Bill Nygren - Oakmark Select Fund

History Stock Activity Share change % change to portfolio
Q3  2009
TEL - TE Connectivity Reduce 2.40% 100,000 0.11
HRB - H&R Block Inc. Reduce 1.55% 100,000 0.09
WU - Western Union Co. Reduce 4.29% 200,000 0.00
Q2  2009
BMY - Bristol-Myers Squibb Add 23.46% 800,000 0.86
YUM - Yum! Brands Inc. Reduce 14.21% 400,000 0.71
MDT - Medtronic plc Add 13.04% 300,000 0.55
JPM - JPMorgan Chase & Co. Reduce 12.03% 300,000 0.54
TEL - TE Connectivity Reduce 10.71% 500,000 0.49
WU - Western Union Co. Reduce 7.90% 400,000 0.35
NFX - Newfield Exploration Reduce 8.00% 200,000 0.35
SGP - Schering-Plough Reduce 4.67% 200,000 0.27
COF - Capital One Financial Reduce 6.87% 200,000 0.23
BBY - Best Buy Co. Inc. Reduce 4.65% 100,000 0.18
TXN - Texas Instruments Add 2.40% 100,000 0.11
Q1  2009
TWX - Time Warner Inc. Reduce 58.10% 5,006,334 6.39
SGP - Schering-Plough Reduce 36.86% 2,500,000 3.89
NFX - Newfield Exploration Buy 2,500,000 3.75
YUM - Yum! Brands Inc. Reduce 33.21% 1,400,000 2.54
BBY - Best Buy Co. Inc. Reduce 23.21% 650,000 1.63
HRB - H&R Block Inc. Reduce 11.00% 800,000 0.96
INTC - Intel Corp. Reduce 14.64% 900,000 0.90
MDT - Medtronic plc Add 15.00% 300,000 0.58
BMY - Bristol-Myers Squibb Reduce 10.50% 400,000 0.58
VIAB - Viacom Inc. Reduce 7.49% 350,000 0.40
WBD - Warner Bros. Discovery Inc. Reduce 4.04% 400,000 0.39
EBAY - eBay Inc. Add 6.32% 249,800 0.21
BAC - Bank of America Corp. Add 4.26% 200,000 0.09
Q4  2008
LMDIA - Liberty Media Ent. OLD Buy 6,017,029 6.04
MCD - McDonald's Corp. Sell 100.00% 2,028,000 5.13
HRB - H&R Block Inc. Reduce 34.03% 3,750,000 4.90
LTD - Limited Brands Inc. Sell 100.00% 6,680,981 4.74
CMCSA - Comcast Corp. Sell 100.00% 11,500,000 4.65
TEL - TE Connectivity Buy 4,667,838 4.35
WBD - Warner Bros. Discovery Inc. Add 120.98% 5,425,150 4.18
XRX - Xerox Holdings Corp. Sell 100.00% 2,136,600 4.04
BAC - Bank of America Corp. Buy 4,700,000 3.80
TXN - Texas Instruments Buy 4,175,000 3.72
MS - Morgan Stanley Sell 100.00% 3,850,000 3.63
MDT - Medtronic plc Buy 2,000,000 3.61
YUM - Yum! Brands Inc. Reduce 31.63% 1,950,000 3.53
DISCA-OLD - Discovery Inc. OLD Sell 100.00% 5,425,150 3.17
EBAY - eBay Inc. Buy 3,950,200 3.17
BMY - Bristol-Myers Squibb Reduce 36.60% 2,200,000 2.94
SGP - Schering-Plough Add 17.29% 1,000,000 0.98
JPM - JPMorgan Chase & Co. Reduce 13.82% 400,000 0.72
ASCMA - Ascent Capital Group Sell 100.00% 472,197 0.47
DELL-OLD - Dell Inc. Add 9.78% 500,000 0.29
Q3  2008
WM-OLD - Washington Mutual Sell 100.00% 29,203,828 5.20
DISCA-OLD - Discovery Inc. OLD Reduce 45.25% 4,484,350 2.62
