Third Avenue Management Holdings Activity

Third Avenue Management Portfolio 13F

Third Avenue Management has disclosed a total of 29 changes to the portfolio in the latest (2024 Q1) SEC report(s): increased the number of shares of 12, bought 1 totally new, decreased the number of shares of 14 and completely sold out 2 position(s).

What stocks is Third Avenue Management buying now?

In the recent quarter Third Avenue Management has bought 13 securities out of which top 5 purchases (by % change to portfolio) are (LAZ) LAZARD INC (new buy), (SUI) SUN COMMUNITIES INC (added shares +72.17%), (LXU) LSB INDUSTRIES INC (added shares +66.5%), (PRA) PROASSURANCE CORP (added shares +38.2%) and (COLL) COLLEGIUM PHARMACEUTICAL INC (added shares +30.08%).

What does Third Avenue Management invest in?

Third Avenue Management's top 5 holdings (by % of portfolio) are (TDW) TIDEWATER INC (7.52%), (HCC) WARRIOR MET COAL INC (7.4%), (DB) DEUTSCHE BANK AG-REGISTERED (6.25%), (VAL) VALARIS LTD (5.04%) and (CMA) COMERICA INC (4.18%).

In the latest report(s) the following changes have been made to the top investments: (TDW) TIDEWATER INC (reduced shares -27.2%), (HCC) WARRIOR MET COAL INC (reduced shares -21.06%), (DB) DEUTSCHE BANK AG-REGISTERED (reduced shares -0.01%), (VAL) VALARIS LTD (reduced shares -0.02%) and (CMA) COMERICA INC (reduced shares -0.03%).

2023 Q1 (32 results)
JLL
buy
+51,235
+1.27%
$145.49
41.73% $206.20
1.27%
MYRG
-13.82%
-13,986
-0.30%
$126.01
22.86% $154.82
1.88%
PLD
-1.58%
-2,374
-0.06%
$124.77
10.64% $111.50
3.59%
URTH
-100.00%
-2,631
-0.05%
$109.25
34.31% $146.73
0.00%
DHI
-5.28%
-11,123
-0.19%
$97.69
55.08% $151.50
3.33%
LEN.B
-16.63%
-54,540
-0.83%
$89.31
72.68% $154.22
4.17%
CBRE
+0.27%
+479
+0.01%
$72.81
25.35% $91.27
2.25%
VAL
+3.09%
+9,269
+0.10%
$65.06
17.74% $76.60
3.44%
MSGE
+27.82%
+15,028
+0.18%
$59.07
37.23% $37.08
0.82%
UMBF
+15.87%
+16,479
+0.20%
$57.72
49.24% $86.14
1.47%
FR
+0.35%
+541
+0.01%
$53.20
9.66% $48.06
1.44%
ECPG
+11.13%
+13,306
+0.11%
$50.45
6.86% $46.99
1.15%
TDW
-23.02%
-416,918
-3.14%
$44.08
139.34% $105.50
10.50%
CMA
+58.30%
+176,912
+1.31%
$43.42
26.28% $54.83
3.56%
HCC
+5.39%
+54,235
+0.43%
$36.71
76.16% $64.67
8.43%
FNF
-32.02%
-57,197
-0.34%
$34.93
49.67% $52.28
0.72%
WASH
+11.80%
+21,569
+0.13%
$34.66
19.88% $27.77
1.21%
RYN
-2.55%
-11,674
-0.07%
$33.26
8.69% $30.37
2.54%
LAZ
+20.09%
+91,664
+0.52%
$33.11
23.26% $40.81
3.10%
BAM
+0.37%
+487
+0.00%
$32.72
23.50% $40.41
0.73%
BN
+0.11%
+309
+0.00%
$32.59
36.51% $44.49
2.90%
AMH
-13.88%
-57,340
-0.31%
$31.45
16.92% $36.77
1.91%
WY
-2.68%
-13,378
-0.07%
$30.13
3.45% $31.17
2.50%
TPH
-21.42%
-70,715
-0.31%
$25.32
57.90% $39.98
1.12%
ORI
-0.39%
-2,908
-0.01%
$24.97
28.99% $32.21
3.56%
IVT
-21.58%
-149,368
-0.60%
$23.40
7.95% $25.26
2.17%
STRS
-100.00%
-60,245
-0.20%
$19.29
28.30% $24.75
0.00%
PRA
+17.16%
+65,042
+0.21%
$18.48
19.75% $14.83
1.40%
DB
+4.25%
+122,738
+0.21%
$10.16
68.03% $17.08
5.23%
HA
+141.00%
+910,431
+1.43%
$9.16
48.58% $13.61
2.44%
FPH
-19.80%
-926,403
-0.37%
$2.36
34.75% $3.18
1.51%
TPHS
0.00%
0
0.00%
$0.48
70.83% $0.14
0.42%
32 of 3,036

Shares, change to shares, sold shares - split-adjusted.

Reported price - this doesn't represent the actual buy or sell price.
It is the split-adjusted price of the security as of the last day of the reported period.

Value or Price - If the security is completely sold out, we show the reported value (or price) prior to the actual period.