Harry Burn - Sound Shore Management Inc
Period:    Q1 2026
Portfolio date:    31 Mar 2026
No. of stocks:    40
Portfolio value:    $2,984,059,912
Holdings Activity Buys Sells    History
History Stock Activity Share change % change to portfolio
Q1 2026
MHK - Mohawk Industries Reduce 1.22% 7,910 0.03
QXO - Qxo Inc Reduce 1.80% 72,218 0.04
WFC - Wells Fargo Reduce 1.92% 17,625 0.05
C - Citigroup Inc. Reduce 1.95% 15,370 0.06
GM - General Motors Reduce 2.72% 29,033 0.08
BRK.B - Berkshire Hathaway CL B Reduce 5.10% 10,719 0.17
ACI - Albertsons Co Inc. Reduce 8.80% 398,798 0.22
FLEX - Flex Ltd. Reduce 9.18% 93,432 0.18
TEVA - Teva Pharmaceutical Industries Ltd. Reduce 9.84% 424,223 0.42
REGN - Regeneron Pharmaceuticals Reduce 14.17% 24,927 0.61
BP - BP plc Reduce 14.48% 283,102 0.31
CSX - CSX Corp. Reduce 16.64% 399,715 0.46
INCY - Incyte Corp. Reduce 17.42% 162,003 0.51
EQT - EQT Corp. Reduce 18.58% 282,022 0.48
LUV - Southwest Airlines Reduce 20.58% 518,720 0.68
GOOGL - Alphabet Inc. Reduce 26.90% 94,063 0.94
PEG - Public Serv. Enterprise Inc. Reduce 27.70% 377,323 0.96
QCOM - QUALCOMM Inc. Reduce 27.88% 164,200 0.89
CTRA - Coterra Energy Inc. Reduce 34.88% 1,140,518 0.96
KMI - Kinder Morgan Reduce 43.55% 1,476,798 1.29
CRM - Salesforce.com Sell 100.00% 378,539 3.19
AES - The AES Corporation Sell 100.00% 6,898,342 3.15
FIS - Fidelity National Information Services, Inc. Sell 100.00% 1,384,040 2.93
COF - Capital One Financial Sell 100.00% 365,756 2.82
WTW - Willis Towers Watson plc Sell 100.00% 226,119 2.36
AMAT - Applied Materials Sell 100.00% 280,589 2.29
HII - Huntington Ingalls Industries, Inc. Sell 100.00% 204,283 2.21
B - Barrick Mining Corp. Sell 100.00% 1,155,678 1.60
WBD - Warner Bros. Discovery Inc. Sell 100.00% 990,615 0.91
NEM - Newmont Corp. Sell 100.00% 88,665 0.28
Q4 2025
EQT - EQT Corp. Reduce 0.60% 9,234 0.02
CSX - CSX Corp. Reduce 0.61% 14,793 0.02
WFC - Wells Fargo Reduce 0.61% 5,612 0.02
FIS - Fidelity National Information Services, Inc. Reduce 0.66% 9,258 0.02
LUV - Southwest Airlines Reduce 0.67% 16,940 0.02
B - Barrick Mining Corp. Reduce 0.72% 8,402 0.01
MHK - Mohawk Industries Reduce 1.62% 10,719 0.05
ZBH - Zimmer Biomet Holdings Reduce 5.08% 45,527 0.15
ACI - Albertsons Co Inc. Reduce 7.53% 369,021 0.21
WTW - Willis Towers Watson plc Reduce 8.66% 21,432 0.25
FLEX - Flex Ltd. Reduce 13.09% 153,314 0.29
BAC - Bank of America Corp. Reduce 16.05% 301,769 0.52
COF - Capital One Financial Reduce 20.02% 91,530 0.64
C - Citigroup Inc. Reduce 20.22% 199,965 0.67
CTRA - Coterra Energy Inc. Reduce 22.92% 972,374 0.76
TEVA - Teva Pharmaceutical Industries Ltd. Reduce 23.68% 1,337,543 0.89
GM - General Motors Reduce 28.31% 421,117 0.85
HII - Huntington Ingalls Industries, Inc. Reduce 28.83% 82,747 0.79
AMAT - Applied Materials Reduce 29.72% 118,650 0.80
WBD - Warner Bros. Discovery Inc. Reduce 77.18% 3,350,243 2.16
HOLX - Hologic, Inc. Sell 100.00% 1,337,653 2.98
PRGO - Perrigo Company PLC Sell 100.00% 3,650,998 2.69
IP - International Paper Compan Sell 100.00% 1,551,437 2.38
PYPL - PayPal Holdings Inc. Sell 100.00% 1,069,187 2.37
Q3 2025
HOLX - Hologic, Inc. Reduce 3.26% 45,037 0.10
GM - General Motors Reduce 3.33% 51,287 0.09
CTRA - Coterra Energy Inc. Reduce 3.34% 146,605 0.13
ZBH - Zimmer Biomet Holdings Reduce 3.34% 30,974 0.10
MHK - Mohawk Industries Reduce 3.35% 22,911 0.08
TEVA - Teva Pharmaceutical Industries Ltd. Reduce 3.40% 199,063 0.11
WTW - Willis Towers Watson plc Reduce 3.72% 9,577 0.10
BAC - Bank of America Corp. Reduce 10.49% 220,381 0.36
LUV - Southwest Airlines Reduce 11.08% 316,314 0.35
HII - Huntington Ingalls Industries, Inc. Reduce 13.42% 44,481 0.37
COF - Capital One Financial Reduce 14.20% 75,659 0.55
WFC - Wells Fargo Reduce 14.22% 153,469 0.42
PEG - Public Serv. Enterprise Inc. Reduce 20.30% 208,124 0.60
CSX - CSX Corp. Reduce 22.22% 690,326 0.77
PYPL - PayPal Holdings Inc. Reduce 22.89% 317,379 0.80
GOOGL - Alphabet Inc. Reduce 25.41% 110,460 0.66
INCY - Incyte Corp. Reduce 25.45% 290,201 0.67
AES - The AES Corporation Reduce 26.92% 2,171,875 0.78
C - Citigroup Inc. Reduce 29.61% 416,082 1.21
FLEX - Flex Ltd. Reduce 33.83% 598,896 1.02
WBD - Warner Bros. Discovery Inc. Reduce 49.21% 4,206,380 1.64
B - Barrick Mining Corp. Reduce 62.21% 1,916,672 1.36
NEM - Newmont Corp. Reduce 66.15% 173,245 0.34
BAX - Baxter International Inc. Sell 100.00% 2,821,514 2.91
KR - Kroger Co. Sell 100.00% 888,544 2.17
MTCH - Match Group Inc. Sell 100.00% 2,012,336 2.12
Q2 2025
HOLX - Hologic, Inc. Reduce 0.07% 938 0.00
MTCH - Match Group Inc. Reduce 0.09% 1,787 0.00
CSX - CSX Corp. Reduce 0.11% 3,517 0.00
LUV - Southwest Airlines Reduce 0.12% 3,357 0.00
BAX - Baxter International Inc. Reduce 0.16% 4,388 0.01
NEM - Newmont Corp. Reduce 9.09% 26,195 0.04
COF - Capital One Financial Reduce 11.20% 67,195 0.42
WFC - Wells Fargo Reduce 13.56% 169,250 0.43
FIS - Fidelity National Information Services, Inc. Reduce 16.07% 208,967 0.55
BRK.B - Berkshire Hathaway CL B Reduce 17.43% 24,774 0.46
INCY - Incyte Corp. Reduce 23.73% 354,781 0.75
KR - Kroger Co. Reduce 25.78% 308,574 0.73
DIS - Walt Disney Co. Reduce 29.19% 272,058 0.94
EOG - EOG Resources Sell 100.00% 724,357 3.25
BMY - Bristol-Myers Squibb Sell 100.00% 1,425,166 3.04
CF - CF Industries Holdings, Inc Sell 100.00% 1,008,292 2.76
ABX - Barrick Gold Corporation Sell 100.00% 3,852,852 2.62
OGN - Organon & Co. Sell 100.00% 4,977,078 2.60
AVTR - Avantor Inc. Sell 100.00% 4,172,352 2.37
CHKP - Check Point Software Technologies Ltd. Sell 100.00% 270,886 2.16
NXPI - NXP Semiconductors NV Sell 100.00% 301,379 2.01
PVH - PVH Corp. Sell 100.00% 877,907 1.99
LEN - Lennar Corp. Sell 100.00% 466,752 1.88
Q1 2025
CTRA - Coterra Energy Inc. Reduce 0.46% 18,209 0.02
PVH - PVH Corp. Reduce 0.49% 4,310 0.02
FLEX - Flex Ltd. Reduce 3.10% 55,377 0.07
KR - Kroger Co. Reduce 9.34% 123,291 0.25
GM - General Motors Reduce 9.79% 105,882 0.19
BRK.B - Berkshire Hathaway CL B Reduce 10.51% 16,690 0.25
AVTR - Avantor Inc. Reduce 10.88% 509,183 0.35
COF - Capital One Financial Reduce 15.63% 111,148 0.65
WFC - Wells Fargo Reduce 19.62% 304,713 0.71
WTW - Willis Towers Watson plc Reduce 22.35% 66,412 0.69
NXPI - NXP Semiconductors NV Reduce 30.45% 131,949 0.90
CHKP - Check Point Software Technologies Ltd. Reduce 43.43% 208,002 1.28
BBWI - Bath & Body Works, Inc. Sell 100.00% 2,234,214 2.86
FDX - FedEx Corp. Sell 100.00% 241,475 2.24
VST - Vistra Corp. Sell 100.00% 481,772 2.19
BKR - Baker Hughes Co. Sell 100.00% 1,578,824 2.14
Q4 2024
PYPL - PayPal Holdings Inc. Reduce 1.79% 19,296 0.05
CTRA - Coterra Energy Inc. Reduce 1.86% 74,554 0.06
CF - CF Industries Holdings, Inc. Reduce 2.60% 22,546 0.06
COF - Capital One Financial Reduce 2.88% 21,099 0.10
OGN - Organon & Co. Reduce 3.35% 172,426 0.11
HOLX - Hologic, Inc. Reduce 4.60% 46,739 0.12
BBWI - Bath & Body Works, Inc. Reduce 8.83% 216,378 0.22
PVH - PVH Corp. Reduce 10.70% 105,756 0.35
KR - Kroger Co. Reduce 10.99% 163,025 0.30
ABX - Barrick Gold Corporation Reduce 11.97% 521,090 0.34
WFC - Wells Fargo Reduce 12.38% 219,396 0.40
WTW - Willis Towers Watson plc Reduce 12.59% 42,806 0.41
FIS - Fidelity National Information Services, Inc. Reduce 15.31% 171,449 0.47
DIS - Walt Disney Co. Reduce 18.39% 174,930 0.55
BKR - Baker Hughes Co. Reduce 19.36% 379,002 0.45
TEVA - Teva Pharmaceutical Industries Ltd. Reduce 20.15% 1,204,132 0.71
FLEX - Flex Ltd. Reduce 22.93% 531,476 0.58
PEG - Public Serv. Enterprise Inc. Reduce 34.26% 285,026 0.83
KMI - Kinder Morgan Reduce 35.25% 1,270,503 0.91
VST - Vistra Corp. Reduce 38.64% 303,328 1.17
GM - General Motors Reduce 49.49% 1,059,744 1.54
PFE - Pfizer Inc. Sell 100.00% 2,748,790 2.59
ORCL - Oracle Corp. Sell 100.00% 424,316 2.35
CVS - CVS Health Corp. Sell 100.00% 1,140,812 2.33
KHC - Kraft Heinz Co. Sell 100.00% 1,937,267 2.21
CNC - Centene Corp. Sell 100.00% 836,674 2.05
ELV - Elevance Health Inc. Sell 100.00% 119,497 2.02
HII - Huntington Ingalls Industries, Inc. Sell 100.00% 234,904 2.02
MRK - Merck & Co. Sell 100.00% 547,423 2.02
CAH - Cardinal Health Inc. Sell 100.00% 553,413 1.99
Q3 2024
CNC - Centene Corp. Reduce 2.03% 17,307 0.04
ELV - Elevance Health Inc. Reduce 2.11% 2,572 0.05
CVS - CVS Health Corp. Reduce 2.15% 25,019 0.05
KR - Kroger Co. Reduce 2.17% 32,883 0.05
ABX - Barrick Gold Corporation Reduce 2.28% 101,707 0.06
AVTR - Avantor Inc. Reduce 2.28% 82,236 0.06
VST - Vistra Corp. Reduce 2.33% 18,714 0.05
CF - CF Industries Holdings, In Reduce 2.37% 21,026 0.05
COF - Capital One Financial Reduce 2.48% 18,629 0.09
PFE - Pfizer Inc. Reduce 3.08% 87,267 0.08
WTW - Willis Towers Watson plc Reduce 4.12% 14,611 0.13
LEN - Lennar Corp. Reduce 11.37% 45,322 0.23
TEVA - Teva Pharmaceutical Industries Ltd. Reduce 11.60% 784,602 0.42
HOLX - Hologic, Inc. Reduce 12.79% 149,151 0.37
PEG - Public Serv. Enterprise Inc. Reduce 14.00% 135,415 0.33
NXPI - NXP Semiconductors NV Reduce 16.79% 52,463 0.47
CAH - Cardinal Health Inc. Reduce 17.37% 116,349 0.38
FDX - FedEx Corp. Reduce 18.58% 48,827 0.49
BKR - Baker Hughes Co. Reduce 18.87% 455,318 0.53
KHC - Kraft Heinz Co. Reduce 19.38% 465,755 0.50
GEHC - GE HealthCare Technologies Inc. Reduce 21.78% 210,524 0.55
FIS - Fidelity National Information Services, Inc. Reduce 23.04% 335,266 0.84
KMI - Kinder Morgan Reduce 24.38% 1,162,186 0.77
FLEX - Flex Ltd. Reduce 26.30% 827,069 0.81
CHKP - Check Point Software Technologies Ltd. Reduce 26.93% 124,032 0.68
HII - Huntington Ingalls Industries, Inc. Reduce 32.01% 110,585 0.91
BRK.B - Berkshire Hathaway CL B Reduce 35.85% 73,273 0.99
ORCL - Oracle Corp. Reduce 37.08% 250,009 1.18
TTEN - TotalEnergies SE ADR Sell 100.00% 1,006,342 2.24
CVX - Chevron Corp. Sell 100.00% 85,155 0.44
Q2 2024
KMI - Kinder Morgan Reduce 2.89% 141,654 0.08
FDX - FedEx Corp. Reduce 3.02% 8,184 0.07
LEN - Lennar Corp. Reduce 3.07% 12,617 0.07
NXPI - NXP Semiconductors NV Reduce 3.07% 9,910 0.08
OGN - Organon & Co. Reduce 3.07% 154,065 0.09
ORCL - Oracle Corp. Reduce 3.09% 21,492 0.08
KHC - Kraft Heinz Co. Reduce 3.12% 77,299 0.09
FIS - Fidelity National Information Services, Inc. Reduce 3.15% 47,376 0.11
BRK.B - Berkshire Hathaway CL B Reduce 3.17% 6,698 0.09
CHKP - Check Point Software Technologies Ltd. Reduce 3.20% 15,219 0.08
BKR - Baker Hughes Co. Reduce 3.21% 80,074 0.08
TTEN - TotalEnergies SE ADR Reduce 3.50% 36,473 0.08
PVH - PVH Corp. Reduce 3.97% 37,709 0.17
COF - Capital One Financial Reduce 6.77% 54,575 0.25
TEVA - Teva Pharmaceutical Industries Ltd. Reduce 9.78% 733,244 0.32
ELV - Elevance Health Inc. Reduce 21.06% 32,574 0.53
MRK - Merck & Co. Reduce 23.42% 162,397 0.67
GM - General Motors Reduce 26.03% 690,589 0.98
WFC - Wells Fargo Reduce 26.54% 568,461 1.03
FLEX - Flex Ltd. Reduce 26.77% 1,149,763 1.03
CNC - Centene Corp. Reduce 27.31% 320,868 0.79
VST - Vistra Corp. Reduce 44.02% 632,058 1.38
CLF - Cleveland-Cliffs Inc. Sell 100.00% 3,831,468 2.73
PCAR - PACCAR Inc. Sell 100.00% 545,036 2.11
