Warren Buffett 29 Bill Ackman 11 Charlie Munger 4 MB Michael Burry Q3 2025 Carl Icahn 12 JG Joel Greenblatt 1791 Seth Klarman 23 Howard Marks 54 DE David Einhorn Q4 2023 David Tepper 27 SD Stanley Druckenmiller 90 DL Dan Loeb 39 MP Mohnish Pabrai 4 LL Li Lu 8 Prem Watsa 32 CC Chase Coleman 46 PL Philippe Laffont 66 Cliff Asness 3896 MG Mario Gabelli 916 BM Bill Miller 56 TG Tom Gayner 130 CA Chuck Akre 19 RB Ron Baron 345 BN Bill Nygren 161 John Rogers 106 SM Stephen Mandel 34 AH Andreas Halvorsen 90 LA Lee Ainslie 177 Tom Steyer 85 JE Jean-Marie Eveillard 424 BB Bruce Berkowitz 13 TB Tweedy, Browne 91 D& Dodge & Cox 222 MH Mason Hawkins 47 DA David Abrams 11 MM Mason Morfit 18 BR Barry Rosenstein 10 MW Marty Whitman 55 SB Sardar Biglari 12 RP Richard Pzena 161 PM PRIMECAP Management 324 HC Hersh Cohen 698 BC Boykin Curry 56 CB Charles Brandes 193 RD Ric Dillon 186 MS Murray Stahl 351 EW Ed Wachenheim 28 DY Donald Yacktman 74 SR Steven Romick 72 AW Andrew Wellington 41 RC Ruane, Cunniff & Goldfarb 54 DS Donald Smith 66 LR Larry Robbins 44 BS Bill Smead 32 GG Glenn Greenberg 40 MM Mark Massey 8 AR Andrew Redleaf 487 CF C.T. Fitzpatrick 36 FR Francois Rochon 51 WN Will Nasgovitz 244 DI David Iben 30 EM Eric Marshall 223 WW Wallace Weitz 50 SS Sean Stannard-Stockton Q3 2024 JP Jay Petschek 164 TK Thomas Kahn 48 RR Robert Robotti 61 CD Charles de Vaulx Q4 2020 DR David Rolfe 18 AW Adam Wyden 8 GW Glenn Welling 9 LP Larry Pitkowsky 24 BL Bryan Lawrence 9 FC Francis Chou 31 AR Alex Roepers 12 MB Mark Boyar 77 Warren Lichtenstein 9 JR James Roumell Q2 2024 RO Robert Olstein 1 TB Tom Bancroft 1
SR
Steven Romick
First Pacific Advisors
Portfolio value
$7,970,121,469
Stocks
72
Period
Q2 2026
Filed
14 Aug 2026

Flexible value across equities, credit, and special situations globally.

✦

Cut Marriott International Inc /Md/ 92.1%, added 2525% to Ishares Bb Rated Corp Bond and opened 6 new positions, the largest INTU at 1.1%. Communication Services is still the biggest weight in the book at 20.0%. The top five names are 31% of it.