WBD - Warner Bros. Discovery Inc. Buy 4,484,350 2.60
WU - Western Union Co. Reduce 19.15% 1,200,000 1.21
VIAB - Viacom Inc. Add 27.21% 1,000,000 1.02
CMCSA - Comcast Corp. Reduce 17.27% 2,400,000 0.97
MS - Morgan Stanley Add 35.09% 1,000,000 0.94
LTD - Limited Brands Inc. Reduce 11.87% 900,000 0.64
BBY - Best Buy Co. Inc. Add 16.67% 400,000 0.61
HRB - H&R Block Inc. Reduce 4.34% 500,000 0.47
ASCMA - Ascent Capital Group Buy 472,197 0.47
YUM - Yum! Brands Inc. Reduce 4.64% 300,000 0.40
QRTEA - Qurate Retail Group Inc. CL A Reduce 6.00% 600,000 0.32
BMY - Bristol-Myers Squibb Reduce 4.75% 300,000 0.26
COF - Capital One Financial Reduce 3.32% 100,000 0.21
JPM - JPMorgan Chase & Co. Reduce 3.34% 100,000 0.19
Q2  2008
SGP - Schering-Plough Buy 5,782,954 4.11
BBY - Best Buy Co. Inc. Buy 2,400,000 3.43
HD - Home Depot Sell 100.00% 3,700,000 3.23
HRB - H&R Block Inc. Reduce 18.70% 2,650,000 2.05
YUM - Yum! Brands Inc. Reduce 18.83% 1,500,000 1.90
DELL-OLD - Dell Inc. Reduce 31.94% 2,400,000 1.90
WM-OLD - Washington Mutual Add 43.03% 8,786,428 1.56
TWX - Time Warner Inc. Reduce 20.34% 2,200,000 1.18
INTC - Intel Corp. Reduce 17.46% 1,300,000 1.01
LTD - Limited Brands Inc. Reduce 17.43% 1,600,000 0.98
MCD - McDonald's Corp. Reduce 16.47% 400,000 0.81
WU - Western Union Co. Reduce 12.56% 900,000 0.80
JPM - JPMorgan Chase & Co. Reduce 15.52% 550,000 0.68
VIAB - Viacom Inc. Reduce 14.04% 600,000 0.66
CMCSA - Comcast Corp. Reduce 8.55% 1,300,000 0.44
BMY - Bristol-Myers Squibb Reduce 6.66% 450,000 0.33
XRX - Xerox Holdings Corp. Reduce 6.56% 150,000 0.29
COF - Capital One Financial Add 7.12% 200,000 0.27
QRTEA - Qurate Retail Group Inc. CL A Reduce 3.38% 350,000 0.19
DISCA-OLD - Discovery Inc. OLD Reduce 1.00% 100,000 0.08
MS - Morgan Stanley Reduce 1.72% 50,000 0.07
Q1  2008
IMS - IMS Health Holdings Sell 100.00% 7,703,441 4.59
COF - Capital One Financial Buy 2,810,600 4.32
MS - Morgan Stanley Buy 2,900,000 4.13
DNB - Dun & Bradstreet Sell 100.00% 1,134,900 2.60
XRX - Xerox Holdings Corp. Reduce 25.92% 800,000 1.49
MCD - McDonald's Corp. Reduce 22.38% 700,000 1.22
JPM - JPMorgan Chase & Co. Reduce 20.25% 900,000 1.21
YUM - Yum! Brands Inc. Reduce 10.66% 950,000 1.10
WU - Western Union Co. Reduce 14.34% 1,200,000 0.80
VIAB - Viacom Inc. Reduce 12.31% 600,000 0.74
WM-OLD - Washington Mutual Reduce 9.93% 2,250,000 0.72
TWX - Time Warner Inc. Reduce 11.46% 1,400,000 0.61
BMY - Bristol-Myers Squibb Reduce 8.77% 650,000 0.43
HRB - H&R Block Inc. Reduce 3.74% 550,000 0.36
HD - Home Depot Reduce 9.76% 400,000 0.35
CMCSA - Comcast Corp. Reduce 2.42% 377,200 0.11