CEG - Constellation Energy Corp. Sell 100.00% 360,012 2.08
AYI - Acuity Brands Inc. Sell 100.00% 186,126 1.56
Q1 2024
BBWI - Bath & Body Works, Inc. Reduce 0.23% 4,444 0.01
FDX - FedEx Corp. Reduce 0.94% 2,562 0.02
MRK - Merck & Co. Reduce 1.20% 8,431 0.03
FIS - Fidelity National Information Services, Inc. Reduce 2.08% 31,841 0.07
WTW - Willis Towers Watson plc Reduce 2.30% 6,967 0.06
GM - General Motors Reduce 2.53% 68,742 0.09
ORCL - Oracle Corp. Reduce 4.95% 36,227 0.13
COF - Capital One Financial Reduce 5.06% 42,904 0.20
CLF - Cleveland-Cliffs Inc. Reduce 5.10% 206,039 0.15
WFC - Wells Fargo Reduce 5.17% 116,816 0.20
PVH - PVH Corp. Reduce 5.19% 51,997 0.22
CAH - Cardinal Health Inc. Reduce 5.49% 31,153 0.11
NXPI - NXP Semiconductors NV Reduce 5.59% 19,086 0.15
BRK.B - Berkshire Hathaway CL B Reduce 8.15% 18,735 0.23
PCAR - PACCAR Inc. Reduce 13.13% 82,346 0.28
TEVA - Teva Pharmaceutical Industries Ltd. Reduce 15.97% 1,424,544 0.52
TTEN - TotalEnergies SE ADR Reduce 16.42% 204,809 0.48
CEG - Constellation Energy Corp. Reduce 23.30% 109,362 0.44
GEHC - GE HealthCare Technologies Inc. Reduce 27.44% 278,207 0.75
HII - Huntington Ingalls Industries, Inc. Reduce 35.05% 123,755 1.11
VST - Vistra Corp. Reduce 37.37% 856,689 1.14
AYI - Acuity Brands Inc. Reduce 46.45% 161,418 1.15
BA - Boeing Co. Sell 100.00% 371,498 3.36
MU - Micron Technology Inc. Sell 100.00% 1,096,241 3.24
ADI - Analog Devices Sell 100.00% 338,823 2.33
AMAT - Applied Materials Sell 100.00% 380,535 2.14
Q4 2023
ELV - Elevance Health Inc. Reduce 0.16% 247 0.00
BKR - Baker Hughes Co. Reduce 0.19% 2,980 0.00
MRK - Merck & Co. Reduce 0.22% 1,570 0.01
BA - Boeing Co. Reduce 0.43% 1,586 0.01
NXPI - NXP Semiconductors NV Reduce 0.45% 1,535 0.01
FDX - FedEx Corp. Reduce 0.47% 1,286 0.01
ADI - Analog Devices Reduce 0.56% 1,909 0.01
WFC - Wells Fargo Reduce 1.95% 44,904 0.07
COF - Capital One Financial Reduce 2.08% 18,001 0.07
MU - Micron Technology Inc. Reduce 2.11% 23,622 0.06
AMAT - Applied Materials Reduce 2.48% 9,662 0.05
PFE - Pfizer Inc. Reduce 2.81% 46,741 0.06
AYI - Acuity Brands Inc. Reduce 2.97% 10,635 0.07
HII - Huntington Ingalls Industries, Inc. Reduce 3.30% 12,041 0.09
PVH - PVH Corp. Reduce 3.92% 40,835 0.12
PCAR - PACCAR Inc. Reduce 5.25% 34,739 0.11
CEG - Constellation Energy Corp. Reduce 11.54% 61,220 0.26
GEHC - GE HealthCare Technologies Inc. Reduce 16.14% 195,210 0.51
LEN - Lennar Corp. Reduce 19.28% 94,807 0.41
TTEN - TotalEnergies SE ADR Reduce 19.59% 304,017 0.77
VST - Vistra Corp. Reduce 20.10% 576,616 0.73
CAH - Cardinal Health Inc. Reduce 25.82% 197,614 0.66
AVTR - Avantor Inc. Sell 100.00% 3,989,327 3.22
CSCO - Cisco Systems Sell 100.00% 1,018,729 2.10
CAG - Conagra Brands Inc. Sell 100.00% 1,522,008 1.60
Q3 2023
HII - Huntington Ingalls Industries, Inc. Reduce 0.37% 1,345 0.01
COF - Capital One Financial Reduce 0.38% 3,340 0.01
PVH - PVH Corp. Reduce 0.40% 4,172 0.01
WFC - Wells Fargo Reduce 0.40% 9,354 0.01
ADI - Analog Devices Reduce 0.43% 1,477 0.01
AMAT - Applied Materials Reduce 0.46% 1,804 0.01
CNC - Centene Corp. Reduce 0.47% 4,818 0.01
ORCL - Oracle Corp. Reduce 0.48% 2,709 0.01
CAG - Conagra Brands Inc. Reduce 5.75% 92,833 0.12
MRK - Merck & Co. Reduce 6.32% 47,452 0.20
PFE - Pfizer Inc. Reduce 7.08% 126,900 0.17
OGN - Organon & Co. Reduce 8.48% 320,640 0.25
PCAR - PACCAR Inc. Reduce 11.00% 81,863 0.25
CLF - Cleveland-Cliffs Inc. Reduce 11.72% 491,796 0.30
FDX - FedEx Corp. Reduce 15.30% 49,667 0.45
FLEX - Flex Ltd. Reduce 19.63% 914,170 0.93
CSCO - Cisco Systems Reduce 22.98% 303,972 0.58
BKR - Baker Hughes Co. Reduce 24.89% 526,483 0.61
BRK.B - Berkshire Hathaway CL B Reduce 25.67% 70,163 0.88
NXPI - NXP Semiconductors NV Reduce 33.37% 171,799 1.29
VST - Vistra Corp. Reduce 34.75% 1,528,054 1.48
CEG - Constellation Energy Corp. Reduce 41.73% 379,984 1.28
RHHBY - Roche Holdings LTD - Spons ADR Sell 100.00% 1,437,613 2.02
RHI - Robert Half International Sell 100.00% 715,537 1.98
Q2 2023
RHI - Robert Half International Reduce 1.19% 8,614 0.03
GEHC - GE HealthCare Technologies Inc. Reduce 1.21% 12,166 0.04
KMI - Kinder Morgan Reduce 1.27% 51,692 0.03
GM - General Motors Reduce 1.31% 27,329 0.04
CAG - Conagra Brands Inc. Reduce 1.32% 21,543 0.03
COF - Capital One Financial Reduce 1.34% 11,783 0.04
CEG - Constellation Energy Corp. Reduce 1.43% 13,240 0.04
VST - Vistra Corp. Reduce 2.51% 113,231 0.10
PVH - PVH Corp. Reduce 2.67% 28,725 0.10
HOLX - Hologic, Inc. Reduce 2.77% 18,426 0.06
WFC - Wells Fargo Reduce 2.78% 66,077 0.09
TTEN - TotalEnergies SE ADR Reduce 3.05% 37,533 0.08
NXPI - NXP Semiconductors NV Reduce 3.32% 17,691 0.12
BKR - Baker Hughes Co. Reduce 3.43% 75,119 0.08
PCAR - PACCAR Inc. Reduce 3.64% 28,116 0.08
MU - Micron Technology Inc. Reduce 4.25% 36,477 0.08
FLEX - Flex Ltd. Reduce 6.35% 315,985 0.27
BRK.B - Berkshire Hathaway CL B Reduce 9.91% 30,055 0.35
AVTR - Avantor Inc. Reduce 13.90% 540,791 0.43
PFE - Pfizer Inc. Reduce 26.54% 647,521 1.00
AMAT - Applied Materials Reduce 31.10% 176,970 0.82
CAH - Cardinal Health Inc. Reduce 40.53% 413,630 1.18
LEN - Lennar Corp. Reduce 46.81% 393,644 1.56
ORCL - Oracle Corp. Reduce 53.19% 644,575 2.26
VSXY - Victoria's Secret & Co. Sell 100.00% 1,986,788 2.55
LRCX - Lam Research Sell 100.00% 123,375 2.46
Q1 2023
CLF - Cleveland-Cliffs Inc. Reduce 2.10% 82,241 0.05
NXPI - NXP Semiconductors NV Reduce 2.36% 12,851 0.08
BRK.B - Berkshire Hathaway CL B Reduce 4.35% 13,811 0.16
AMAT - Applied Materials Reduce 4.36% 25,966 0.10
WFC - Wells Fargo Reduce 4.87% 121,842 0.19
BKR - Baker Hughes Co. Reduce 6.25% 145,994 0.16
ORCL - Oracle Corp. Reduce 7.57% 99,209 0.30
FLEX - Flex Ltd. Reduce 10.62% 590,913 0.48
COF - Capital One Financial Reduce 10.75% 106,195 0.37
VST - Vistra Corp. Reduce 13.83% 723,700 0.63
VSXY - Victoria's Secret & Co. Reduce 14.35% 332,969 0.45
FDX - FedEx Corp. Reduce 15.28% 50,501 0.33
CAG - Conagra Brands Inc. Reduce 15.79% 306,933 0.45
LEN - Lennar Corp. Reduce 16.71% 168,740 0.57
GM - General Motors Reduce 17.13% 430,205 0.54
HOLX - Hologic, Inc. Reduce 26.38% 238,190 0.67
MU - Micron Technology Inc. Reduce 29.68% 362,060 0.68
PVH - PVH Corp. Reduce 29.69% 454,104 1.21
FRCB - First Republic Bank Sell 100.00% 787,896 3.61
SIVBQ - SVB Financial Group Sell 100.00% 346,243 3.00
GOOGL - Alphabet Inc. Sell 100.00% 843,992 2.80
SGI - Somnigroup International Inc. Sell 100.00% 2,107,039 2.72
BAC - Bank of America Corp. Sell 100.00% 1,858,364 2.31
MS - Morgan Stanley Sell 100.00% 619,501 1.98
VNT - Vontier Corp. Sell 100.00% 30,988 0.02
Q4 2022
MRK - Merck & Co. Reduce 1.42% 9,479 0.03
BRK.B - Berkshire Hathaway CL B Reduce 1.80% 5,817 0.06
FLEX - Flex Ltd. Reduce 2.71% 154,887 0.10
VST - Vistra Corp. Reduce 4.06% 221,352 0.19
MS - Morgan Stanley Reduce 4.12% 26,621 0.09
AMAT - Applied Materials Reduce 4.44% 27,636 0.09
WFC - Wells Fargo Reduce 4.59% 120,206 0.20
ORCL - Oracle Corp. Reduce 4.71% 64,750 0.16
VSXY - Victoria's Secret & Co. Reduce 4.97% 121,402 0.14
LEN - Lennar Corp. Reduce 6.08% 65,318 0.20
HOLX - Hologic, Inc. Reduce 6.36% 61,363 0.16
CAG - Conagra Brands Inc. Reduce 6.58% 136,920 0.18
NXPI - NXP Semiconductors NV Reduce 7.16% 42,074 0.25
PVH - PVH Corp. Reduce 7.77% 128,903 0.23
CLF - Cleveland-Cliffs Inc. Reduce 18.89% 912,164 0.50
KMI - Kinder Morgan Reduce 20.55% 995,170 0.67
SGI - Somnigroup International Inc. Reduce 23.06% 631,415 0.62
CAH - Cardinal Health Inc. Reduce 28.96% 297,078 0.80
BKR - Baker Hughes Co. Reduce 37.05% 1,375,005 1.17
PCAR - PACCAR Inc. Reduce 40.68% 410,693 1.39
VNT - Vontier Corp. Reduce 98.99% 3,033,361 2.05
PRGO - Perrigo Company plc Sell 100.00% 2,864,433 4.13
ELAN - Elanco Animal Health Inc. Sell 100.00% 4,131,801 2.07
CTRA - Coterra Energy Inc. Sell 100.00% 1,506,901 1.59
Q3 2022
VNT - Vontier Corp. Reduce 8.81% 296,229 0.25
SGI - Somnigroup International Inc. Reduce 10.02% 304,987 0.24
VSXY - Victoria's Secret & Co. Reduce 10.51% 286,630 0.29
PCAR - PACCAR Inc. Reduce 12.52% 144,489 0.44
FLEX - Flex Ltd. Reduce 16.34% 1,116,721 0.59
AMAT - Applied Materials Reduce 16.81% 125,759 0.42
LEN - Lennar Corp. Reduce 23.24% 325,495 0.84
CAH - Cardinal Health Inc. Reduce 25.77% 356,023 0.68
CTRA - Coterra Energy Inc. Reduce 31.97% 708,063 0.67
MS - Morgan Stanley Reduce 44.56% 519,324 1.45
VZ - Verizon Communications Sell 100.00% 1,222,017 2.27
IP - International Paper Company Sell 100.00% 1,460,897 2.24
ELV - Elevance Health Inc. Sell 100.00% 125,137 2.21
Y - Alleghany Corporation Sell 100.00% 50,127 1.53
Q2 2022
BKR - Baker Hughes Co. Reduce 0.62% 14,201 0.02
VZ - Verizon Communications Reduce 1.76% 21,832 0.03
WFC - Wells Fargo Reduce 1.98% 52,075 0.07
CAG - Conagra Brands Inc. Reduce 4.41% 95,237 0.09
ELAN - Elanco Animal Health Inc. Reduce 5.96% 257,318 0.20
IP - International Paper Company Reduce 7.05% 110,859 0.15
NXPI - NXP Semiconductors NV Reduce 7.38% 46,612 0.25
BRK.B - Berkshire Hathaway CL B Reduce 7.42% 19,404 0.20
COF - Capital One Financial Reduce 7.43% 55,609 0.21
MS - Morgan Stanley Reduce 7.52% 94,801 0.24
HOLX - Hologic, Inc. Reduce 7.56% 78,305 0.17
PCAR - PACCAR Inc. Reduce 7.60% 94,982 0.24
GM - General Motors Reduce 8.56% 174,983 0.22
VNT - Vontier Corp. Reduce 9.10% 336,413 0.25
VST - Vistra Corp. Reduce 9.71% 585,045 0.40
ORCL - Oracle Corp. Reduce 18.94% 319,051 0.77
OGN - Organon & Co. Reduce 19.79% 629,012 0.64
ELV - Elevance Health Inc. Reduce 21.32% 33,912 0.48
FLEX - Flex Ltd. Reduce 21.56% 1,879,131 1.01
GOOGL - Alphabet Inc. Reduce 22.75% 7,510 0.61
PRGO - Perrigo Company plc Reduce 23.25% 859,173 0.96
CTRA - Coterra Energy Inc. Reduce 29.82% 941,214 0.74
BAC - Bank of America Corp. Reduce 31.24% 730,451 0.87
PFE - Pfizer Inc. Reduce 38.57% 757,555 1.14
MRK - Merck & Co. Reduce 49.45% 648,082 1.54
Y - Alleghany Corporation Reduce 52.78% 56,036 1.38
XRAY - DENTSPLY SIRONA Inc. Sell 100.00% 1,989,565 2.84
D7A - Aptiv PLC Sell 100.00% 764,308 2.66
CI - Cigna Group Sell 100.00% 307,434 2.14
ST - Sensata Technologies Holdings plc Sell 100.00% 23,137 0.03
Q1 2022
IP - International Paper Company Reduce 0.57% 8,932 0.01
BAC - Bank of America Corp. Reduce 2.71% 65,065 0.08
PCAR - PACCAR Inc. Reduce 5.08% 66,919 0.16
WFC - Wells Fargo Reduce 11.02% 325,555 0.43
VZ - Verizon Communications Reduce 13.55% 194,910 0.28
PFE - Pfizer Inc. Reduce 15.08% 348,776 0.57
VST - Vistra Corp. Reduce 15.32% 1,090,681 0.69
OGN - Organon & Co. Reduce 16.69% 636,493 0.54
BRK.B - Berkshire Hathaway CL B Reduce 16.78% 52,765 0.44
MRK - Merck & Co. Reduce 19.77% 322,922 0.69
CTRA - Coterra Energy Inc. Reduce 21.18% 848,043 0.45
ELV - Elevance Health Inc. Reduce 27.19% 59,404 0.76
BKR - Baker Hughes Co. Reduce 32.49% 1,099,995 0.73
CAG - Conagra Brands Inc. Reduce 33.69% 1,096,715 1.04
Y - Alleghany Corporation Reduce 45.85% 89,885 1.66
CI - Cigna Group Reduce 53.07% 347,617 2.22
ST - Sensata Technologies Holdings plc Reduce 98.64% 1,679,331 2.88
MGA - Magna International Inc. Sell 100.00% 1,365,824 3.07
