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  Exxon Mobil Corp. (XOM)
Period Shares % of Portfolio Activity % Change to Portfolio Reported Price Value Filing
2025   Q3 0 0.00 Sell 100.00% <0.01 SEC
2025   Q2 2,066 <0.01 Buy <0.01 $107.80 $222,715 SEC
2013   Q3 0 0.00 Sell 100.00% 0.05 SEC
2013   Q2 207,826 0.05 Reduce 15.42% <0.01 $90.35 $18,777,000 SEC
2012   Q2 245,719 0.05 Reduce 5.23% <0.01 $85.57 $21,026,000 SEC
2012   Q1 259,281 0.05 Reduce 0.71% <0.01 $86.73 $22,487,000 SEC
2011   Q4 261,129 0.05 Buy 0.05 $84.76 $22,133,000 SEC
2008   Q4 0 0.00 Sell 100.00% 0.01 SEC
2008   Q3 33,200 0.01 Reduce 92.42% 0.06 $77.65 $2,578,000 SEC
2008   Q2 438,200 0.07 Buy 0.07 $88.13 $38,619,000 SEC
2007   Q2 0 0.00 Sell 100.00% <0.01 SEC
2007   Q1 2,640 <0.01 Reduce 75.00% <0.01 $75.38 $199,000 SEC
2006   Q4 10,560 <0.01 $76.61 $809,000 SEC
2006   Q3 10,560 <0.01 Buy <0.01 $67.14 $709,000 SEC
2006   Q1 0 0.00 Sell 100.00% <0.01 SEC
2005   Q4 4,500 <0.01 Add 71.76% <0.01 $56.22 $253,000 SEC
2005   Q3 2,620 <0.01 Buy <0.01 $63.36 $166,000 SEC
2000   Q4 0 0.00 Sell 100.00% 0.03 SEC
2000   Q3 222,338 0.03 Add 0.56% <0.01 $89.13 $19,816,000 SEC
2000   Q2 221,104 0.05 Reduce 0.77% <0.01 $78.50 $17,356,000 SEC
2000   Q1 222,814 0.02 Add 0.38% <0.01 $77.94 $17,366,000 SEC
1999   Q4 221,979 0.03 Buy 0.03 $80.56 $17,883,000 SEC