Sector exposure
Communication Services 20.0%
Technology 17.7%
Unknown 17.0%
Financial Services 14.7%
Healthcare 10.3%
Consumer Cyclical 8.4%
Industrials 5.8%
Basic Materials 2.1%
Real Estate 2.1%
Energy 1.6%
Utilities 0.2%
Portfolio return
Time-weighted · held at window start
Stock % Portfolio Recent Activity Shares Reported Price Value
ADI — Analog Devices Inc 7.97% Reduce 7.23% 1,598,506 $397.17 $634,878,628 ↗ ◎
GOOGL — Alphabet Inc Cl A 6.32% Reduce 16.33% 1,408,518 $357.37 $503,362,078 ↗ ◎
GOOG — Alphabet Inc Cl C 5.91% Add 0.00% 1,333,205 $353.33 $471,061,323 ↗ ◎
INTERNATIONAL FLAVORS&FRAGRA 5.42% 5,455,081 $79.22 $432,151,517
C — Citigroup Inc 5.30% Reduce 4.99% 3,016,828 $139.96 $422,235,247 ↗ ◎
META — Meta Platforms Inc 4.80% Reduce 0.11% 679,884 $563.29 $382,971,858 ↗ ◎
AMZN — Amazon Com Inc 4.07% Reduce 3.93% 1,360,585 $238.34 $324,281,829 ↗ ◎
BDX — Becton Dickinson And Co 4.01% Add 6.58% 2,110,794 $151.33 $319,426,456 ↗ ◎
TEL — Te Connectivity Plc 3.92% Reduce 6.04% 1,551,105 $201.61 $312,718,279 ↗ ◎
AJG — Arthur J Gallagher & Co 3.85% Add 244.68% 1,336,290 $229.57 $306,772,095 ↗ ◎
AON — Aon Plc 2.84% Reduce 3.11% 681,367 $331.69 $226,002,620 ↗ ◎
CMCSA — Comcast Corp-Class A 2.67% Add 0.98% 8,676,664 $24.55 $213,012,101 ↗ ◎
FBIN — Fortune Brands Innovations I 2.63% Add 0.87% 3,825,269 $54.90 $210,007,268 ↗ ◎
NXPI — Nxp Semiconductors N.v. 2.43% Reduce 10.51% 688,107 $281.03 $193,378,710 ↗ ◎
FERG — Ferguson Enterprises Inc 2.34% Reduce 3.69% 786,822 $237.33 $186,736,465 ↗ ◎
MTN — Vail Resorts Inc 2.23% Add 10.93% 1,304,959 $136.15 $177,670,168 ↗ ◎
AMRZ — Amrize Ltd 2.12% Add 0.98% 3,177,325 $53.30 $169,351,423 ↗ ◎
BAX — Baxter International Inc 2.04% Add 13.69% 7,618,145 $21.32 $162,418,851 ↗ ◎
KMX — Carmax Inc 2.00% Add 0.90% 3,008,564 $52.89 $159,122,950 ↗ ◎
LBRDK — Liberty Broadband-C 1.94% Reduce 0.02% 4,641,753 $33.26 $154,384,705 ↗ ◎
JEF — Jefferies Financial Group In 1.70% Add 4.55% 2,704,265 $49.98 $135,159,165 ↗ ◎
TMO — Thermo Fisher Scientific Inc. 1.56% Add 11.87% 248,244 $501.36 $124,459,612 ↗ ◎
NOV — Nov Inc 1.49% Add 1.13% 6,392,388 $18.55 $118,578,797 ↗ ◎
BIO — Bio-Rad Laboratories-A 1.48% Reduce 1.35% 401,861 $293.61 $117,990,408 ↗ ◎
DANAHER CORP DEL 1.35% 564,781 $190.48 $107,579,485
ICLR — Icon Plc 1.32% Reduce 38.80% 606,523 $173.71 $105,359,110 ↗ ◎
DEI — Douglas Emmett Inc 1.29% Add 1.24% 8,743,999 $11.80 $103,179,188 ↗ ◎
WAT — Waters Corp 1.26% Add 0.26% 268,164 $375.04 $100,572,227 ↗ ◎
PAYPAL HLDGS INC 1.16% 2,137,851 $43.18 $92,312,406
LPL FINL HLDGS INC 1.14% 321,244 $281.68 $90,488,010
INTU — Intuit Inc 1.09% New 331,964 $261.00 $86,642,604 ↗ ◎
SAP — Sap Se-Sponsored Adr 1.07% New 555,426 $154.11 $85,596,701 ↗ ◎