HSIC - Henry Schein Inc. Sell 100.00% 1,301,783 2.80
RNR - RenaissanceRe Holdings Ltd. Sell 100.00% 578,595 2.72
EOG - EOG Resources Sell 100.00% 864,704 2.13
WAB - WABTEC Corp. Sell 100.00% 777,031 1.99
FISV - Fiserv Inc. Sell 100.00% 10,755 0.03
Q4 2021
HSIC - Henry Schein Inc. Reduce 0.27% 3,569 0.01
EOG - EOG Resources Reduce 0.36% 3,092 0.01
BKR - Baker Hughes Co. Reduce 0.45% 15,388 0.01
MS - Morgan Stanley Reduce 0.58% 6,457 0.02
WFC - Wells Fargo Reduce 1.92% 57,782 0.08
NXPI - NXP Semiconductors NV Reduce 2.15% 11,845 0.07
MRK - Merck & Co. Reduce 2.29% 38,280 0.08
COF - Capital One Financial Reduce 3.04% 20,623 0.09
CTRA - Coterra Energy Inc. Reduce 3.08% 127,429 0.08
BRK.B - Berkshire Hathaway CL B Reduce 3.26% 10,602 0.08
ORCL - Oracle Corp. Reduce 3.43% 43,712 0.11
VST - Vistra Corp. Reduce 4.15% 308,449 0.15
SIVBQ - SVB Financial Group Reduce 4.35% 5,478 0.10
RNR - RenaissanceRe Holdings Ltd. Reduce 5.32% 32,541 0.13
ELV - Elevance Health Inc. Reduce 9.85% 23,876 0.25
WAB - WABTEC Corp. Reduce 13.25% 118,711 0.29
VZ - Verizon Communications Reduce 16.65% 287,361 0.44
GOOGL - Alphabet Inc. Reduce 17.52% 5,482 0.41
BAC - Bank of America Corp. Reduce 21.09% 642,543 0.77
LEN - Lennar Corp. Reduce 31.05% 290,796 0.77
FISV - Fiserv Inc. Reduce 98.90% 967,744 2.97
CMCSA - Comcast Corp. Sell 100.00% 1,651,691 2.61
Q3 2021
SIVBQ - SVB Financial Group Reduce 0.37% 467 0.01
Y - Alleghany Corporation Reduce 0.37% 682 0.01
IP - International Paper Company Reduce 0.39% 4,610 0.01
MGA - Magna International Inc. Reduce 0.41% 4,624 0.01
CMCSA - Comcast Corp. Reduce 0.42% 7,033 0.01
WAB - WABTEC Corp. Reduce 0.42% 3,764 0.01
ST - Sensata Technologies Holdings plc Reduce 0.43% 6,965 0.01
RNR - RenaissanceRe Holdings Ltd. Reduce 0.44% 2,676 0.01
BRK.B - Berkshire Hathaway CL B Reduce 0.45% 1,465 0.01
FLEX - Flex Ltd. Reduce 0.47% 39,559 0.02
CAG - Conagra Brands Inc. Reduce 0.48% 12,823 0.01
XRAY - DENTSPLY SIRONA Inc. Reduce 0.50% 8,191 0.01
COF - Capital One Financial Reduce 0.56% 3,805 0.02
EOG - EOG Resources Reduce 0.56% 4,910 0.01
HSIC - Henry Schein Inc. Reduce 0.59% 7,722 0.02
FISV - Fiserv Inc. Reduce 0.71% 7,023 0.02
NXPI - NXP Semiconductors NV Reduce 2.74% 15,528 0.09
GOOGL - Alphabet Inc. Reduce 2.98% 962 0.07
ELAN - Elanco Animal Health Inc. Reduce 3.19% 73,789 0.07
MS - Morgan Stanley Reduce 10.28% 127,582 0.32
PFE - Pfizer Inc. Reduce 27.18% 706,577 0.77
CB - Chubb Limited Sell 100.00% 465,276 2.06
ETN - Eaton Corp. Sell 100.00% 476,461 1.96
BX - Blackstone Group Sell 100.00% 721,553 1.95
UNH - United Health Group Inc. Sell 100.00% 168,049 1.87
Q2 2021
VNT - Vontier Corp. Reduce 0.32% 7,154 0.01
CMCSA - Comcast Corp. Reduce 0.44% 7,304 0.01
SIVBQ - SVB Financial Group Reduce 0.61% 782 0.01
CTRA - Coterra Energy Inc. Reduce 0.67% 27,029 0.01
GOOGL - Alphabet Inc. Reduce 0.70% 228 0.01
VZ - Verizon Communications Reduce 0.70% 9,028 0.02
Y - Alleghany Corporation Reduce 0.70% 1,281 0.02
CB - Chubb Limited Reduce 0.75% 3,538 0.02
UNH - United Health Group Inc. Reduce 0.76% 1,283 0.01
ELAN - Elanco Animal Health Inc. Reduce 0.80% 18,576 0.02
MRK - Merck & Co. Reduce 0.93% 11,734 0.03
ST - Sensata Technologies Holdings plc Reduce 0.97% 15,866 0.03
MGA - Magna International Inc. Reduce 1.98% 22,542 0.06
ELV - Elevance Health Inc. Reduce 2.74% 6,095 0.06
HSIC - Henry Schein Inc. Reduce 3.18% 43,076 0.09
ETN - Eaton Corp. Reduce 3.27% 16,123 0.07
WAB - WABTEC Corp. Reduce 4.38% 41,238 0.10
MS - Morgan Stanley Reduce 4.65% 60,511 0.14
CI - Cigna Group Reduce 6.98% 37,850 0.27
LEN - Lennar Corp. Reduce 8.08% 62,343 0.18
COF - Capital One Financial Reduce 24.36% 219,881 0.82
IP - International Paper Company Reduce 24.61% 385,236 0.61
BX - Blackstone Group Reduce 28.20% 283,359 0.62
BAC - Bank of America Corp. Reduce 30.13% 1,004,231 1.14
EOG - EOG Resources Reduce 31.66% 404,306 0.86
ORCL - Oracle Corp. Reduce 34.83% 632,783 1.30
BRK.B - Berkshire Hathaway CL B Reduce 36.08% 184,274 1.37
WHR - Whirlpool Corp. Sell 100.00% 330,665 2.13
C - Citigroup Inc. Sell 100.00% 980,935 2.08
BKNG - Booking Holdings Inc. Sell 100.00% 738,800 2.01
Q1 2021
Y - Alleghany Corporation Reduce 2.44% 4,584 0.08
PFE - Pfizer Inc. Reduce 2.88% 64,682 0.07
CTRA - Coterra Energy Inc. Reduce 6.19% 267,687 0.13
UNH - United Health Group Inc. Reduce 6.38% 11,542 0.12
MRK - Merck & Co. Reduce 6.68% 90,153 0.22
ORCL - Oracle Corp. Reduce 6.72% 130,849 0.25
WAB - WABTEC Corp. Reduce 6.78% 68,393 0.15
ELAN - Elanco Animal Health Inc. Reduce 6.82% 170,318 0.16
GOOGL - Alphabet Inc. Reduce 6.90% 2,406 0.13
ETN - Eaton Corp. Reduce 7.59% 40,449 0.14
CI - Cigna Group Reduce 8.68% 51,583 0.32
XRAY - DENTSPLY SIRONA Inc. Reduce 9.51% 144,232 0.22
IP - International Paper Company Reduce 10.07% 175,269 0.26
BX - Blackstone Group Reduce 10.52% 118,084 0.23
NXPI - NXP Semiconductors NV Reduce 10.79% 46,790 0.22
ST - Sensata Technologies Holdings plc Reduce 12.10% 225,161 0.35
EOG - EOG Resources Reduce 15.41% 232,703 0.35
MGA - Magna International Inc. Reduce 17.79% 246,904 0.52
CMCSA - Comcast Corp. Reduce 19.91% 414,245 0.65
LEN - Lennar Corp. Reduce 23.81% 241,060 0.55
BKNG - Booking Holdings Inc. Reduce 26.97% 272,800 0.72
BAC - Bank of America Corp. Reduce 30.13% 1,437,593 1.30
SIVBQ - SVB Financial Group Reduce 30.92% 56,935 0.66
MS - Morgan Stanley Reduce 31.56% 599,990 1.22
COF - Capital One Financial Reduce 33.47% 454,085 1.34
C - Citigroup Inc. Reduce 51.31% 1,033,850 1.90
D7A - Aptiv PLC Sell 100.00% 579,664 2.25
AMAT - Applied Materials Sell 100.00% 806,715 2.07
WMT - Walmart Inc. Sell 100.00% 427,851 1.83
Q4 2020
IP - International Paper Company Reduce 0.07% 1,134 0.00
CI - Cigna Group Reduce 9.15% 59,799 0.32
C - Citigroup Inc. Reduce 9.24% 205,099 0.28
COF - Capital One Financial Reduce 9.25% 138,338 0.31
WAB - WABTEC Corp. Reduce 11.24% 127,830 0.25
XRAY - DENTSPLY SIRONA Inc. Reduce 11.48% 196,795 0.27
ST - Sensata Technologies Holdings plc Reduce 12.24% 259,529 0.35
EOG - EOG Resources Reduce 12.34% 212,443 0.24
CMCSA - Comcast Corp. Reduce 13.24% 317,498 0.46
MGA - Magna International Inc. Reduce 13.29% 212,664 0.30
BRK.B - Berkshire Hathaway CL B Reduce 13.38% 58,691 0.39
WMT - Walmart Inc. Reduce 14.67% 73,551 0.32
BKNG - Booking Holdings Inc. Reduce 14.77% 175,325 0.38
MS - Morgan Stanley Reduce 14.96% 334,480 0.51
GOOGL - Alphabet Inc. Reduce 15.50% 6,396 0.29
ELAN - Elanco Animal Health Inc. Reduce 15.91% 472,871 0.41
ORCL - Oracle Corp. Reduce 16.00% 370,907 0.69
WHR - Whirlpool Corp. Reduce 16.46% 62,220 0.36
PFE - Pfizer Inc. Reduce 16.57% 446,211 0.51
UNH - United Health Group Inc. Reduce 23.30% 54,959 0.54
D7A - Aptiv PLC Reduce 26.52% 209,214 0.60
BX - Blackstone Group Reduce 28.40% 445,405 0.73
NXPI - NXP Semiconductors NV Reduce 36.44% 248,688 0.97
ETN - Eaton Corp. Reduce 36.62% 308,018 0.98
AMAT - Applied Materials Reduce 43.62% 624,249 1.16
CB - Chubb Limited Reduce 43.73% 355,919 1.29
SIVBQ - SVB Financial Group Reduce 45.03% 150,849 1.13
TMO - Thermo Fisher Scientific Sell 100.00% 160,052 2.21
LRCX - Lam Research Sell 100.00% 180,179 1.87
VZ - Verizon Communications Sell 100.00% 16,200 0.03
ADI - Analog Devices Sell 100.00% 4,600 0.02
Q3 2020
ST - Sensata Technologies Holdings plc Reduce 5.82% 130,994 0.15
Y - Alleghany Corporation Reduce 8.22% 16,286 0.25
PRGO - Perrigo Company plc Reduce 8.34% 199,161 0.34
CTRA - Coterra Energy Inc. Reduce 8.39% 361,800 0.19
WAB - WABTEC Corp. Reduce 8.40% 104,210 0.18
D7A - Aptiv PLC Reduce 8.54% 73,671 0.18
MS - Morgan Stanley Reduce 8.79% 215,519 0.32
COF - Capital One Financial Reduce 10.21% 169,941 0.33
BAC - Bank of America Corp. Reduce 10.36% 529,900 0.39
C - Citigroup Inc. Reduce 10.93% 272,500 0.43
ETN - Eaton Corp. Reduce 11.87% 113,333 0.31
WMT - Walmart Inc. Reduce 12.20% 69,641 0.26
GOOGL - Alphabet Inc. Reduce 12.21% 5,738 0.25
ORCL - Oracle Corp. Reduce 12.47% 330,424 0.56
TMO - Thermo Fisher Scientific Reduce 15.05% 28,357 0.32
PFE - Pfizer Inc. Reduce 22.55% 784,172 0.79
UNH - United Health Group Inc. Reduce 23.56% 72,697 0.66
HSIC - Henry Schein Inc. Reduce 23.57% 338,787 0.61
CMCSA - Comcast Corp. Reduce 25.07% 802,208 0.96
ELAN - Elanco Animal Health Inc. Reduce 27.98% 1,154,646 0.76
MRK - Merck & Co. Reduce 29.60% 441,055 1.05
SIVBQ - SVB Financial Group Reduce 33.92% 171,973 1.14
BRK.B - Berkshire Hathaway CL B Reduce 34.18% 227,744 1.25
LEN - Lennar Corp. Reduce 35.64% 510,881 0.97
LRCX - Lam Research Reduce 37.92% 110,038 1.10
WHR - Whirlpool Corp. Reduce 45.87% 320,413 1.28
VZ - Verizon Communications Reduce 98.73% 1,261,927 2.14
MDLZ - Mondelez International Sell 100.00% 1,606,857 2.53
AON - Aon Plc Sell 100.00% 1,150 0.01
MSFT - Microsoft Corp. Sell 100.00% 1,450 0.01
Q2 2020
D7A - Aptiv PLC Reduce 1.10% 9,636 0.02
AMAT - Applied Materials Reduce 1.37% 17,401 0.03
PRGO - Perrigo Company plc Reduce 3.73% 92,551 0.16
CMCSA - Comcast Corp. Reduce 5.30% 179,170 0.21
VZ - Verizon Communications Reduce 7.98% 110,823 0.21
BRK.B - Berkshire Hathaway CL B Reduce 9.48% 69,804 0.44
NXPI - NXP Semiconductors NV Reduce 10.72% 75,521 0.22
MRK - Merck & Co. Reduce 11.01% 184,286 0.49
UNH - United Health Group Inc. Reduce 13.26% 47,153 0.41
SIVBQ - SVB Financial Group Reduce 13.67% 80,283 0.42
MDLZ - Mondelez International Reduce 20.83% 422,757 0.74
MS - Morgan Stanley Reduce 27.25% 918,235 1.09
WMT - Walmart Inc. Reduce 29.11% 234,504 0.93
ST - Sensata Technologies Holdings plc Reduce 32.36% 1,077,008 1.08
GOOGL - Alphabet Inc. Reduce 35.45% 25,823 1.05
TMO - Thermo Fisher Scientific Reduce 40.55% 128,524 1.27
LEN - Lennar Corp. Reduce 43.05% 1,083,544 1.44
AON - Aon Plc Reduce 99.69% 368,744 2.12
MSFT - Microsoft Corp. Reduce 99.71% 505,566 2.78
CVX - Chevron Corp. Sell 100.00% 1,158,755 2.92
CSCO - Cisco Systems Sell 100.00% 1,906,144 2.61
ADI - Analog Devices Sell 100.00% 664,102 2.07
TTEN - Total S.A. - Adr Sell 100.00% 1,580,463 2.05
WFC - Wells Fargo Sell 100.00% 1,526,032 1.53
BP - BP plc Sell 100.00% 23,100 0.02
PKG - Packaging Corp. of America Sell 100.00% 5,400 0.02
Q1 2020
MS - Morgan Stanley Reduce 3.02% 104,986 0.13
GOOGL - Alphabet Inc. Reduce 3.28% 2,469 0.08
BAC - Bank of America Corp. Reduce 5.36% 194,006 0.16
BRK.B - Berkshire Hathaway CL B Reduce 6.45% 50,722 0.27
PRGO - Perrigo Company plc Reduce 9.06% 247,301 0.30
AON - Aon Plc Reduce 10.69% 44,264 0.21
TMO - Thermo Fisher Scientific Reduce 11.64% 41,748 0.32
MSFT - Microsoft Corp. Reduce 16.42% 99,583 0.37
BP - BP plc Reduce 17.94% 5,050 0.00
C - Citigroup Inc. Reduce 21.81% 457,225 0.85
UNH - United Health Group Inc. Reduce 25.76% 123,426 0.85
NXPI - NXP Semiconductors NV Reduce 31.30% 321,053 0.95
AMAT - Applied Materials Reduce 31.64% 587,647 0.84
COF - Capital One Financial Reduce 35.11% 650,647 1.56
TTEN - Total S.A. - Adr Reduce 38.58% 992,594 1.28
ETN - Eaton Corp. Reduce 41.18% 555,587 1.23
DAL - Delta Air Lines Inc. Sell 100.00% 2,448,661 3.34
