC ADR
SELL -0.35% 193.3K $8M
CNH|Cnh Industrials
BUY NEW 621.3K $7M +12.4%
HSBC|Hsbc Holdings PLC Sponsored ADR
SELL EXIT
UNF|Unifirst Corp
SELL EXIT
ACIC|American National Insurance Co
SELL -0.97% 33.2K $4M
RDS-A|Royal Dutch Shell Plc-a Shrs ADR
SELL EXIT
SHEN|Shenandoah Telecommunications Co.
SELL EXIT
MRK|Merck & Company Inc.
SELL EXIT +13.7%
2018-Q2
CSCO|Cisco Systems Inc
SELL -7.61% 9.0M $387M
BIDUN|Baidu Inc. - Spon ADR
SELL -0.86% 1.4M $334M
BRK-A|Berkshire Hathaway Inc
SELL -1.88% 1.0K $295M
JNJ|Johnson & Johnson
SELL -2.00% 2.2M $264M
BK|Bank Of New York Mellon Corp
SELL -2.14% 4.3M $233M
WFC|Wells Fargo & Co
SELL -2.33% 3.3M $181M
HAL|Halliburton Co
SELL -52.75% 1.6M $70M
GOOGL|Alphabet Inc-cl A
SELL -1.50% 129.6K $146M
GOOG|Alphabet Inc-cl C
SELL -1.59% 122.4K $137M
AZO|Autozone, Inc.
BUY +73.08% 179.5K $120M +351.8%
COP|Conocophillips
SELL -8.67% 1.7M $118M
37M|Mrc Global Inc.
SELL -4.44% 4.8M $103M
MMM|3M Co
SELL -2.32% 408.9K $80M
DVN|Devon Energy Corp
SELL -23.67% 2.1M $91M
EMR|Emerson Electric Co
SELL -3.67% 1.1M $73M
BRK-B|Berkshire Hathaway Inc Del Cl B
SELL -3.49% 238.5K $45M
MA|Mastercard Inc - Class A
SELL -0.41% 245.6K $48M
UNP|Union Pacific Corp
SELL -1.17% 333.2K $47M
PSX|Phillips 66
SELL -0.30% 370.7K $42M
DGED|Diageo P L C - ADR
SELL -0.43% 277.5K $40M
UNUSD|Unilever N V - ADR
SELL -1.34% 648.8K $36M
AXP|American Express Co
SELL -1.14% 299.4K $29M
VZ|Verizon Communications
BUY +3.32% 549.3K $28M +2.3%
AVT|Avnet
BUY +1.82% 589.4K $25M +127.7%
NWLIEUR|National Western Life Group
SELL -4.09% 78.7K $24M
CMCSA|Comcast Corporation - Class A
SELL -0.57% 630.6K $21M
WPP|Wpp PLC - ADR
SELL -0.43% 222.5K $17M
TTE|Total SA - ADR
SELL -1.62% 266.0K $16M
NVS|Novartis AG American Depository Shares
SELL -1.45% 184.9K $14M
UL|Unilever PLC Sponsored ADR
SELL -0.09% 222.5K $12M
ACIC|American National Insurance Co
SELL -64.59% 33.5K $4M
TMK|Torchmark Corp
SELL -0.82% 117.2K $10M
GSK|Glaxo Smithkline PLC ADR
SELL -0.05% 194.0K $8M
HSBC|Hsbc Holdings PLC Sponsored ADR
BUY +0.96% 143.5K $7M +109.4%
WSM|Williams-sonoma Inc
SELL EXIT
4I1|Philip Morris International
SELL EXIT
RDS-A|Royal Dutch Shell Plc-a Shrs ADR
BUY +0.25% 46.8K $3M
LUK|Leucadia National Corp
SELL EXIT
MRK|Merck & Company Inc.