AVTR — Avantor Inc 1.02% Add 1.26% 8,190,740 $9.90 $81,088,326 ↗ ◎
CNH INDL N V 1.01% 7,148,586 $11.23 $80,278,621
UBER — Uber Technologies Inc 0.88% Add 0.69% 976,544 $72.16 $70,467,415 ↗ ◎
VNO — Vornado Realty Trust 0.83% Add 0.19% 1,683,761 $39.30 $66,171,807 ↗ ◎
WFC — Wells Fargo & Co 0.81% Reduce 10.06% 784,923 $82.64 $64,866,037 ↗ ◎
GEHC — Ge Healthcare Technology 0.66% New 827,379 $64.01 $52,960,530 ↗ ◎
MAGNUM ICE CREAM CO NV 0.65% 2,971,716 $17.41 $51,737,576
WAB — Wabtec Corp 0.64% Reduce 27.49% 189,045 $269.60 $50,966,532 ↗ ◎
VYX — Ncr Voyix Corp 0.56% Add 0.15% 5,413,012 $8.17 $44,224,308 ↗ ◎
AVGO — Broadcom Inc 0.30% Add 1.12% 63,167 $377.75 $23,861,334 ↗ ◎
MRSH — Marsh & Mclennan Cos 0.25% Add 11.51% 121,213 $166.67 $20,202,571 ↗ ◎
PCG — Pg&e Corp 0.25% Add 0.92% 1,172,695 $16.82 $19,724,730 ↗ ◎
VBIL — Vanguard 0-3m T-Bill Etf 0.25% Add 188.69% 260,280 $75.68 $19,697,990 ↗ ◎
SATS — Echostar Corp 0.12% 94,066 $101.50 $9,547,699 ↗ ◎
RUSH ENTERPRISES INC 0.12% 129,094 $72.99 $9,421,926
STGW — Stagwell Inc 0.11% 1,191,918 $7.43 $8,855,951 ↗ ◎
MAR — Marriott International Inc /md/ 0.09% Reduce 92.08% 18,445 $370.59 $6,835,533 ↗ ◎
FPAG — Fpa Global Equity Etf New 0.07% New 145,470 $40.14 $5,839,733 ↗ ◎
EQPT — Equipmentshare.com Inc-A 0.07% 285,714 $19.66 $5,617,137 ↗ ◎
MRVI — Maravai Lifesciences Hldgs-A 0.07% 884,883 $6.24 $5,521,670 ↗ ◎
VT — Vanguard Tot World Stk Etf 0.07% Add 25.62% 33,151 $156.95 $5,203,049 ↗ ◎
TDW — Tidewater Inc 0.06% Reduce 7.42% 76,423 $66.63 $5,092,064 ↗ ◎
ALGT — Allegiant Travel Co 0.05% 34,186 $117.60 $4,020,274 ↗ ◎
FPAS — Fpa Short Duration Govt Etf 0.04% New 146,775 $24.70 $3,626,018 ↗ ◎
PDLB — Ponce Financial Group Inc 0.04% 181,562 $19.94 $3,620,346 ↗ ◎
RSVR — Reservoir Media Inc 0.04% 308,747 $9.89 $3,053,508 ↗ ◎
PBFS — Pioneer Bancorp Inc/ny 0.04% 166,974 $17.07 $2,850,246 ↗ ◎
ORION S.A. 0.04% 417,388 $6.63 $2,767,282
WLFC — Willis Lease Finance Corp 0.03% New 11,443 $228.80 $2,618,158 ↗ ◎
NATL — Ncr Atleos Corp 0.03% Reduce 54.90% 50,033 $43.41 $2,171,933 ↗ ◎
PARR — Par Pacific Holdings Inc 0.02% Reduce 27.35% 23,720 $56.08 $1,330,218 ↗ ◎
ASLE — Aersale Corp 0.02% 208,726 $6.32 $1,319,148 ↗ ◎
SCCO — Southern Copper Corp 0.02% Add 0.99% 7,126 $174.26 $1,241,777 ↗ ◎
NFLX — Netflix Inc 0.01% 16,400 $71.40 $1,170,960 ↗ ◎
CSL — Carlisle Cos Inc 0.01% 2,632 $362.75 $954,758 ↗ ◎
UPWK — Upwork Inc 0.01% 57,081 $8.36 $477,197 ↗ ◎
BIDU — Baidu Inc - Spon Adr 0.01% 3,421 $114.29 $390,986 ↗ ◎
UNIT — Uniti Group Inc 0.00% 25,235 $11.47 $289,445 ↗ ◎
HYBB — Ishares Bb Rated Corp Bond 0.00% Add 2524.65% 3,727 $46.77 $174,312 ↗ ◎
DEO — Diageo Plc-Sponsored Adr 0.00% 1 $80.00 $80 ↗ ◎