SABR - Sabre Corp. Sell 100.00% 6,252,296 3.28
AIG - American International Group Sell 100.00% 2,708,096 3.25
GM - General Motors Sell 100.00% 3,599,921 3.08
JBLU - JetBlue Airways Corp. Sell 100.00% 5,439,457 2.38
PARA - ViacomCBS Inc. Sell 100.00% 2,397,548 2.35
MRSH - Marsh Sell 100.00% 830,907 2.16
EQT - EQT Corp. Sell 100.00% 7,368,074 1.88
CB - Chubb Limited Sell 100.00% 510,215 1.85
Q4 2019
GM - General Motors Reduce 1.85% 67,926 0.05
TTEN - Total S.A. - Adr Reduce 5.93% 162,228 0.18
MRK - Merck & Co. Reduce 6.66% 111,857 0.20
CB - Chubb Limited Reduce 14.97% 89,825 0.31
AIG - American International Group Reduce 15.02% 478,606 0.57
EQT - EQT Corp. Reduce 15.43% 1,344,063 0.31
ST - Sensata Technologies Holdings plc Reduce 15.50% 459,322 0.49
SABR - Sabre Corp. Reduce 15.55% 1,151,057 0.55
BAC - Bank of America Corp. Reduce 17.22% 753,453 0.47
MS - Morgan Stanley Reduce 17.24% 723,670 0.66
MDLZ - Mondelez International Reduce 17.82% 329,711 0.39
WMT - Walmart Inc. Reduce 18.24% 160,687 0.41
C - Citigroup Inc. Reduce 18.60% 479,021 0.71
MSFT - Microsoft Corp. Reduce 18.78% 140,289 0.42
DAL - Delta Air Lines Inc. Reduce 18.79% 566,652 0.70
UNH - United Health Group Inc. Reduce 19.13% 113,355 0.53
JBLU - JetBlue Airways Corp. Reduce 19.61% 1,326,857 0.48
TMO - Thermo Fisher Scientific Reduce 20.12% 90,338 0.56
MRSH - Marsh Reduce 20.38% 212,697 0.46
COF - Capital One Financial Reduce 20.40% 474,928 0.93
GOOGL - Alphabet Inc. Reduce 20.57% 19,503 0.51
ETN - Eaton Corp. Reduce 20.58% 349,633 0.62
BRK.B - Berkshire Hathaway CL B Reduce 21.42% 214,448 0.96
CMCSA - Comcast Corp. Reduce 31.47% 1,228,398 1.19
NXPI - NXP Semiconductors NV Reduce 32.16% 486,190 1.14
AON - Aon Plc Reduce 32.49% 199,354 0.83
LEN - Lennar Corp. Reduce 35.59% 1,126,691 1.35
AMAT - Applied Materials Reduce 48.33% 1,737,107 1.86
ALXN - Alexion Pharmaceuticals, Inc. Sell 100.00% 1,348,591 2.83
NVT - nVent Electric plc Sell 100.00% 4,486,319 2.12
MHK - Mohawk Industries Sell 100.00% 641,036 1.71
Q3 2019
MRK - Merck & Co. Reduce 1.95% 33,466 0.06
JBLU - JetBlue Airways Corp. Reduce 2.03% 140,021 0.05
GOOGL - Alphabet Inc. Reduce 2.11% 2,039 0.04
BRK.B - Berkshire Hathaway CL B Reduce 2.24% 22,987 0.10
CMCSA - Comcast Corp. Reduce 2.47% 99,000 0.08
NVT - nVent Electric plc Reduce 2.55% 117,532 0.06
ALXN - Alexion Pharmaceuticals, Inc. Reduce 2.57% 35,633 0.09
DAL - Delta Air Lines Inc. Reduce 2.66% 82,260 0.09
NXPI - NXP Semiconductors NV Reduce 2.83% 44,000 0.09
ELAN - Elanco Animal Health Inc. Reduce 2.99% 107,294 0.07
ETN - Eaton Corp. Reduce 4.24% 75,143 0.13
AMAT - Applied Materials Reduce 4.34% 162,933 0.15
MSFT - Microsoft Corp. Reduce 5.15% 40,556 0.11
TTEN - Total S.A. - Adr Reduce 5.44% 157,296 0.18
SABR - Sabre Corp. Reduce 6.52% 515,958 0.23
MRSH - Marsh Reduce 8.84% 101,156 0.20
MHK - Mohawk Industries Reduce 9.23% 65,169 0.19
MDLZ - Mondelez International Reduce 10.99% 228,483 0.25
WMT - Walmart Inc. Reduce 15.34% 159,633 0.35
CB - Chubb Limited Reduce 18.87% 139,559 0.41
BAC - Bank of America Corp. Reduce 19.45% 1,056,550 0.62
C - Citigroup Inc. Reduce 24.28% 825,750 1.17
AIG - American International Group Reduce 25.90% 1,113,794 1.19
AGN - Allergan plc Sell 100.00% 927,794 3.13
PFE - Pfizer Inc. Sell 100.00% 3,165,742 2.76
ETRN - Equitrans Midstream Corporation Sell 100.00% 6,122,989 2.43
EXC - Exelon Corporation Sell 100.00% 1,293,045 1.25
Q2 2019
ELAN - Elanco Animal Health Inc. Reduce 0.58% 20,834 0.01
EQT - EQT Corp. Reduce 0.58% 33,789 0.01
BRK.B - Berkshire Hathaway CL B Reduce 3.40% 36,101 0.14
AIG - American International Group Reduce 3.73% 166,716 0.14
PFE - Pfizer Inc. Reduce 3.76% 123,849 0.10
ETN - Eaton Corp. Reduce 4.71% 87,726 0.14
COF - Capital One Financial Reduce 5.20% 120,072 0.20
DAL - Delta Air Lines Inc. Reduce 5.20% 169,904 0.17
C - Citigroup Inc. Reduce 5.58% 200,853 0.25
AGN - Allergan plc Reduce 6.60% 65,525 0.19
GOOGL - Alphabet Inc. Reduce 7.03% 7,320 0.17
WMT - Walmart Inc. Reduce 7.16% 80,297 0.16
CMCSA - Comcast Corp. Reduce 7.30% 315,285 0.25
AON - Aon Plc Reduce 19.81% 131,123 0.45
CB - Chubb Limited Reduce 21.84% 206,696 0.58
MRSH - Marsh Reduce 23.22% 346,270 0.65
TMO - Thermo Fisher Scientific Reduce 23.60% 121,453 0.66
MRK - Merck & Co. Reduce 27.14% 637,867 1.06
MDLZ - Mondelez International Reduce 27.68% 795,276 0.79
BAC - Bank of America Corp. Reduce 32.37% 2,600,170 1.43
MSFT - Microsoft Corp. Reduce 36.37% 450,188 1.06
EXC - Exelon Corporation Reduce 47.12% 1,152,227 1.15
FDC - First Data Corporation Sell 100.00% 5,492,857 2.87
GT - The Goodyear Tire & Rubber Co. Sell 100.00% 6,578,014 2.38
SLB - Schlumberger Ltd. Sell 100.00% 1,588,047 1.38
AR - Antero Resources Sell 100.00% 6,845,685 1.20
Q1 2019
PFE - Pfizer Inc. Reduce 0.20% 6,617 0.01
TMO - Thermo Fisher Scientific Reduce 1.14% 5,938 0.03
AGN - Allergan plc Reduce 2.12% 21,494 0.06
MSFT - Microsoft Corp. Reduce 2.27% 28,772 0.06
LEN - Lennar Corp. Reduce 2.68% 71,989 0.06
AMAT - Applied Materials Reduce 2.70% 101,286 0.07
CMCSA - Comcast Corp. Reduce 2.71% 120,275 0.09
NVT - nVent Electric plc Reduce 3.59% 166,486 0.08
ETN - Eaton Corp. Reduce 3.81% 73,727 0.11
SABR - Sabre Corp. Reduce 4.11% 327,419 0.15
GOOGL - Alphabet Inc. Reduce 4.26% 4,639 0.10
SLB - Schlumberger Ltd. Reduce 5.48% 92,077 0.07
ETRN - Equitrans Midstream Corporation Reduce 9.30% 477,569 0.20
MRSH - Marsh Reduce 15.01% 263,279 0.44
EXC - Exelon Corporation Reduce 16.37% 478,668 0.46
MDLZ - Mondelez International Reduce 18.48% 651,605 0.55
AR - Antero Resources Reduce 19.05% 1,610,543 0.32
CB - Chubb Limited Reduce 19.27% 225,895 0.62
MRK - Merck & Co. Reduce 29.30% 973,898 1.57
AON - Aon Plc Reduce 30.31% 287,907 0.89
WMT - Walmart Inc. Reduce 33.68% 569,221 1.12
FDC - First Data Corporation Reduce 43.75% 4,273,040 1.53
FLR - Fluor Corp. Sell 100.00% 3,153,230 2.15
VOD - Vodafone Group Plc ADR Sell 100.00% 4,721,066 1.92
Q4 2018
SABR - Sabre Corp. Reduce 1.22% 98,247 0.05
EXC - Exelon Corporation Reduce 1.31% 38,791 0.03
AON - Aon Plc Reduce 2.00% 19,426 0.05
BAC - Bank of America Corp. Reduce 2.57% 186,984 0.10
MRSH - Marsh Reduce 3.26% 59,206 0.09
NVT - nVent Electric plc Reduce 7.05% 351,592 0.17
AIG - American International Group Reduce 7.66% 324,111 0.30
C - Citigroup Inc. Reduce 8.40% 294,246 0.37
MRK - Merck & Co. Reduce 9.49% 348,712 0.44
GT - The Goodyear Tire & Rubber Co. Reduce 11.62% 826,672 0.34
ALXN - Alexion Pharmaceuticals, Inc. Reduce 12.83% 153,257 0.37
GOOGL - Alphabet Inc. Reduce 14.30% 18,160 0.39
CB - Chubb Limited Reduce 14.92% 205,593 0.48
WMT - Walmart Inc. Reduce 15.13% 301,241 0.50
TTEN - Total S.A. - Adr Reduce 15.42% 452,792 0.51
MSFT - Microsoft Corp. Reduce 16.33% 247,208 0.50
VOD - Vodafone Group Plc ADR Reduce 22.25% 1,350,759 0.52
TMO - Thermo Fisher Scientific Reduce 22.83% 154,044 0.66
PFE - Pfizer Inc. Reduce 38.29% 2,045,649 1.59
BP - BP plc Reduce 70.22% 14,150 0.01
IP - International Paper Company Sell 100.00% 3,550,651 3.07
PNR - Pentair plc Sell 100.00% 3,095,282 2.36
MET - MetLife Inc. Sell 100.00% 1,998,339 1.64
VISN - CommScope Holding Company, Inc. Sell 100.00% 1,782,877 0.97
FLEX - Flex Ltd. Sell 100.00% 1,366,050 0.32
Q3 2018
DAL - Delta Air Lines Inc. Reduce 1.07% 30,734 0.03
BRK.B - Berkshire Hathaway CL B Reduce 2.74% 27,994 0.09
IP - International Paper Company Reduce 3.11% 114,054 0.10
PFE - Pfizer Inc. Reduce 3.69% 204,653 0.13
TMO - Thermo Fisher Scientific Reduce 4.04% 28,378 0.10
BAC - Bank of America Corp. Reduce 4.42% 336,395 0.16
C - Citigroup Inc. Reduce 4.51% 165,238 0.19
MSFT - Microsoft Corp. Reduce 4.55% 72,166 0.12
COF - Capital One Financial Reduce 4.85% 104,408 0.17
CB - Chubb Limited Reduce 5.94% 87,000 0.19
GOOGL - Alphabet Inc. Reduce 13.66% 20,083 0.39
AON - Aon Plc Reduce 16.82% 196,014 0.47
MRK - Merck & Co. Reduce 19.22% 873,874 0.92
FLR - Fluor Corp. Reduce 21.44% 612,729 0.52
FDC - First Data Corporation Reduce 22.28% 2,596,984 0.94
EXC - Exelon Corporation Reduce 24.26% 948,982 0.70
AR - Antero Resources Reduce 25.70% 2,683,195 1.00
MET - MetLife Inc. Reduce 45.14% 1,644,343 1.25
BP - BP plc Reduce 51.17% 21,112 0.02
FLEX - Flex Ltd. Reduce 87.23% 9,330,731 2.29
FCX - Freeport-McMoran Inc. Sell 100.00% 8,504,488 2.55
ORCL - Oracle Corp. Sell 100.00% 2,890,170 2.21
Q2 2018
FLR - Fluor Corp. Reduce 0.97% 27,993 0.03
IP - International Paper Company Reduce 3.25% 123,145 0.11
MRK - Merck & Co. Reduce 3.26% 153,282 0.14
MRSH - Marsh Reduce 3.30% 54,907 0.08
MET - MetLife Inc. Reduce 3.35% 126,417 0.10
SABR - Sabre Corp. Reduce 3.36% 278,909 0.10
VOD - Vodafone Group Plc ADR Reduce 3.38% 177,058 0.08
BAC - Bank of America Corp. Reduce 3.40% 267,824 0.13
AIG - American International Group Reduce 3.48% 125,504 0.11
PFE - Pfizer Inc. Reduce 3.49% 200,596 0.12
COF - Capital One Financial Reduce 3.53% 78,747 0.13
AON - Aon Plc Reduce 3.66% 44,321 0.10
TMO - Thermo Fisher Scientific Reduce 5.70% 42,464 0.15
FDC - First Data Corporation Reduce 5.88% 727,818 0.19
AR - Antero Resources Reduce 10.17% 1,181,425 0.39
DAL - Delta Air Lines Inc. Reduce 12.61% 414,417 0.38
TTEN - Total S.A. - Adr Reduce 15.13% 518,761 0.50
MSFT - Microsoft Corp. Reduce 16.34% 309,612 0.47
ORCL - Oracle Corp. Reduce 24.65% 945,404 0.72
BP - BP plc Reduce 99.09% 4,483,142 3.03
KEYS - Keysight Technologies Inc. Sell 100.00% 3,179,764 2.78
INTC - Intel Corp. Sell 100.00% 2,931,959 2.55
MU - Micron Technology Inc. Sell 100.00% 2,535,950 2.21
Q1 2018
FDC - First Data Corporation Reduce 0.65% 80,509 0.02
GOOGL - Alphabet Inc. Reduce 0.75% 1,099 0.02
GT - The Goodyear Tire and Rubber Co Reduce 0.76% 38,710 0.02
C - Citigroup Inc. Reduce 0.86% 30,817 0.04
ORCL - Oracle Corp. Reduce 1.19% 46,155 0.03
PFE - Pfizer Inc. Reduce 1.64% 95,907 0.05
DAL - Delta Air Lines Inc. Reduce 1.97% 65,954 0.06
MSFT - Microsoft Corp. Reduce 5.11% 102,115 0.14
IP - International Paper Company Reduce 5.31% 212,384 0.19
COF - Capital One Financial Reduce 6.70% 160,023 0.25
VOD - Vodafone Group Plc ADR Reduce 9.95% 578,162 0.29
TTEN - Total S.A. - Adr Reduce 10.21% 389,794 0.34
PNR - Pentair plc Reduce 11.17% 281,506 0.31
FLEX - Flex Ltd. Reduce 11.21% 1,257,356 0.35
AMAT - Applied Materials Reduce 15.38% 467,678 0.37
WMT - Walmart Inc. Reduce 16.22% 309,657 0.48
MU - Micron Technology Inc. Reduce 17.64% 543,298 0.35
KEYS - Keysight Technologies Inc. Reduce 18.51% 722,062 0.47
INTC - Intel Corp. Reduce 20.79% 769,454 0.56
FLR - Fluor Corp. Reduce 21.31% 781,283 0.63
BAC - Bank of America Corp. Reduce 21.52% 2,159,508 1.00
TMO - Thermo Fisher Scientific Reduce 23.69% 231,407 0.69
OXY - Occidental Petroleum Sell 100.00% 2,961,443 3.42
M7Q6 - Micro Focus International Sell 100.00% 3,947,161 2.08
Q4 2017
C - Citigroup Inc. Reduce 0.76% 27,494 0.03
BAC - Bank of America Corp. Reduce 0.85% 85,838 0.04
AON - Aon Plc Reduce 0.95% 10,552 0.03
BRK.B - Berkshire Hathaway CL B Reduce 2.07% 20,663 0.06
AMAT - Applied Materials Reduce 2.10% 65,074 0.06