BUY NEW 3.3K $201000 +164.6%
2018-Q1
CSCO|Cisco Systems Inc
SELL -5.04% 9.7M $417M
BIDUN|Baidu Inc. - Spon ADR
SELL -0.27% 1.4M $309M
BRK-A|Berkshire Hathaway Inc
SELL -0.56% 1.1K $319M
JNJ|Johnson & Johnson
SELL -1.19% 2.2M $285M
BK|Bank Of New York Mellon Corp
SELL -1.39% 4.4M $227M
WFC|Wells Fargo & Co
BUY +0.90% 3.3M $176M +43.6%
HAL|Halliburton Co
SELL -1.71% 3.3M $155M
GOOGL|Alphabet Inc-cl A
SELL -0.23% 131.6K $136M
GOOG|Alphabet Inc-cl C
SELL -0.24% 124.4K $128M
4I1|Philip Morris International
SELL -96.44% 41.8K $4M
MMM|3M Co
SELL -18.05% 418.6K $92M
DVN|Devon Energy Corp
SELL -0.37% 2.7M $86M
COP|Conocophillips
SELL -2.02% 1.9M $110M
BAX|Baxter International Inc
SELL -95.22% 72.5K $5M
37M|Mrc Global Inc.
SELL -0.63% 5.0M $82M
EMR|Emerson Electric Co
SELL -4.59% 1.1M $75M
AZO|Autozone, Inc.
BUY +3.80% 103.7K $67M +305.3%
BRK-B|Berkshire Hathaway Inc Del Cl B
SELL -0.95% 247.1K $49M
AGCO|Agco Corp.
SELL -0.32% 642.2K $42M
UNP|Union Pacific Corp
SELL -0.25% 337.1K $45M
MA|Mastercard Inc - Class A
SELL -0.74% 246.6K $43M
DGED|Diageo P L C - ADR
SELL -5.28% 278.7K $38M
UNUSD|Unilever N V - ADR
SELL -3.13% 657.6K $37M
PSX|Phillips 66
SELL -0.48% 371.8K $36M
AXP|American Express Co
SELL -2.93% 302.8K $28M
VZ|Verizon Communications
SELL -3.18% 531.6K $25M
NWLIEUR|National Western Life Group
SELL -1.19% 82.1K $25M
CMCSA|Comcast Corporation - Class A
SELL -0.39% 634.2K $22M
AVT|Avnet
SELL -0.76% 578.8K $24M
WPP|Wpp PLC - ADR
BUY +65.22% 223.5K $18M -69.4%
NVS|Novartis AG American Depository Shares
SELL -0.59% 187.6K $15M
TTE|Total SA - ADR
BUY NEW 270.4K $16M
TOT|Total SA - ADR
SELL EXIT
TMK|Torchmark Corp
SELL -0.51% 118.1K $10M
WSM|Williams-sonoma Inc
SELL -35.01% 128.2K $7M
SIG|Signet Jewelers Limited
SELL EXIT
GSK|Glaxo Smithkline PLC ADR
SELL -1.61% 194.1K $8M
HSBC|Hsbc Holdings PLC Sponsored ADR
SELL -0.51% 142.2K $7M
UNF|Unifirst Corp
SELL -1.47% 35.3K $6M
LUK|Leucadia National Corp
SELL -0.98% 64.2K $1M
GE|General Electric Co
SELL EXIT
DNOW|Now Inc/de
SELL EXIT
TRMK|Trustmark Corporation
SELL EXIT

Closed Positions for Tweedy Browne Co.

Stock Click to search
Held Period Cost Basis Sale Proceeds Realized Gain Return CAGR
EPD|Enterprise Products Partners
2020-Q4 → 2026-Q2 (5.5y) $2.5M $4.9M $+2.4M +94.8% +12.9%
SNEX|Stonex Group, Inc.
2025-Q3 → 2026-Q2 (0.7y) $4.4M $4.0M $-374.3K -8.5% -11.2%
TRMD|Torm Plc-a
2025-Q2 → 2026-Q2 (1.0y) $2.1M $2.8M $+727.8K +35.3% +35.4%
BFH|Bread Financial Holdings, Inc.
