Mason Hawkins Holdings Activity

Longleaf Partners Portfolio 13F

Longleaf Partners has disclosed a total of 12 changes to the portfolio in the latest (2023 Q4) SEC report(s): increased the number of shares of 4 and decreased the number of shares of 8 position(s).

What stocks is Mason Hawkins buying now?

In the recent quarter Mason Hawkins has purchased 4 securities: (CNHI) CNH INDUSTRIAL NV (added shares +230.42%), (FIS) FIDELITY NATIONAL INFO SERV (added shares +26.16%), (K) KELLOGG CO (added shares +21.21%) and (BIO) BIO-RAD LABORATORIES-A (added shares +14.53%).

What does Mason Hawkins invest in?

Mason Hawkins's top 5 holdings (by % of portfolio) are (AMG) AFFILIATED MANAGERS GROUP (6.25%), (MAT) MATTEL INC (5.97%), (FIS) FIDELITY NATIONAL INFO SERV (5.92%), (K) KELLOGG CO (5.65%) and (CNX) CNX RESOURCES CORP (5.65%).

In the latest report(s) the following changes have been made to the top investments: (FIS) FIDELITY NATIONAL INFO SERV (added shares +26.16%), (K) KELLOGG CO (added shares +21.21%) and (CNX) CNX RESOURCES CORP (reduced shares -9.16%).

2021 Q3 (8 results)
DISCK
buy
+3,286,894
+5.14%
$24.27
0.62% $24.42
5.14%
IAC
buy
+548,053
+4.60%
$130.29
57.73% $55.07
4.60%
FDX
+38.24%
+102,912
+1.45%
$219.29
21.18% $265.73
5.26%
H
+30.26%
+276,293
+1.37%
$77.10
97.41% $152.20
5.91%
LUMN
+10.84%
+1,527,438
+1.22%
$12.39
89.43% $1.31
12.47%
GE
-0.00%
-1
-0.00%
$103.03
58.58% $163.38
5.29%
CNHIIM
-23.14%
-1,524,829
-1.65%
$16.81
-
5.48%
CMCSA
-28.94%
-448,137
-1.61%
$55.93
29.72% $39.31
0.00%
2021 Q2 (3 results)
1HK
+6.78%
+734,000
+0.38%
$7.79
-
6.03%
CNX
-2.71%
-187,060
-0.17%
$13.66
70.28% $23.26
6.15%
BIIB
-100.00%
-249,422
-4.67%
$279.75
20.82% $221.50
0.00%
2021 Q1 (12 results)
LUMN
buy
+14,087,844
+12.36%
$13.35
90.19% $1.31
12.36%
BIIB
buy
+249,422
+4.59%
$279.75
20.82% $221.50
0.00%
MAT
-3.15%
-184,745
-0.24%
$19.92
6.33% $18.66
7.45%
WMB
-8.73%
-278,627
-0.43%
$23.69
67.33% $39.64
4.53%
CNX
-9.01%
-684,396
-0.66%
$14.70
58.23% $23.26
6.68%
CNHIIM
-10.76%
-794,611
-0.81%
$15.47
-
6.70%
H
-16.10%
-175,142
-0.95%
$82.70
84.04% $152.20
4.96%
AMG
-26.11%
-260,516
-2.55%
$149.03
5.80% $157.67
7.22%
MGM
-29.80%
-970,884
-2.42%
$37.99
6.79% $40.57
5.71%
GE
-30.95%
-357,354
-2.47%
$105.04
55.54% $163.38
5.51%
DD
-100.00%
-1,005,770
-4.70%
$71.11
10.76% $78.76
0.00%
LUMN
-100.00%
-14,087,844
-9.03%
$9.75
86.56% $1.31
0.00%
2020 Q4 (9 results)
DEI
buy
+2,827,624
+5.88%
$29.18
51.68% $14.10
5.88%
MGM
+28.88%
+729,983
+1.64%
$31.51
28.75% $40.57
7.32%
CMCSA
-1.68%
-26,510
-0.10%
$52.40
24.98% $39.31
5.79%
H
-3.14%
-35,257
-0.19%
$74.25
104.98% $152.20
5.76%
LHNSW
-5.04%
-79,158
-0.31%
$54.55
-
5.81%
FDX
-12.10%
-37,034
-0.69%
$259.62
2.35% $265.73
4.98%
GE
-12.82%
-169,793
-1.05%
$86.40
89.10% $163.38
7.11%
CNHIIM
-21.02%
-1,965,622
-1.77%
$12.61
-
6.64%
MAT
-29.45%
-2,451,604
-3.05%
$17.45
6.93% $18.66
7.31%
2020 Q3 (6 results)
MGM
buy
+2,527,606
+4.98%
$21.75
86.53% $40.57
4.98%
1HK
+25.35%
+2,190,500
+1.20%
$6.06
-
5.94%
GE
+14.99%
+172,638
+0.78%
$49.84
227.81% $163.38
5.98%
FDX
-50.36%
-310,562
-7.07%
$251.52
5.65% $265.73
6.97%
GOOG
-100.00%
-502,180
-3.21%
$70.68
140.93% $170.29
0.00%
CARR
-100.00%
-2,542,013
-5.11%
$22.22
194.78% $65.50
0.00%
2020 Q2 (10 results)
CARR
buy
+2,542,013
+5.16%
$22.22
194.78% $65.50
0.00%
FRFHF
+24.64%
+44,475
+1.26%
$308.95
272.23% $1,150.00
6.35%
H
+7.42%
+77,584
+0.36%
$50.29
202.64% $152.20
5.16%
FDX
-19.17%
-146,247
-1.87%
$140.22
89.51% $265.73
7.90%
CNX
-20.58%
-1,967,516
-1.55%
$8.65
168.90% $23.26
6.00%
DD
-38.94%
-641,469
-3.11%
$53.13
48.24% $78.76
4.88%
WMB
-39.45%
-2,078,203
-3.61%
$19.02
108.41% $39.64
5.54%
GOOG
-48.63%
-475,400
-3.07%
$70.68
140.93% $170.29
0.00%
UTX
-100.00%
-761,040
-6.56%
$94.33
-
0.00%
PK
-100.00%
-2,918,308
-2.11%
$7.91
99.12% $15.75
0.00%
48 of 209

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.