BP - BP plc Reduce 3.34% 132,808 0.09
OXY - Occidental Petroleum Reduce 4.69% 145,684 0.16
TMO - Thermo Fisher Scientific Reduce 9.75% 105,505 0.33
KEYS - Keysight Technologies Inc. Reduce 10.26% 445,891 0.31
MSFT - Microsoft Corp. Reduce 10.36% 230,935 0.29
EXC - Exelon Corporation Reduce 12.79% 484,286 0.31
WMT - Walmart Inc. Reduce 14.68% 328,561 0.43
ADI - Analog Devices Sell 100.00% 1,991,215 2.87
AGN - Allergan plc Sell 100.00% 781,069 2.68
HPE - Hewlett Packard Enterprise Sell 100.00% 9,528,965 2.34
6683 - General Electric Company Sell 100.00% 5,269,540 2.13
CMCSA - Comcast Corp. Sell 100.00% 3,272,421 2.11
IVZ - Invesco Ltd Sell 100.00% 2,655,103 1.56
Q3 2017
EXC - Exelon Corporation Reduce 0.16% 6,036 0.00
HPE - Hewlett Packard Enterprise Reduce 1.07% 103,216 0.03
AGN - Allergan plc Reduce 1.55% 12,302 0.05
PNR - Pentair plc Reduce 1.71% 39,331 0.04
TMO - Thermo Fisher Scientific Reduce 1.73% 19,079 0.06
WMT - Walmart Inc. Reduce 1.74% 39,690 0.05
FDC - First Data Corporation Reduce 1.75% 219,046 0.07
AON - Aon Plc Reduce 1.76% 19,871 0.04
KEYS - Keysight Technologies Inc. Reduce 1.79% 79,264 0.05
BP - BP plc Reduce 1.81% 73,491 0.04
VOD - Vodafone Group Plc ADR Reduce 1.82% 96,807 0.05
GOOGL - Alphabet Inc. Reduce 1.83% 2,690 0.04
TTEN - Total S.A. - Adr Reduce 1.85% 71,759 0.06
BRK.B - Berkshire Hathaway CL B Reduce 4.46% 46,506 0.13
AMAT - Applied Materials Reduce 8.23% 278,526 0.19
OXY - Occidental Petroleum Reduce 8.35% 283,127 0.28
MRSH - Marsh Reduce 10.20% 174,656 0.23
COF - Capital One Financial Reduce 14.39% 396,868 0.55
ADI - Analog Devices Reduce 16.35% 389,110 0.51
CMCSA - Comcast Corp. Reduce 16.43% 643,173 0.42
6683 - General Electric Company Reduce 18.16% 1,168,904 0.53
MSFT - Microsoft Corp. Reduce 19.52% 540,358 0.62
IVZ - Invesco Ltd Reduce 39.80% 1,755,500 1.03
WBA - Walgreens Boots Alliance, Inc. Sell 100.00% 2,278,874 2.98
CPN - Calpine Corporation Sell 100.00% 5,963,314 1.35
LBTYK - Liberty Global Ltd CL C Sell 100.00% 42,350 0.02
Q2 2017
BRK.B - Berkshire Hathaway CL B Reduce 0.28% 2,967 0.01
IP - International Paper Company Reduce 0.28% 9,441 0.01
WMT - Walmart Inc. Reduce 0.30% 6,887 0.01
KEYS - Keysight Technologies Inc. Reduce 0.32% 14,013 0.01
EXC - Exelon Corporation Reduce 0.34% 12,880 0.01
BP - BP plc Reduce 0.38% 15,280 0.01
C - Citigroup Inc. Reduce 0.38% 12,977 0.01
FDC - First Data Corporation Reduce 0.38% 47,774 0.01
MRK - Merck & Co. Reduce 3.32% 107,769 0.12
MSFT - Microsoft Corp. Reduce 6.22% 183,734 0.21
CMCSA - Comcast Corp. Reduce 6.81% 286,297 0.18
IVZ - Invesco Ltd Reduce 14.28% 734,480 0.38
AMAT - Applied Materials Reduce 14.89% 592,217 0.39
MRSH - Marsh Reduce 16.50% 338,593 0.43
AON - Aon Plc Reduce 16.63% 224,660 0.46
PFE - Pfizer Inc. Reduce 18.28% 1,063,671 0.62
VOD - Vodafone Group Plc ADR Reduce 19.71% 1,304,928 0.59
GOOGL - Alphabet Inc. Reduce 21.12% 39,438 0.57
ORCL - Oracle Corp. Reduce 25.53% 1,213,536 0.92
CPN - Calpine Corporation Reduce 45.97% 5,073,891 0.96
LBTYK - Liberty Global Ltd CL C Reduce 99.21% 5,301,645 3.17
GOOG - Alphabet Inc. CL C Sell 100.00% 450 0.01
Q1 2017
AGN - Allergan plc Reduce 0.85% 5,956 0.02
TMO - Thermo Fisher Scientific Reduce 1.06% 11,473 0.03
FDC - First Data Corporation Reduce 1.21% 153,749 0.04
ORCL - Oracle Corp. Reduce 1.27% 61,096 0.04
AON - Aon Plc Reduce 1.35% 18,523 0.04
BRK.B - Berkshire Hathaway CL B Reduce 1.84% 19,596 0.06
MRSH - Marsh Reduce 1.87% 39,010 0.05
MRK - Merck & Co. Reduce 2.03% 67,278 0.07
ADI - Analog Devices Reduce 2.08% 44,000 0.06
C - Citigroup Inc. Reduce 2.12% 74,930 0.08
LBTYK - Liberty Global Ltd CL C Reduce 3.05% 168,284 0.09
GOOGL - Alphabet Inc. Reduce 4.33% 8,458 0.12
BAC - Bank of America Corp. Reduce 15.96% 1,529,763 0.60
CPN - Calpine Corporation Reduce 19.01% 2,591,389 0.52
FLEX - Flex Ltd. Reduce 19.03% 2,057,776 0.52
AMAT - Applied Materials Reduce 20.19% 1,005,798 0.57
PRGO - Perrigo Company plc Sell 100.00% 2,014,296 2.96
TWX - Time Warner, Inc. Sell 100.00% 1,343,527 2.29
A - Agilent Technologies Sell 100.00% 2,722,153 2.19
Q4 2016
PFE - Pfizer Inc. Reduce 1.24% 62,933 0.04
ADI - Analog Devices Reduce 1.32% 28,246 0.03
BRK.B - Berkshire Hathaway CL B Reduce 1.36% 14,703 0.04
WBA - Walgreens Boots Alliance, Inc. Reduce 2.01% 40,655 0.06
6683 - General Electric Company Reduce 2.10% 128,980 0.07
MRK - Merck & Co. Reduce 2.13% 72,064 0.08
AMAT - Applied Materials Reduce 2.21% 112,724 0.06
FLEX - Flex Ltd. Reduce 2.23% 246,731 0.06
AON - Aon Plc Reduce 3.99% 56,985 0.12
IP - International Paper Company Reduce 5.44% 166,419 0.15
KEYS - Keysight Technologies Inc. Reduce 9.93% 473,444 0.28
C - Citigroup Inc. Reduce 12.03% 483,245 0.42
MSFT - Microsoft Corp. Reduce 13.51% 359,104 0.38
COF - Capital One Financial Reduce 16.66% 440,582 0.58
BAC - Bank of America Corp. Reduce 20.61% 2,488,780 0.72
TTEN - Total S.A. - Adr Reduce 21.76% 798,182 0.70
EXC - Exelon Corporation Reduce 23.88% 1,128,828 0.69
BP - BP plc Reduce 26.11% 1,330,759 0.86
TWX - Time Warner, Inc. Reduce 28.90% 546,053 0.80
CIT - CIT Group Inc Sell 100.00% 4,631,334 3.09
PG - Procter & Gamble Sell 100.00% 1,689,503 2.78
TXN - Texas Instruments Sell 100.00% 1,696,178 2.19
AER - AerCap Holdings N.V. Sell 100.00% 2,824,735 2.00
Q3 2016
MSFT - Microsoft Corp. Reduce 0.14% 3,761 0.00
BRK.B - Berkshire Hathaway CL B Reduce 0.22% 2,436 0.01
KEYS - Keysight Technologies Inc. Reduce 0.25% 11,754 0.01
CIT - CIT Group Inc Reduce 0.28% 13,069 0.01
FDC - First Data Corporation Reduce 0.29% 34,471 0.01
FLEX - Flex Ltd. Reduce 0.29% 31,844 0.01
ORCL - Oracle Corp. Reduce 0.30% 13,138 0.01
TTEN - Total S.A. - Adr Reduce 0.30% 10,869 0.01
TWX - Time Warner, Inc. Reduce 0.30% 5,755 0.01
AER - AerCap Holdings N.V. Reduce 0.31% 8,669 0.01
PG - Procter & Gamble Reduce 0.32% 5,474 0.01
MRK - Merck & Co. Reduce 0.34% 11,682 0.01
GOOGL - Alphabet Inc. Reduce 2.79% 5,262 0.07
CPN - Calpine Corporation Reduce 6.35% 630,360 0.17
CMCSA - Comcast Corp. Reduce 8.78% 219,215 0.27
A - Agilent Technologies Reduce 14.35% 415,617 0.35
ADI - Analog Devices Reduce 14.51% 363,615 0.39
AMAT - Applied Materials Reduce 15.01% 899,530 0.41
MRSH - Marsh Reduce 15.56% 312,667 0.40
HPE - Hewlett Packard Enterprise Reduce 15.89% 1,340,315 0.46
IP - International Paper Company Reduce 20.36% 782,467 0.63
IVZ - Invesco Ltd Reduce 21.09% 1,012,417 0.49
TMO - Thermo Fisher Scientific Reduce 54.86% 1,209,315 1.43
LOW - Lowe's Cos. Sell 100.00% 1,570,336 2.34
EQT - EQT Corp. Sell 100.00% 1,449,556 2.11
HOUS - Realogy Holdings Corporation Sell 100.00% 2,242,112 1.22
CFG - Citizens Financial Group Inc. Sell 100.00% 2,686,752 1.01
1LGE - Liberty LiLac Group plc Sell 100.00% 531,796 0.33
Q2 2016
GOOGL - Alphabet Inc. Reduce 0.12% 221 0.00
PG - Procter & Gamble Reduce 0.26% 4,420 0.01
BRK.B - Berkshire Hathaway CL B Reduce 0.32% 3,456 0.01
C - Citigroup Inc. Reduce 0.33% 11,566 0.01
AER - AerCap Holdings N.V. Reduce 0.40% 11,277 0.01
CMCSA - Comcast Corp. Reduce 0.40% 9,923 0.01
LOW - Lowe's Cos. Reduce 1.16% 18,405 0.03
IVZ - Invesco Ltd Reduce 1.46% 71,214 0.04
EXC - Exelon Corporation Reduce 3.84% 163,684 0.11
BP - BP plc Reduce 4.70% 207,330 0.12
IP - International Paper Corp. Reduce 5.32% 216,004 0.17
AON - Aon Plc Reduce 5.95% 80,872 0.16
COF - Capital One Financial Reduce 7.61% 186,353 0.24
ORCL - Oracle Corp. Reduce 7.63% 358,762 0.28
MRK - Merck & Co. Reduce 7.96% 294,077 0.29
ADI - Analog Devices Reduce 8.31% 227,325 0.25
TWX - Time Warner, Inc. Reduce 8.51% 176,311 0.24
KEYS - Keysight Technologies Inc. Reduce 12.58% 687,541 0.36
CIT - CIT Group Inc Reduce 12.85% 684,564 0.40
FLEX - Flex Ltd. Reduce 16.71% 2,225,158 0.50
AMAT - Applied Materials Reduce 17.47% 1,268,844 0.50
MRSH - Marsh Reduce 17.79% 434,767 0.50
MSFT - Microsoft Corp. Reduce 18.76% 614,485 0.64
A - Agilent Technologies Reduce 20.48% 745,824 0.56
EQT - EQT Corp. Reduce 31.41% 663,790 0.84
HOUS - Realogy Holdings Corporation Reduce 38.84% 1,423,766 0.96
CFG - Citizens Financial Group Inc. Reduce 58.54% 3,792,846 1.49
TXN - Texas Instruments Reduce 94.59% 2,415,089 2.60
Q1 2016
LOW - Lowe's Cos. Reduce 0.11% 1,719 0.00
MSFT - Microsoft Corp. Reduce 0.26% 8,613 0.01
HOUS - Realogy Holdings Corporation Reduce 0.28% 10,457 0.01
FLEX - Flex Ltd. Reduce 0.34% 45,860 0.01
TXN - Texas Instruments Reduce 0.39% 10,052 0.01
IP - International Paper Corp. Reduce 1.20% 49,327 0.03
ORCL - Oracle Corp. Reduce 1.97% 94,611 0.06
6683 - General Electric Company Reduce 6.76% 342,321 0.20
A - Agilent Technologies Reduce 9.16% 367,079 0.29
BP - BP plc Reduce 9.68% 473,012 0.28
PG - Procter & Gamble Reduce 11.40% 218,662 0.32
CMCSA - Comcast Corp. Reduce 12.82% 368,589 0.39
MRSH - Marsh Reduce 13.32% 375,370 0.39
AER - AerCap Holdings N.V. Reduce 13.95% 460,995 0.37
VOD - Vodafone Group Plc ADR Reduce 20.06% 934,478 0.56
EXC - Exelon Corporation Reduce 20.58% 1,103,701 0.57
AMAT - Applied Materials Reduce 22.94% 2,161,622 0.76
AON - Aon Plc Reduce 26.04% 478,392 0.83
TMO - Thermo Fisher Scientific Reduce 28.04% 384,381 1.02
EQT - EQT Corp. Reduce 29.73% 894,215 0.87
SNY - Sanofi Aventis Sell 100.00% 3,569,654 2.85
AIG - American International Group Sell 100.00% 2,428,892 2.82
Q4 2015
CMCSA - Comcast Corp. Reduce 0.02% 443 0.00
ORCL - Oracle Corp. Reduce 0.05% 2,348 0.00
C - Citigroup Inc. Reduce 0.10% 3,472 0.00
COF - Capital One Financial Reduce 0.11% 2,612 0.00
MSFT - Microsoft Corp. Reduce 0.16% 5,341 0.00
CIT - CIT Group Inc Reduce 1.25% 57,483 0.04
VOD - Vodafone Group Plc ADR Reduce 1.84% 87,192 0.05
A - Agilent Technologies Reduce 2.15% 87,896 0.06
FLEX - Flex Ltd. Reduce 3.55% 491,748 0.10
PG - Procter & Gamble Reduce 3.58% 71,114 0.10
AON - Aon Plc Reduce 3.85% 73,500 0.13
AER - AerCap Holdings N.V. Reduce 6.05% 212,985 0.16
CFG - Citizens Financial Group Inc. Reduce 6.14% 414,278 0.19
AMAT - Applied Materials Reduce 7.71% 787,645 0.22
TMO - Thermo Fisher Scientific Reduce 8.54% 128,041 0.30
HOUS - Realogy Holdings Corporation Reduce 9.00% 363,649 0.26
BAC - Bank of America Corp. Reduce 9.69% 1,088,674 0.33
LOW - Lowe's Cos. Reduce 15.36% 288,550 0.38
TWX - Time Warner, Inc. Reduce 18.73% 393,019 0.52
AIG - American International Group Reduce 20.26% 617,217 0.68
6683 - General Electric Company Reduce 22.83% 1,498,709 0.73
TXN - Texas Instruments Reduce 27.19% 957,078 0.92
GGQ1 - Google Inc. Cl A Sell 100.00% 200,955 2.48
CVS - CVS Health Corp. Sell 100.00% 1,320,493 2.46
OIL - Owens-Illinois, Inc. Sell 100.00% 5,557,748 2.22
GGQ7 - Google Inc. Cl C Sell 100.00% 63,331 0.74
VIVHY - Vivendi SA - Unspon ADR Sell 100.00% 30,900 0.01
Q3 2015
KEYS - Keysight Technologies Inc. Reduce 0.00% 72 0.00
PG - Procter & Gamble Reduce 0.72% 14,457 0.02
GGQ1 - Google Inc. Cl A Reduce 2.08% 4,275 0.04
ORCL - Oracle Corp. Reduce 2.74% 135,221 0.09
AIG - American International Group Reduce 2.91% 91,222 0.09
TMO - Thermo Fisher Scientific Reduce 3.00% 46,331 0.10
C - Citigroup Inc. Reduce 3.42% 119,825 0.11