2025-Q2 → 2026-Q2 (1.0y) $2.0M $2.8M $+752.7K +37.7% +37.8%
NE|Noble Corp PLC
2025-Q2 → 2026-Q2 (1.0y) $1.9M $2.6M $+773.8K +41.5% +41.6%
ZION|Zions Bancorporation N.a.
2025-Q1 → 2026-Q2 (1.2y) $2.1M $2.4M $+241.5K +11.4% +9.0%
AGCO|Agco Corp.
2025-Q2 → 2026-Q2 (1.0y) $1.8M $1.9M $+96.5K +5.3% +5.3%
CVS|Cvs Corp.
2025-Q2 → 2026-Q2 (1.0y) $1.4M $1.7M $+366.5K +26.7% +26.8%
FIBK|First Interstate Bancsystem Inc
2025-Q2 → 2026-Q2 (1.0y) $1.6M $1.7M $+140.8K +8.8% +8.8%
HCI|Hci Group Inc
2025-Q1 → 2026-Q2 (1.2y) $1.6M $1.7M $+64.4K +4.0% +3.2%
TSN|Tyson Foods
2025-Q2 → 2026-Q2 (1.0y) $1.5M $1.7M $+142.2K +9.3% +9.3%
SFNC|Simmons Firs National Corp-a
2025-Q2 → 2026-Q2 (1.0y) $1.5M $1.6M $+131.2K +8.7% +8.7%
PSEC|Prospect Capital Corp
2025-Q1 → 2026-Q2 (1.2y) $533.8K $392.7K $-141.1K -26.4% -21.8%
EMBC|Embecta Corp
2025-Q2 → 2026-Q2 (1.0y) $871.0K $257.0K $-614.1K -70.5% -70.6%
UL|Unilever PLC Sponsored ADR
2018-Q4 → 2026-Q1 (7.2y) $41.9M $38.7M $-3.1M -7.4% -1.1%
ATMU|Atmus Filtration Technologies
2023-Q3 → 2026-Q1 (2.5y) $3.0M $6.9M $+3.8M +126.5% +38.9%
GM|General Motors
2025-Q1 → 2026-Q1 (1.0y) $1.2M $1.8M $+627.4K +54.5% +54.8%
AN|Autonation, Inc.
2025-Q2 → 2026-Q1 (0.7y) $1.0M $1.1M $+29.0K +2.8% +3.8%
CVE|Cenovus Energy
2025-Q2 → 2026-Q1 (0.7y) $667.8K $1.0M $+362.8K +54.3% +78.7%
EIG|Employers Holding Inc
2025-Q1 → 2026-Q1 (1.0y) $886.3K $826.3K $-60.1K -6.8% -6.8%
WMK|Weis Markets Inc
2025-Q3 → 2026-Q1 (0.5y) $842.4K $788.2K $-54.2K -6.4% -12.5%
HLF|Herbalife Ltd
2025-Q2 → 2026-Q1 (0.7y) $367.9K $728.2K $+360.3K +98.0% +149.3%
OBDC|Blue Owl Capital Corp
2025-Q1 → 2026-Q1 (1.0y) $875.6K $699.7K $-176.0K -20.1% -20.2%
ALB|Albemarle Corp
2025-Q3 → 2026-Q1 (0.5y) $305.4K $652.4K $+346.9K +113.6% +358.6%
CCSI|Consensus Cloud
2025-Q2 → 2026-Q1 (0.7y) $557.9K $579.1K $+21.3K +3.8% +5.1%
CLF|Cleveland-cliffs Inc
2025-Q1 → 2026-Q1 (1.0y) $497.3K $575.2K $+77.9K +15.7% +15.7%
LGND|Ligand Pharmaceuticals
2025-Q2 → 2025-Q3 (0.2y) $331.6K $481.2K $+149.6K +45.1% +45.1%
HPK|Highpeak Energy, Inc.
