Yacktman Asset Management

History Stock Activity Share change % change to portfolio
Q3  2019
UHAL - U-Haul Holding Co. Add 1.91% 3,337 0.02
BRK.B - Berkshire Hathaway CL B Add 2.71% 3,351 0.01
FOX - Fox Corporation CL B Add 3.84% 285,262 0.11
RDI - Reading International Inc. Add 5.63% 12,150 0.00
FOXA - Fox Corporation Add 38.71% 695,672 0.27
EAF - GrafTech International Ltd. Add 53.72% 825,077 0.13
STT - State Street Corp. Add 63.05% 1,661,988 1.21
SPY - SPDR S&P 500 ETF Trust Add 106.57% 762 0.01
M - Macy's Inc. Add 114.91% 12,705,052 2.43
NWSA - News Corp. Add 635.95% 9,623,733 1.65
LOVLQ - Spark Networks Inc. Buy 220,000 0.01
MSM - MSC Industrial Direct Buy 185,182 0.17
Q2  2019
XOM - Exxon Mobil Corp. Add 0.03% 775 0.00
BKNG - Booking Holdings Inc. Add 0.07% 159 0.00
GOOG - Alphabet Inc. CL C Add 0.14% 4,940 0.00
USB - U.S. Bancorp Add 0.34% 15,892 0.01
MU - Micron Technology Inc. Add 0.62% 3,246 0.00
SYK - Stryker Corp. Add 0.69% 184 0.00
UNLYF - Unilever Ord Shares Add 0.75% 1,912 0.00
STT - State Street Corp. Add 1.01% 26,230 0.02
BRK.B - Berkshire Hathaway CL B Add 2.33% 2,815 0.01
FOX - Fox Corporation CL B Add 6.52% 455,098 0.20
RDI - Reading International Inc. Add 84.95% 99,145 0.01
CTSH - Cognizant Technology Solutions Add 98.01% 1,329,559 1.01
EAF - GrafTech International Ltd. Add 1728.28% 1,451,754 0.20
SCHW - Charles Schwab Corp. Buy 34,700 0.02
NWSA - News Corp. Buy 1,513,275 0.25
M - Macy's Inc. Buy 11,056,832 2.85
Q1  2019
BK - Bank of New York Mellon Corp. Add 0.06% 2,011 0.00
GLW - Corning Inc. Add 0.23% 2,849 0.00
USB - U.S. Bancorp Add 0.23% 10,808 0.01
JNJ - Johnson & Johnson Add 0.25% 11,692 0.02
XOM - Exxon Mobil Corp. Add 0.65% 14,871 0.01
CL - Colgate-Palmolive Add 0.88% 11,000 0.01
WFC - Wells Fargo Add 0.93% 18,715 0.01
BRK.B - Berkshire Hathaway CL B Add 1.59% 1,891 0.00
MU - Micron Technology Inc. Add 1.90% 9,707 0.01
RDI - Reading International Inc. Add 6.10% 6,705 0.00
STT - State Street Corp. Add 7.19% 174,954 0.14
UHAL - U-Haul Holding Co. Add 7.67% 12,716 0.06
GOOG - Alphabet Inc. CL C Buy 3,627,060 2.63
BKNG - Booking Holdings Inc. Buy 212,670 4.58
DIS - Walt Disney Co. Buy 4,566,930 6.26