MRSH - Marsh Reduce 3.74% 108,641 0.10
FLEX - Flex Ltd. Reduce 4.40% 638,219 0.12
BAC - Bank of America Corp. Reduce 4.84% 571,202 0.16
EXC - Exelon Corporation Reduce 4.90% 193,391 0.10
SNY - Sanofi Aventis Reduce 5.07% 182,845 0.15
MRK - Merck & Co. Reduce 5.08% 182,638 0.17
VOD - Vodafone Group Plc ADR Reduce 5.90% 297,632 0.18
OIL - Owens-Illinois, Inc. Reduce 7.34% 440,212 0.17
GGQ7 - Google Inc. Cl C Reduce 53.39% 72,553 0.62
ELV - Elevance Health Inc. Sell 100.00% 987,841 2.68
AES - AES Corporation Sell 100.00% 12,115,748 2.66
QCOM - QUALCOMM Inc. Sell 100.00% 2,275,355 2.36
RS - Reliance Steel & Aluminum Sell 100.00% 2,003,777 2.00
RDS.A - Royal Dutch Shell PLC ADR Sell 100.00% 5,900 0.01
Q2 2015
GGQ7 - Google Inc. Cl C Reduce 1.39% 1,918 0.02
PG - Procter & Gamble Reduce 1.48% 30,167 0.04
KEYS - Keysight Technologies Inc. Reduce 1.49% 67,548 0.04
GGQ1 - Google Inc. Cl A Reduce 1.53% 3,199 0.03
OIL - Owens-Illinois, Inc. Reduce 1.57% 95,831 0.04
TWX - Time Warner, Inc. Reduce 1.70% 33,396 0.05
A - Agilent Technologies Reduce 1.76% 67,120 0.05
TMO - Thermo Fisher Scientific Reduce 1.77% 27,850 0.06
SNY - Sanofi Aventis Reduce 2.12% 78,009 0.06
COF - Capital One Financial Reduce 3.62% 86,078 0.11
BAC - Bank of America Corp. Reduce 3.69% 451,803 0.11
BP - BP plc Reduce 3.72% 178,717 0.12
VOD - Vodafone Group Plc ADR Reduce 3.79% 198,869 0.11
MRSH - Marsh Reduce 3.93% 118,819 0.11
QCOM - QUALCOMM Inc. Reduce 4.30% 102,298 0.12
IVZ - Invesco Ltd Reduce 4.73% 213,999 0.14
AON - Aon Plc Reduce 5.27% 100,273 0.16
C - Citigroup Inc. Reduce 5.62% 208,899 0.18
ELV - Elevance Health Inc. Reduce 7.14% 75,940 0.19
LOW - Lowe's Cos. Reduce 7.59% 153,862 0.19
CMCSA - Comcast Corp. Reduce 8.31% 251,996 0.23
AIG - American International Group Reduce 10.53% 369,434 0.33
CVS - CVS Health Corp. Reduce 14.52% 222,692 0.38
RS - Reliance Steel & Aluminum Reduce 15.35% 363,320 0.37
CFG - Citizens Financial Group Inc. Reduce 17.45% 1,269,985 0.50
6683 - General Electric Company Reduce 25.12% 2,020,435 0.83
AES - AES Corporation Reduce 27.02% 4,485,784 0.95
MSFT - Microsoft Corp. Sell 100.00% 4,076,883 2.73
DD - DuPont de Nemours Inc. Sell 100.00% 1,371,127 1.61
Q1 2015
HOUS - Realogy Holdings Corporation Reduce 0.58% 22,009 0.02
KEYS - Keysight Technologies Inc. Reduce 0.61% 27,735 0.02
CVS - CVS Health Corp. Reduce 0.99% 15,367 0.02
TMO - Thermo Fisher Scientific Reduce 1.08% 17,226 0.03
GGQ7 - Google Inc. Cl C Reduce 1.11% 1,548 0.01
AON - Aon Plc Reduce 1.43% 27,542 0.04
LOW - Lowe's Cos. Reduce 1.59% 32,738 0.04
IP - International Paper Corp. Reduce 3.49% 119,347 0.10
ELV - Elevance Health Inc. Reduce 20.91% 281,261 0.57
DD - DuPont de Nemours Inc. Reduce 35.36% 750,132 0.89
NVS - Novartis AG Sell 100.00% 1,849,897 2.76
HSP - Hospira Inc Sell 100.00% 2,619,751 2.58
HES - Hess Corporation Sell 100.00% 1,929,012 2.29
DIG1 - DIRECTV Group Inc Sell 100.00% 4,834 0.01
HUB - Chubb Corporation Sell 100.00% 3,889 0.01
JBLU - JetBlue Airways Corp. Sell 100.00% 31,110 0.01
PM - Philip Morris Intl. Sell 100.00% 5,010 0.01
TJX - TJX Companies Inc. Sell 100.00% 6,590 0.01
PNC - PNC Financial Services Sell 100.00% 3,189 0.00
GS - Goldman Sachs Group Sell 100.00% 1,434 0.00
XOM - Exxon Mobil Corp. Sell 100.00% 2,759 0.00
MRK - Merck & Co. Sell 100.00% 4,400 0.00
JBL - Jabil Circuit, Inc. Sell 100.00% 9,944 0.00
Q4 2014
CIT - CIT Group Inc Reduce 0.10% 3,617 0.00
MSFT - Microsoft Corp. Reduce 0.17% 5,832 0.00
AMAT - Applied Materials Reduce 0.27% 18,011 0.01
CMCSA - Comcast Corp. Reduce 0.38% 11,301 0.01
RS - Reliance Steel & Aluminum Reduce 0.67% 15,820 0.02
VOD - Vodafone Group Plc ADR Reduce 0.92% 43,523 0.02
GGQ7 - Google Inc. Cl C Reduce 1.52% 2,154 0.02
TMO - Thermo Fisher Scientific Reduce 2.83% 46,340 0.09
IVZ - Invesco Ltd Reduce 3.64% 147,896 0.10
HSP - Hospira Inc Reduce 5.95% 165,884 0.14
BAC - Bank of America Corp. Reduce 6.31% 740,226 0.21
FLEX - Flex Ltd. Reduce 7.62% 967,823 0.17
XOM - Exxon Mobil Corp. Reduce 10.25% 315 0.00
HUB - Chubb Corporation Reduce 10.27% 445 0.00
PNC - PNC Financial Services Reduce 12.25% 445 0.00
C - Citigroup Inc. Reduce 12.77% 494,908 0.42
PM - Philip Morris Intl. Reduce 14.59% 856 0.00
GS - Goldman Sachs Group Reduce 15.65% 266 0.00
TXN - Texas Instruments Reduce 15.73% 453,401 0.36
PG - Procter & Gamble Reduce 18.08% 400,271 0.55
JBL - Jabil Circuit, Inc. Reduce 18.26% 2,221 0.00
CVS - CVS Health Corp. Reduce 24.93% 514,304 0.68
LOW - Lowe's Cos. Reduce 32.16% 975,868 0.85
JBLU - JetBlue Airways Corp. Reduce 33.33% 15,556 0.00
QCOM - QUALCOMM Inc. Reduce 36.60% 947,700 1.17
DIG1 - DIRECTV Group Inc Reduce 44.75% 3,916 0.00
MRK - Merck & Co. Reduce 47.62% 4,000 0.00
TJX - TJX Companies Inc. Reduce 49.44% 6,444 0.00
BHI - Baker Hughes Inc. Sell 100.00% 2,182,855 2.35
AAGBP - Alcoa Inc. Sell 100.00% 8,528,728 2.27
NEM - Newmont Corp. Sell 100.00% 5,354,985 2.04
WFTIQ - Weatherford Intl, Ltd. Sell 100.00% 5,664,381 1.95
IBM - International Business Machines Corp. Sell 100.00% 2,048 0.01
MO - Altria Group Inc. Sell 100.00% 6,535 0.01
Q3 2014
IVZ - Invesco Ltd Reduce 0.60% 24,563 0.02
TWX - Time Warner, Inc. Reduce 0.64% 11,442 0.01
GGQ1 - Google Inc. Cl A Reduce 0.75% 1,123 0.01
AMAT - Applied Materials Reduce 0.83% 55,596 0.02
TXN - Texas Instruments Reduce 0.86% 25,096 0.02
CMCSA - Comcast Corp. Reduce 0.88% 26,723 0.02
AIG - American International Group Reduce 0.90% 29,745 0.03
FLEX - Flex Ltd. Reduce 0.90% 115,477 0.02
COF - Capital One Financial Reduce 0.92% 17,672 0.02
GGQ7 - Google Inc. Cl C Reduce 1.02% 1,457 0.01
LOW - Lowe's Cos. Reduce 10.32% 349,100 0.28
MSFT - Microsoft Corp. Reduce 13.01% 517,510 0.36
HES - Hess Corporation Reduce 13.45% 248,253 0.41
WFTIQ - Weatherford Intl, Ltd. Reduce 14.45% 956,630 0.37
AAGBP - Alcoa Inc. Reduce 20.42% 2,188,702 0.54
DD - DuPont de Nemours Inc. Reduce 21.17% 492,271 0.54
DIG1 - DIRECTV Group Inc Reduce 99.20% 1,080,616 1.53
SLB - Schlumberger Ltd. Sell 100.00% 1,199,907 2.35
TDC - Teradata Corporation Sell 100.00% 1,882,943 1.26
KSS - Kohl's Corporation Sell 100.00% 1,162,017 1.02
Q2 2014
AAGBP - Alcoa Inc. Reduce 0.24% 25,921 0.01
NVS - Novartis AG Reduce 5.23% 79,667 0.12
SLB - Schlumberger Ltd. Reduce 14.49% 203,389 0.35
DIG1 - DIRECTV Group Inc Reduce 35.24% 592,819 0.80
TDC - Teradata Corporation Reduce 37.50% 1,129,911 0.98
KSS - Kohl's Corporation Reduce 42.52% 859,443 0.86
WFT - Weatherford Intl, Ltd. Sell 100.00% 8,578,509 2.62
UNH - United Health Group Inc. Sell 100.00% 1,506,048 2.17
CAH - Cardinal Health Inc. Sell 100.00% 1,664,219 2.05
LUV - Southwest Airlines Sell 100.00% 4,924,850 2.05
SCHW - Charles Schwab Corp. Sell 100.00% 2,941,899 1.41
DOFSQ - Diamond Offshore Drilling, Inc. Sell 100.00% 22,300 0.02
Q1 2014
CIT - CIT Group Inc Reduce 1.42% 41,437 0.04
AIG - American International Group Reduce 2.28% 68,863 0.06
TWX - Time Warner, Inc. Reduce 4.39% 75,871 0.09
MRK - Merck & Co. Reduce 4.55% 400 0.00
BHI - Baker Hughes Inc. Reduce 5.40% 103,340 0.10
MSFT - Microsoft Corp. Reduce 5.98% 225,140 0.14
AAGBP - Alcoa Inc. Reduce 6.18% 707,267 0.13
KSS - Kohl's Corporation Reduce 6.21% 133,757 0.13
IVZ - Invesco Ltd Reduce 6.49% 249,299 0.16
UNH - United Health Group Inc. Reduce 6.49% 104,604 0.13
COF - Capital One Financial Reduce 6.56% 133,938 0.18
CVS - CVS Health Corp. Reduce 6.69% 144,255 0.18
DD - DuPont de Nemours Inc. Reduce 6.76% 161,558 0.18
QCOM - QUALCOMM Inc. Reduce 6.79% 164,824 0.21
WFT - Weatherford Intl, Ltd. Reduce 6.79% 624,531 0.17
MRSH - Marsh Reduce 6.90% 194,592 0.16
HSP - Hospira Inc Reduce 6.96% 193,033 0.14
SLB - Schlumberger Ltd. Reduce 7.06% 106,584 0.16
NVS - Novartis AG Reduce 7.24% 118,836 0.16
AMAT - Applied Materials Reduce 7.25% 521,967 0.16
BAC - Bank of America Corp. Reduce 7.44% 770,977 0.21
AON - Aon Plc Reduce 9.17% 145,773 0.21
FLEX - Flex Ltd. Reduce 11.41% 1,647,970 0.22
HUB - Chubb Corporation Reduce 13.32% 666 0.00
XOM - Exxon Mobil Corp. Reduce 13.36% 474 0.00
JBLU - JetBlue Airways Corp. Reduce 15.15% 8,334 0.00
PNC - PNC Financial Services Reduce 15.49% 666 0.00
TJX - TJX Companies Inc. Reduce 15.91% 2,466 0.00
CAH - Cardinal Health Inc. Reduce 16.46% 327,785 0.37
TXN - Texas Instruments Reduce 17.45% 607,531 0.46
PM - Philip Morris Intl. Reduce 17.96% 1,284 0.00
A - Agilent Technologies Reduce 18.06% 473,441 0.46
GS - Goldman Sachs Group Reduce 19.05% 400 0.00
MO - Altria Group Inc. Reduce 19.82% 1,615 0.00
JBL - Jabil Circuit, Inc. Reduce 21.52% 3,335 0.00
GGQ1 - Google Inc. Reduce 22.42% 31,475 0.60
LUV - Southwest Airlines Reduce 24.24% 1,576,027 0.51
DIG1 - DIRECTV Group Inc Reduce 25.84% 586,097 0.69
TMO - Thermo Fisher Scientific Reduce 32.28% 473,036 0.90
SCHW - Charles Schwab Corp. Reduce 39.65% 1,933,002 0.86
CTXS - Citrix Systems, Inc. Sell 100.00% 2,454,013 2.65
VODD - Vodafone Group Plc ADR Sell 100.00% 3,758,391 2.53
RSG - Republic Services Inc. Sell 100.00% 1,909,562 1.08
IVN - Life Technologies Corp Sell 100.00% 4,000 0.01
L - Loews Corp. Sell 100.00% 5,200 0.00
Q4 2013
NVS - Novartis AG Reduce 1.04% 17,289 0.03
AIG - American International Group Reduce 1.33% 40,885 0.04
CIT - CIT Group Inc Reduce 1.33% 39,303 0.04
UNH - United Health Group Inc. Reduce 1.38% 22,486 0.03
COF - Capital One Financial Reduce 1.45% 30,061 0.04
MSFT - Microsoft Corp. Reduce 1.45% 55,333 0.04
OIL - Owens-Illinois, Inc. Reduce 1.58% 54,262 0.03
TWX - Time Warner, Inc. Reduce 1.58% 27,681 0.04
DD - DuPont de Nemours Inc. Reduce 1.59% 38,589 0.05
IVZ - Invesco Ltd Reduce 1.62% 63,316 0.04
WFT - Weatherford Intl, Ltd. Reduce 1.62% 151,327 0.05
BP - BP plc Reduce 1.64% 51,895 0.04
BAC - Bank of America Corp. Reduce 1.71% 180,187 0.05
LOW - Lowe's Cos. Reduce 1.81% 46,960 0.04
CMCSA - Comcast Corp. Reduce 1.92% 49,044 0.04
GGQ1 - Google Inc. Reduce 2.02% 2,901 0.05
A - Agilent Technologies Reduce 2.09% 55,955 0.06
SCHW - Charles Schwab Corp. Reduce 2.22% 110,917 0.05
TXN - Texas Instruments Reduce 4.90% 179,246 0.14
6683 - General Electric Co Reduce 6.64% 382,141 0.18
AMAT - Applied Materials Reduce 7.42% 576,756 0.20
AON - Aon Plc Reduce 9.41% 165,179 0.25
MRSH - Marsh Reduce 13.14% 426,513 0.37
SLB - Schlumberger Ltd. Reduce 13.37% 232,975 0.41
CVS - CVS Health Corp. Reduce 13.65% 341,043 0.39
TMO - Thermo Fisher Scientific Reduce 13.66% 231,779 0.43
LUV - Southwest Airlines Reduce 14.81% 1,129,966 0.33
HSP - Hospira Inc Reduce 18.82% 643,272 0.50
DOFSQ - Diamond Offshore Drilling, Inc. Reduce 19.42% 4,000 0.01
GS - Goldman Sachs Group Reduce 22.22% 600 0.00
JBL - Jabil Circuit, Inc. Reduce 22.50% 4,500 0.00
L - Loews Corp. Reduce 25.71% 1,800 0.00
CAH - Cardinal Health Inc. Reduce 26.14% 705,089 0.74
RSG - Republic Services Inc. Reduce 39.38% 1,240,414 0.83
ZTS - Zoetis Inc. Sell 100.00% 2,892,700 1.80
STT - State Street Corp. Sell 100.00% 335,338 0.44
PFE - Pfizer Inc. Sell 100.00% 8,000 0.00
Q3 2013
6683 - General Electric Co Reduce 0.49% 28,371 0.01
