Christopher Davis - Davis Selected Advisers
Period:    Q1 2026
Portfolio date:    31 Mar 2026
No. of stocks:    112
Portfolio value:    $21,781,443,023
Holdings Activity Buys Sells    History
Holding/activity history for  Marriott Int'l. (MAR)
Period Shares % of Portfolio Activity % Change to Portfolio Reported Price Value Filing
2004   Q4 0 0.00 Sell 100.00% <0.01 SEC
2004   Q3 58,030 <0.01 Reduce 99.27% 0.21 $51.96 $3,015,000 SEC
2004   Q2 7,979,231 0.21 Add 1.70% <0.01 $49.88 $398,004,000 SEC
2003   Q4 7,845,582 0.21 Add 1.42% <0.01 $46.18 $362,335,000 SEC
2003   Q3 7,736,064 0.66 Add 0.72% <0.01 $43.11 $333,477,000 SEC
2003   Q2 7,681,132 0.14 Reduce 3.07% 0.03 $38.54 $295,998,000 SEC
2003   Q1 7,924,501 1.00 Add 3.69% 0.04 $42.80 $339,148,000 SEC
2002   Q4 7,642,553 0.23 Reduce 5.00% <0.01 $32.87 $251,210,000 SEC
2002   Q3 8,044,975 0.19 Add 2.02% <0.01 $28.99 $233,215,000 SEC
2002   Q2 7,886,011 0.00 Add 1.00% $38.05 $300,063,000 SEC
2002   Q1 7,807,881 0.24 Reduce 0.89% <0.01 $44.91 $350,688,000 SEC
2001   Q4 7,878,367 0.25 Add 6.86% 0.02 $40.65 $320,256,000 SEC
2001   Q3 7,372,524 0.08 Reduce 2.25% $32.29 $238,094,000 SEC
2001   Q2 7,542,570 0.00 Buy $4.73 $35,700,000 SEC
2001   Q1 0 0.00 Sell 100.00% SEC
2000   Q4 7,140,048 0.00 Add 4.73% $42.29 $301,979,000 SEC
2000   Q3 6,817,599 0.41 Reduce 0.07% <0.01 $36.41 $248,218,000 SEC
2000   Q2 6,822,629 0.76 Add 4.41% 0.03 $36.19 $246,906,000 SEC
2000   Q1 6,534,741 0.21 Reduce 0.70% <0.01 $31.50 $205,845,000 SEC
1999   Q4 6,580,516 0.40 Add 39.10% 0.11 $31.56 $207,698,000 SEC
1999   Q3 4,730,784 0.34 Reduce 0.23% <0.01 $32.69 $154,638,000 SEC
1999   Q2 4,741,844 1.33 Add 6.71% 0.08 $37.37 $177,226,000 SEC
1999   Q1 4,443,645 0.26 $33.63 $149,418,000 SEC