2025-Q1 → 2025-Q3 (0.5y) $289.5K $192.5K $-97.0K -33.5% -55.9%
ACDC|Profrac Holdings A
2025-Q1 → 2025-Q3 (0.5y) $192.9K $114.7K $-78.2K -40.5% -64.8%
FITBI|Fifth Third Banc
2025-Q1 → 2025-Q2 (0.2y) $152.7K $151.0K $-1.8K -1.2% -1.2%
CSL|Carlisle Cos Inc
2020-Q3 → 2024-Q2 (3.7y) $29.1M $54.7M $+25.5M +87.6% +18.3%
THO|Thor Industries Inc.
2022-Q1 → 2024-Q1 (2.0y) $21.2M $21.9M $+679.0K +3.2% +1.6%
TTE|Totalenergies SE ADR
2023-Q1 → 2024-Q1 (1.0y) $10.3M $10.8M $+502.4K +4.9% +4.9%
INTC|Intel Corp
2020-Q3 → 2023-Q4 (3.2y) $63.4M $37.8M $-25.6M -40.4% -14.8%
FMS|Fresenius Medical Care-adr
2021-Q1 → 2023-Q3 (2.5y) $38.2M $18.8M $-19.3M -50.6% -24.6%
FOXA|Fox Corp Class B
2019-Q4 → 2023-Q1 (3.2y) $92.1M $87.0M $-5.1M -5.6% -1.8%
TTE|Totalenergies SE ADR
2022-Q4 → 2023-Q1 (0.2y) $10.0M $10.5M $+544.8K +5.5% +5.5%
MS|Morgan Stanley
2020-Q2 → 2022-Q4 (2.5y) $18.6M $39.6M $+21.0M +113.0% +35.5%
TTE|Totalenergies SE ADR
2020-Q2 → 2022-Q4 (2.5y) $8.9M $13.4M $+4.5M +50.9% +18.0%
AIT|Applied Industrial Tech Inc.
2020-Q1 → 2021-Q4 (1.7y) $3.7M $5.3M $+1.6M +43.5% +23.0%
HSBC|Hsbc Holdings PLC Sponsored ADR
2018-Q4 → 2021-Q4 (3.0y) $5.7M $4.3M $-1.4M -24.7% -9.0%
JEF|Jefferies Financial Group Inc
2020-Q4 → 2021-Q4 (1.0y) $2.3M $3.8M $+1.5M +67.1% +67.4%
ABBV|Abbvie Inc.
2020-Q2 → 2021-Q3 (1.2y) $36.5M $45.4M $+8.8M +24.2% +19.0%
UNF|Unifirst Corp
2018-Q4 → 2021-Q1 (2.2y) $106.6M $114.8M $+8.2M +7.7% +3.4%
GS|Goldman Sachs
2018-Q4 → 2021-Q1 (2.2y) $27.4M $39.7M $+12.4M +45.3% +18.1%
SHEN|Shenandoah Telecommunications Co.
2018-Q4 → 2021-Q1 (2.2y) $3.4M $3.6M $+157.4K +4.6% +2.0%
ALC|Alcon Inc ADR
2019-Q2 → 2021-Q1 (1.7y) $1.9M $2.1M $+202.2K +10.5% +5.9%
HAL|Halliburton Co
2018-Q4 → 2020-Q2 (1.5y) $56.7M $37.1M $-19.6M -34.5% -24.6%
DAL|Delta Air Lines Inc.
2020-Q1 → 2020-Q2 (0.2y) $53.0M $22.5M $-30.4M -57.4% -57.4%
WPP|Wpp PLC - ADR
2018-Q4 → 2020-Q2 (1.5y) $12.1M $9.2M $-3.0M -24.6% -17.2%
CCL|Carnival Corp
2018-Q4 → 2020-Q2 (1.5y) $8.3M $4.3M $-4.0M -48.6% -35.9%
FOXA|Fox Corp Class B
2019-Q2 → 2019-Q4 (0.5y) $44.7M $45.4M $+679.0K +1.5% +3.1%
MA|Mastercard Inc - Class A
2018-Q4 → 2019-Q3 (0.7y) $44.5M $60.2M $+15.6M +35.1% +49.6%
MRK|Merck & Company Inc.
2018-Q2 → 2018-Q3 (0.2y) $186.9K $212.5K $+25.7K +13.7% +13.7%