BP - BP plc Reduce 1.24% 39,770 0.04
MRSH - Marsh Reduce 1.63% 53,914 0.05
UNH - United Health Group Inc. Reduce 1.70% 28,287 0.04
TMO - Thermo Fisher Scientific Reduce 1.88% 32,555 0.06
IVZ - Invesco Ltd Reduce 2.41% 96,185 0.06
MSFT - Microsoft Corp. Reduce 2.60% 102,048 0.07
CAH - Cardinal Health Inc. Reduce 2.62% 72,598 0.07
LUV - Southwest Airlines Reduce 2.66% 208,135 0.06
RSG - Republic Services Inc. Reduce 2.70% 87,520 0.06
WFT - Weatherford Intl, Ltd. Reduce 2.78% 267,532 0.08
CMCSA - Comcast Corp. Reduce 2.79% 73,125 0.06
HSP - Hospira Inc Reduce 2.92% 102,701 0.08
NVS - Novartis AG Reduce 3.16% 54,095 0.08
DD - DuPont de Nemours Inc. Reduce 3.39% 85,064 0.09
C - Citigroup Inc. Reduce 3.45% 78,144 0.08
GGQ1 - Google Inc. Reduce 3.48% 5,165 0.10
BAC - Bank of America Corp. Reduce 3.51% 383,801 0.10
SLB - Schlumberger Ltd. Reduce 3.63% 65,685 0.10
AIG - American International Group Reduce 3.84% 122,356 0.12
SNY - Sanofi Aventis Reduce 3.85% 85,575 0.09
LOW - Lowe's Cos. Reduce 3.95% 106,889 0.09
TXN - Texas Instruments Reduce 4.04% 153,991 0.11
OIL - Owens-Illinois, Inc. Reduce 4.05% 144,525 0.08
A - Agilent Technologies Reduce 5.70% 161,765 0.15
AES - AES Corporation Reduce 10.29% 938,183 0.24
TWX - Time Warner, Inc. Reduce 11.83% 235,416 0.29
AMAT - Applied Materials Reduce 11.91% 1,050,401 0.33
COF - Capital One Financial Reduce 13.17% 314,176 0.42
SCHW - Charles Schwab Corp. Reduce 13.21% 758,829 0.34
AON - Aon Plc Reduce 21.00% 466,688 0.63
FLEX - Flex Ltd. Reduce 23.48% 4,063,708 0.66
STT - State Street Corp. Reduce 82.51% 1,582,276 2.18
PFE - Pfizer Inc. Reduce 99.75% 3,176,307 1.88
DVN - Devon Energy Corp. Sell 100.00% 1,904,679 2.08
FLR - Fluor Corp. Sell 100.00% 649,149 0.81
RIIG - Research in Motion Ltd Sell 100.00% 14,000 0.00
Q2 2013
HSP - Hospira Inc Reduce 0.76% 26,989 0.02
TMO - Thermo Fisher Scientific Reduce 1.86% 32,834 0.06
CAH - Cardinal Health Inc. Reduce 1.89% 53,292 0.05
AON - Aon Plc Reduce 1.91% 43,258 0.06
BAC - Bank of America Corp. Reduce 2.02% 225,601 0.06
TWX - Time Warner, Inc. Reduce 2.21% 45,054 0.06
MRSH - Marsh Reduce 2.93% 99,686 0.08
6683 - General Electric Co Reduce 3.04% 181,355 0.09
OIL - Owens-Illinois, Inc. Reduce 3.09% 113,906 0.07
LOW - Lowe's Cos. Reduce 3.63% 101,748 0.08
DD - DuPont de Nemours Inc. Reduce 5.43% 144,250 0.16
TXN - Texas Instruments Reduce 6.41% 261,311 0.20
CMCSA - Comcast Corp. Reduce 7.03% 198,258 0.18
FLEX - Flex Ltd. Reduce 7.25% 1,352,143 0.20
STT - State Street Corp. Reduce 8.00% 166,717 0.22
CVS - CVS Health Corp. Reduce 10.30% 258,426 0.31
NVS - Novartis AG Reduce 10.35% 197,654 0.31
IVZ - Invesco Ltd Reduce 11.44% 516,582 0.33
AES - AES Corporation Reduce 12.24% 1,272,104 0.35
GGQ1 - Google Inc. Reduce 12.75% 21,689 0.38
SNY - Sanofi Aventis Reduce 14.73% 384,537 0.43
C - Citigroup Inc. Reduce 16.84% 459,232 0.45
AIG - American International Group Reduce 17.32% 668,067 0.57
RSG - Republic Services Inc. Reduce 18.10% 715,380 0.52
DVN - Devon Energy Corp. Reduce 19.23% 453,438 0.56
LUV - Southwest Airlines Reduce 20.87% 2,067,955 0.61
MSFT - Microsoft Corp. Reduce 21.02% 1,043,366 0.66
SCHW - Charles Schwab Corp. Reduce 21.44% 1,567,476 0.61
PFE - Pfizer Inc. Reduce 29.35% 1,322,985 0.84
TJX - TJX Companies Inc. Reduce 31.11% 7,000 0.01
IVN - Life Technologies Corp Reduce 99.78% 1,795,963 2.55
NEM - Newmont Corp. Sell 100.00% 1,548,836 1.43
TEVA - Teva Pharmaceutical Industries Ltd. Sell 100.00% 1,248,290 1.09
Q1 2013
MRSH - Marsh Reduce 0.61% 20,978 0.02
6683 - General Electric Company Reduce 0.69% 41,618 0.02
SNY - Sanofi Aventis Reduce 0.82% 21,523 0.02
IVZ - Invesco Ltd Reduce 0.84% 38,379 0.02
NVS - Novartis AG Reduce 0.94% 18,104 0.03
CVS - CVS Health Corp. Reduce 1.30% 33,029 0.04
COF - Capital One Financial Reduce 1.59% 36,716 0.05
LOW - Lowe's Cos. Reduce 1.59% 45,260 0.04
AMAT - Applied Materials Reduce 1.72% 127,787 0.03
FLEX - Flex Ltd. Reduce 2.14% 408,639 0.06
AES - Item 1 AES Corporation Reduce 2.18% 232,038 0.06
TMO - Thermo Fisher Scientific Reduce 2.18% 39,357 0.06
CAH - Cardinal Health Inc. Reduce 2.22% 64,154 0.06
AIG - American International Group Reduce 2.51% 99,281 0.08
DD - DuPont de Nemours Inc. Reduce 2.60% 71,039 0.07
BAC - Bank of America Corp. Reduce 4.66% 544,673 0.14
TWX - Time Warner, Inc. Reduce 6.83% 149,152 0.16
LUV - Southwest Airlines Reduce 8.73% 947,874 0.22
GGQ1 - Google Inc. Reduce 9.14% 17,120 0.28
CMCSA - Comcast Corp. Reduce 10.65% 336,052 0.29
TXN - Texas Instruments Reduce 10.94% 500,797 0.35
PFE - Pfizer Inc. Reduce 12.78% 660,504 0.38
SCHW - Charles Schwab Corp. Reduce 15.18% 1,308,898 0.43
OIL - Owens-Illinois, Inc. Reduce 17.13% 761,610 0.37
C - Citigroup Inc. Reduce 18.61% 623,813 0.57
IVN - Life Technologies Corporation Reduce 30.51% 790,137 0.89
STT - State Street Corp. Reduce 32.90% 1,021,941 1.10
UNH - United Health Group Inc. Reduce 33.45% 786,442 0.98
BU3 - Bunge Limited Sell 100.00% 1,654,990 2.76
SYY - Sysco Corp. Sell 100.00% 2,502,756 1.82
ADI - Analog Devices Sell 100.00% 940,427 0.91
Q4 2012
AES - AES Corporation Reduce 1.24% 133,549 0.03
TXN - Texas Instruments Reduce 1.48% 68,535 0.04
CAH - Cardinal Health Inc. Reduce 1.77% 52,107 0.05
MRSH - Marsh Reduce 2.18% 76,166 0.06
LUV - Southwest Airlines Reduce 3.22% 361,015 0.07
IVZ - Invesco Ltd Reduce 3.34% 157,151 0.09
CMCSA - Comcast Corp. Reduce 3.51% 114,690 0.09
SCHW - Charles Schwab Corp. Reduce 3.56% 318,000 0.09
BAC - Bank of America Corp. Reduce 3.59% 435,060 0.09
IVN - Life Technologies Corporation Reduce 3.79% 102,116 0.11
6683 - General Electric Company Reduce 3.94% 246,214 0.13
PFE - Pfizer Inc. Reduce 4.71% 255,519 0.14
LOW - Lowe's Cos. Reduce 5.57% 168,169 0.12
STT - State Street Corp. Reduce 5.61% 184,743 0.18
NVS - Novartis AG Reduce 9.12% 193,480 0.27
TWX - Time Warner, Inc. Reduce 9.51% 229,551 0.24
WFT - Weatherford International, Ltd. Reduce 10.66% 918,957 0.26
SNY - Sanofi Aventis Reduce 12.63% 380,364 0.37
C - Citigroup Inc. Reduce 15.82% 629,715 0.47
AMAT - Applied Materials Reduce 25.60% 2,558,516 0.65
SYY - Sysco Corp. Reduce 34.28% 1,305,476 0.93
ADI - Analog Devices Reduce 53.31% 1,073,742 0.95
MET - MetLife Inc. Sell 100.00% 3,316,670 2.60
2777284Z - Dr. Pepper Snapple Group I Sell 100.00% 2,365,757 2.39
EQT - EQT Corp. Sell 100.00% 1,645,413 2.21
GM - General Motors Sell 100.00% 3,028,149 1.57
CSN - Credit Suisse Group Sell 100.00% 1,217,353 0.59
Q3 2012
COF - Capital One Financial Reduce 13.63% 342,109 0.38
6683 - General Electric Company Reduce 14.07% 1,023,714 0.43
TXN - Texas Instruments Reduce 14.23% 770,472 0.44
IVZ - Invesco Ltd Reduce 15.07% 835,638 0.38
SCHW - Charles Schwab Corp. Reduce 15.18% 1,599,888 0.42
MSFT - Microsoft Corp. Reduce 15.22% 801,829 0.49
PFE - Pfizer Inc. Reduce 15.81% 1,018,085 0.47
SYY - Sysco Corp. Reduce 16.80% 768,830 0.46
AMAT - Applied Materials Reduce 16.92% 2,034,660 0.47
2777284Z - Dr. Pepper Snapple Group I Reduce 17.80% 512,249 0.45
C - Citigroup Inc. Reduce 18.66% 913,459 0.50
FLEX - Flex Ltd. Reduce 19.05% 3,846,106 0.48
AES - AES Corporation Reduce 19.07% 2,534,637 0.65
BAC - Bank of America Corp. Reduce 19.70% 2,975,742 0.49
GGQ1 - Google Inc. Reduce 21.26% 45,376 0.53
WFT - Weatherford International, Ltd. Reduce 21.33% 2,337,503 0.59
MET - MetLife Inc. Reduce 21.88% 929,199 0.58
CMCSA - Comcast Corp. Reduce 21.95% 919,902 0.59
SNY - Sanofi Aventis Reduce 22.55% 877,174 0.67
UNH - United Health Group Inc. Reduce 23.66% 647,616 0.76
NVS - Novartis AG Reduce 24.13% 674,788 0.76
CVS - CVS Health Corp. Reduce 25.35% 861,316 0.81
MRSH - Marsh Reduce 25.72% 1,210,187 0.78
IVN - Life Technologies Corporation Reduce 27.14% 1,003,018 0.91
EQT - EQT Corp. Reduce 31.79% 766,910 0.83
OIL - Owens-Illinois, Inc. Reduce 33.60% 2,087,728 0.81
GM - General Motors Reduce 34.53% 1,597,019 0.63
LOW - Lowe's Cos. Reduce 43.13% 2,290,725 1.31
TWX - Time Warner, Inc. Reduce 46.21% 2,072,879 1.60
CSN - Credit Suisse Group Reduce 75.07% 3,664,958 1.35
YHOO - Yahoo! Inc. Sell 100.00% 9,990,839 3.18
V - Visa Inc. Sell 100.00% 780,388 1.94
DAL - Delta Air Lines Inc. Sell 100.00% 6,769,288 1.49
NLOK - Symantec Corporation Sell 100.00% 3,453,758 1.01
Q2 2012
FLEX - Flex Ltd. Reduce 0.03% 5,760 0.00
IVN - Life Technologies Corporation Reduce 0.12% 4,622 0.00
AES - AES Corporation Reduce 2.36% 321,264 0.07
MET - MetLife Inc. Reduce 3.93% 173,843 0.11
SYY - Sysco Corp. Reduce 4.89% 235,111 0.12
MRSH - Marsh Reduce 5.50% 273,843 0.16
SCHW - Charles Schwab Corp. Reduce 6.91% 781,862 0.20
LOW - Lowe's Cos. Reduce 7.94% 457,788 0.25
TWX - Time Warner, Inc. Reduce 8.13% 397,180 0.26
C - Citigroup Inc. Reduce 8.27% 441,143 0.28
PFE - Pfizer Inc. Reduce 8.33% 585,077 0.23
UNH - United Health Group Inc. Reduce 8.54% 255,508 0.26
IVZ - Invesco Ltd Reduce 11.66% 731,861 0.34
MSFT - Microsoft Corp. Reduce 14.15% 868,426 0.49
BAC - Bank of America Corp. Reduce 14.45% 2,551,667 0.43
CVS - CVS Health Corp. Reduce 15.83% 638,957 0.50
COF - Capital One Financial Reduce 20.09% 631,162 0.61
V - Visa Inc. Reduce 20.52% 201,489 0.41
GM - General Motors Reduce 28.28% 1,823,915 0.82
CMCSA - Comcast Corp. Reduce 30.94% 1,877,319 0.98
DVN - Devon Energy Corp. Reduce 36.92% 924,798 1.15
DAL - Delta Air Lines Inc. Reduce 39.47% 4,414,090 0.77
NLOK - Symantec Corporation Reduce 53.50% 3,973,828 1.30
LUV - Southwest Airlines Reduce 70.93% 10,779,696 1.55
ABT - Abbott Labs Sell 100.00% 2,907,991 3.11
WMT - Walmart Inc. Sell 100.00% 2,731,198 2.92
XS6 - Sunoco, Inc. Sell 100.00% 3,871,010 2.58
ABX - Barrick Gold Corporation Sell 100.00% 617,255 0.47
NEM - Newmont Corp. Sell 100.00% 95,323 0.09
Q1 2012
OIL - Owens-Illinois, Inc. Reduce 0.20% 10,790 0.00
C - Citigroup Inc. Reduce 1.36% 73,513 0.04
GM - General Motors Reduce 1.64% 107,448 0.04
AES - AES Corporation Reduce 2.32% 323,814 0.07
AMAT - Applied Materials Reduce 2.34% 245,161 0.05
IVN - Life Technologies Corporation Reduce 2.39% 90,448 0.07
WMT - Walmart Inc. Reduce 2.78% 78,070 0.09
CSN - Credit Suisse Group Reduce 2.85% 123,740 0.06
SCHW - Charles Schwab Corp. Reduce 2.99% 349,483 0.08
BAC - Bank of America Corp. Reduce 3.09% 563,566 0.06
LUV - Southwest Airlines Reduce 3.20% 501,997 0.08
NLOK - Symantec Corporation Reduce 3.41% 262,087 0.08
TXN - Texas Instruments Reduce 3.97% 218,648 0.12
MSFT - Microsoft Corp. Reduce 4.11% 263,269 0.13
ABT - Abbott Labs Reduce 4.29% 130,270 0.14
PFE - Pfizer Inc. Reduce 4.54% 334,336 0.14
DAL - Delta Air Lines Inc. Reduce 5.87% 697,919 0.11
LOW - Lowe's Cos. Reduce 5.96% 365,311 0.18
SNY - Sanofi Aventis Reduce 6.34% 233,278 0.17
CMCSA - Comcast Corp. Reduce 6.52% 423,280 0.20
FLEX - Flex Ltd. Reduce 6.68% 1,444,519 0.16
TWX - Time Warner, Inc. Reduce 6.79% 355,799 0.25
CVS - CVS Health Corp. Reduce 7.74% 338,789 0.27
XS6 - Sunoco, Inc. Reduce 16.78% 780,526 0.62
STT - State Street Corp. Reduce 17.79% 702,606 0.55
IVZ - Invesco Ltd Reduce 21.42% 1,711,608 0.67
V - Visa Inc. Reduce 41.86% 706,958 1.40
ABX - Barrick Gold Corporation Reduce 43.20% 469,470 0.41
EXC - Exelon Corporation Sell 100.00% 3,701,042 3.13
PEG - Public Serv. Enterprise Inc. Sell 100.00% 1,993,030 1.28
CTAS - Cintas Corp. Sell 100.00% 1,794,532 1.22
LYB - LyondellBasell Industries Sell 100.00% 1,643,747 1.04
APOL - Apollo Group, Inc. Sell 100.00% 5,000 0.01
Q4 2011
IVZ - Invesco Ltd Reduce 0.00% 242 0.00
CVS - CVS Health Corp. Reduce 1.12% 49,695 0.03
FLEX - Flex Ltd. Reduce 1.29% 282,750 0.03
WMT - Walmart Inc. Reduce 1.36% 38,735 0.04
EXC - Exelon Corporation Reduce 1.65% 61,977 0.05
CMCSA - Comcast Corp. Reduce 2.06% 136,517 0.06
BAC - Bank of America Corp. Reduce 2.22% 413,235 0.05
PFE - Pfizer Inc. Reduce 2.49% 187,707 0.07
AES - AES Corporation Reduce 2.61% 373,672 0.07
V - Visa Inc. Reduce 3.19% 55,591 0.10
TXN - Texas Instruments Reduce 3.52% 200,783 0.11
ABT - Abbott Labs Reduce 3.57% 112,529 0.12
TWX - Time Warner, Inc. Reduce 3.83% 208,784 0.13
NLOK - Symantec Corporation Reduce 4.04% 324,012 0.11
C - Citigroup Inc. Reduce 5.19% 296,100 0.16
DAL - Delta Air Lines Inc. Reduce 7.26% 930,625 0.14
OIL - Owens-Illinois, Inc. Reduce 7.41% 438,867 0.14
AMAT - Applied Materials Reduce 13.97% 1,701,954 0.36
MSFT - Microsoft Corp. Reduce 14.06% 1,046,520 0.53
TJX - TJX Companies Inc. Reduce 21.05% 3,000 0.00
PEG - Public Serv. Enterprise Inc. Reduce 38.82% 1,264,426 0.87
LYB - LyondellBasell Industries Reduce 59.63% 2,428,034 1.22
DOFSQ - Diamond Offshore Drilling, Inc. Reduce 97.89% 902,803 1.01
EBAY - eBay Inc. Sell 100.00% 4,894,644 2.96
BAX - Baxter International Inc. Sell 100.00% 2,173,664 2.50
NEM - Newmont Corp. Sell 100.00% 1,341,459 1.73
EQT - EQT Corp. Sell 100.00% 1,404,197 1.53
MPC - Marathon Petroleum Corp. Sell 100.00% 2,074,295 1.15
COP - ConocoPhillips Sell 100.00% 813,078 1.05
EP - El Paso Corporation Sell 100.00% 2,906,404 1.04
WDC - Western Digital Corporation Sell 100.00% 1,382,915 0.73
MRKC - Merck & Co. Inc. Sell 100.00% 8,400 0.01
Q3 2011
CMCSA - Comcast Corp. Reduce 0.11% 6,982 0.00
GM - General Motors Reduce 2.40% 157,003 0.08
LUV - Southwest Airlines Reduce 2.40% 335,331 0.06
MET - MetLife Inc. Reduce 2.48% 102,607 0.07
AMAT - Applied Materials Reduce 2.63% 328,806 0.07
OIL - Owens-Illinois, Inc. Reduce 6.65% 421,841 0.17
STT - State Street Corp. Reduce 8.00% 267,001 0.19
V - Visa Inc. Reduce 10.09% 195,787 0.27
PFE - Pfizer Inc. Reduce 10.99% 931,934 0.31
MSFT - Microsoft Corp. Reduce 13.43% 1,154,755 0.48
ABT - Abbott Labs Reduce 14.09% 516,799 0.44
EBAY - eBay Inc. Reduce 15.81% 918,952 0.48
WMT - Walmart Inc. Reduce 16.90% 579,091 0.50
NVS - Novartis AG Reduce 19.52% 444,635 0.44
NLOK - Symantec Corporation Reduce 21.58% 2,205,646 0.70
EXC - Exelon Corporation Reduce 23.29% 1,142,219 0.79
EQT - EQT Corp. Reduce 42.43% 1,035,062 0.87
EP - El Paso Corporation Reduce 52.91% 3,265,829 1.06
NEM - Newmont Corp. Reduce 54.55% 1,610,107 1.40
DOFSQ - Diamond Offshore Drilling, Inc. Reduce 59.99% 1,383,096 1.57
IGT - International Game Technol Sell 100.00% 9,205,880 2.61
ALL - Allstate Corp. Sell 100.00% 5,217,177 2.56
VLO - Valero Energy Sell 100.00% 4,505,446 1.85
MRO - Marathon Oil Corporation Sell 100.00% 1,862,881 1.58
APOL - Apollo Group, Inc. Sell 100.00% 5,000 0.00
Q2 2011
MSFT - Microsoft Corp. Reduce 0.12% 10,381 0.00
IGT - International Game Technol Reduce 0.58% 53,389 0.01
EXC - Exelon Corporation Reduce 3.31% 167,815 0.10
STT - State Street Corp. Reduce 3.38% 116,854 0.08
ABT - Abbott Labs Reduce 3.54% 134,757 0.10
NLOK - Symantec Corporation Reduce 3.57% 378,079 0.11
LUV - Southwest Airlines Reduce 3.83% 557,884 0.11
CMCSA - Comcast Corp. Reduce 4.27% 296,241 0.11
V - Visa Inc. Reduce 11.37% 248,890 0.28
PFE - Pfizer Inc. Reduce 14.57% 1,446,846 0.44
CVS - CVS Health Corp. Reduce 14.65% 728,891 0.38
EP - El Paso Corporation Reduce 15.91% 1,168,026 0.32
LYB - LyondellBasell Industries Reduce 19.51% 807,263 0.48
NVS - Novartis AG Reduce 21.08% 608,360 0.50
BAX - Baxter International Inc. Reduce 21.36% 573,192 0.47
EQT - EQT Corp. Reduce 27.77% 937,693 0.71
MRO - Marathon Oil Corporation Reduce 37.86% 1,134,937 0.92
C - Citigroup Inc. Reduce 88.16% 41,139,562 2.75
APOL - Apollo Group, Inc. Reduce 99.87% 3,732,277 2.36
DVN - Devon Energy Corp. Sell 100.00% 1,653,345 2.29
BU3 - Bunge Limited Sell 100.00% 1,793,831 1.96
KO - Coca Cola Co. Sell 100.00% 1,674,670 1.68
Q1 2011
APOL - Apollo Group, Inc. Reduce 1.80% 68,637 0.04
CVS - CVS Health Corp. Reduce 1.94% 98,351 0.05
AES - AES Corporation Reduce 2.47% 332,386 0.06
STT - State Street Corp. Reduce 2.58% 91,627 0.07
C - Citigroup Inc. Reduce 3.02% 1,453,014 0.11
EBAY - eBay Inc. Reduce 3.42% 187,386 0.08
TWX - Time Warner, Inc. Reduce 3.57% 189,904 0.09
IVZ - Invesco Ltd Reduce 3.94% 246,055 0.09
LYB - LyondellBasell Industries Reduce 10.60% 490,611 0.26
CMCSA - Comcast Corp. Reduce 11.58% 907,380 0.31
AMAT - Applied Materials Reduce 12.44% 1,547,801 0.34
KO - Coca Cola Co. Reduce 13.89% 270,078 0.27
BAC - Bank of America Corp. Reduce 14.00% 2,107,017 0.44
FLEX - Flex Ltd. Reduce 14.87% 3,693,324 0.45
EQT - EQT Corp. Reduce 16.46% 665,539 0.46
PFE - Pfizer Inc. Reduce 18.16% 2,202,525 0.60
CSN - Credit Suisse Group Reduce 19.20% 870,117 0.55
XS6 - Sunoco, Inc. Reduce 19.21% 781,327 0.49
BU3 - Bunge Limited Reduce 20.83% 471,869 0.48
WMT - Walmart Inc. Reduce 21.12% 830,924 0.69
SCHW - Charles Schwab Corp. Reduce 23.64% 2,535,865 0.67
DVN - Devon Energy Corp. Reduce 31.93% 775,467 0.95
VLO - Valero Energy Reduce 34.64% 1,749,818 0.63
MRO - Marathon Oil Corporation Reduce 35.40% 1,642,881 0.95
MS - Morgan Stanley Sell 100.00% 6,193,785 2.61
BHI - Baker Hughes Inc. Sell 100.00% 2,365,406 2.10
Q4 2010
EQT - EQT Corp. Reduce 0.68% 27,760 0.02
ABT - Abbott Labs Reduce 1.04% 39,210 0.03
PFE - Pfizer Inc. Reduce 2.88% 359,925 0.10
SCHW - Charles Schwab Corp. Reduce 3.39% 376,363 0.09
XS6 - Sunoco, Inc. Reduce 3.64% 153,722 0.09
C - Citigroup Inc. Reduce 4.49% 2,260,609 0.15
IGT - International Game Technol Reduce 5.04% 477,906 0.12
MSFT - Microsoft Corp. Reduce 5.23% 437,234 0.18
V - Visa Inc. Reduce 7.67% 161,634 0.20
FLEX - Flex Ltd. Reduce 9.64% 2,649,538 0.27
NVS - Novartis AG Reduce 11.04% 288,363 0.28
MRO - Marathon Oil Corporation Reduce 11.96% 630,657 0.35
VLO - Valero Energy Reduce 12.78% 739,868 0.22
EP - El Paso Corporation Reduce 13.84% 1,102,655 0.23
CMCSA - Comcast Corp. Reduce 14.03% 1,278,991 0.39
AMAT - Applied Materials Reduce 14.89% 2,177,821 0.43
STT - State Street Corp. Reduce 15.96% 673,599 0.42
DVN - Devon Energy Corp. Reduce 20.52% 627,237 0.68
IVZ - Invesco Ltd Reduce 20.91% 1,650,947 0.59
NLOK - Symantec Corporation Reduce 22.61% 2,682,914 0.68
AES - AES Corporation Reduce 26.39% 4,833,571 0.92
BAX - Baxter International Inc. Reduce 28.12% 981,835 0.78
TXN - Texas Instruments Reduce 36.53% 2,264,490 1.03
BHI - Baker Hughes Inc. Reduce 38.79% 1,499,148 1.07
KO - Coca Cola Co. Reduce 40.05% 1,299,077 1.27
COP - ConocoPhillips Sell 100.00% 2,737,402 2.63
GEZ - Genzyme Corporation Sell 100.00% 1,696,446 2.01
AB - AllianceBernstein Holding Sell 100.00% 12,000 0.01
Q3 2010
XOM - Exxon Mobil Corp. Reduce 0.03% 1 0.00
EXC - Exelon Corporation Reduce 0.16% 7,606 0.01
AES - AES Corporation Reduce 0.30% 54,525 0.01
KO - Coca Cola Co. Reduce 0.39% 12,771 0.01
ABT - Abbott Labs Reduce 0.71% 27,090 0.02
TXN - Texas Instruments Reduce 0.79% 49,177 0.02
STT - State Street Corp. Reduce 0.81% 34,613 0.02
COP - ConocoPhillips Reduce 2.17% 60,814 0.06
BAX - Baxter International Inc. Reduce 4.18% 152,281 0.12
EBAY - eBay Inc. Reduce 8.58% 414,647 0.15
VLO - Valero Energy Reduce 8.86% 563,095 0.19
NEM - Newmont Corp. Reduce 9.17% 145,322 0.17
XS6 - Sunoco, Inc. Reduce 12.11% 581,579 0.38
CSN - Credit Suisse Group Reduce 17.74% 661,439 0.46
NVS - Novartis AG Reduce 20.93% 691,285 0.62
EP - El Paso Corporation Reduce 34.87% 4,266,281 0.88
GEZ - Genzyme Corporation Reduce 54.29% 2,015,147 1.91
MRSH - Marsh Sell 100.00% 4,919,530 2.07
HES - Hess Corporation Sell 100.00% 1,199,147 1.12
QCOM - QUALCOMM Inc. Sell 100.00% 975,852 0.60
Q2 2010
MS - Morgan Stanley Reduce 1.60% 92,542 0.04
BHI - Baker Hughes Inc. Reduce 1.96% 64,432 0.05
PFE - Pfizer Inc. Reduce 2.71% 331,092 0.08
WMT - Walmart Inc. Reduce 7.47% 283,207 0.24
FLEX - Flex Ltd. Reduce 8.53% 2,046,156 0.24
BAC - Bank of America Corp. Reduce 10.41% 1,085,414 0.29
CMCSA - Comcast Corp. Reduce 11.92% 1,199,952 0.34
EP - El Paso Corporation Reduce 12.33% 1,720,400 0.28
IVZ - Invesco Ltd Reduce 13.86% 1,267,862 0.42
EBAY - eBay Inc. Reduce 20.57% 1,251,555 0.50
TJX - TJX Companies Inc. Reduce 21.92% 4,000 0.00
C - Citigroup Inc. Reduce 22.22% 11,207,295 0.68
TXN - Texas Instruments Reduce 23.10% 1,876,702 0.69
MRSH - Marsh Reduce 24.41% 1,588,485 0.58
EQT - EQT Corp. Reduce 26.39% 1,257,307 0.77
COP - ConocoPhillips Reduce 27.43% 1,057,927 0.81
VLO - Valero Energy Reduce 40.10% 4,253,952 1.26
NEM - Newmont Corp. Reduce 49.75% 1,569,350 1.19
HES - Hess Corporation Reduce 53.90% 1,401,798 1.31
QCOM - QUALCOMM Inc. Reduce 78.76% 3,618,054 2.27
INTU - Intuit Inc. Sell 100.00% 4,129,011 2.12
UNH - United Health Group Inc. Sell 100.00% 4,125,893 2.02
TWX - Time Warner, Inc. New................. Sell 100.00% 3,455,310 1.62
LOW - Lowe's Cos. Sell 100.00% 9,750 0.00
XTO - XTO Energy, Inc...... Sell 100.00% 5,000 0.00
BSX - Boston Scientific Sell 100.00% 24,000 0.00
Q1 2010
NEM - Newmont Corp. Reduce 3.04% 99,001 0.08
MRSH - Marsh Reduce 8.43% 599,286 0.21
SCHW - Charles Schwab Corp. Reduce 9.34% 775,056 0.23
UNH - United Health Group Inc. Reduce 10.12% 464,671 0.23
NLOK - Symantec Corporation......... Reduce 13.21% 1,198,000 0.34
BHI - Baker Hughes Inc..... Reduce 14.05% 537,162 0.35
TWX - Time Warner, Inc. New................. Reduce 15.53% 635,341 0.30
DVN - Devon Energy Corp. Reduce 15.65% 405,376 0.48
EP - El Paso Corporation......... Reduce 17.23% 2,905,788 0.46
LUV - Southwest Airlines Reduce 23.83% 2,530,997 0.46
INTU - Intuit Inc. Reduce 28.05% 1,609,385 0.79
HES - Hess Corporation..... Reduce 28.64% 1,043,668 1.01
BSX - Boston Scientific Reduce 99.84% 15,427,102 2.23
SI6 - Smith International Inc............. Sell 100.00% 5,492,151 2.39
UN - Unilever NV ADR............. Sell 100.00% 3,439,318 1.78
BRK.A - Berkshire Hathaway CL A Sell 100.00% 1,085 1.73
SLB - Schlumberger Ltd. Sell 100.00% 1,502,021 1.57
V - Visa Inc. Sell 100.00% 1,082,931 1.52
BRYG - Berkshire Hathaway, Inc. Cl B............ Sell 100.00% 5,709 0.30
Q4 2009
PFE - Pfizer Inc. Reduce 0.62% 72,403 0.02
DVN - Devon Energy Corp. Reduce 1.83% 48,318 0.05
UNH - United Health Group Inc. Reduce 2.67% 126,152 0.05
LUV - Southwest Airlines Reduce 7.43% 851,966 0.13
FLEX - Flex Ltd. Reduce 7.52% 1,514,850 0.18
MSFT - Microsoft Corp. Reduce 10.27% 667,384 0.28
MS - Morgan Stanley Reduce 11.81% 625,250 0.31
MRSH - Marsh Reduce 12.21% 988,526 0.40
CSN - Credit Suisse Group........... Reduce 13.18% 340,926 0.31
CMCSA - Comcast Corp. Reduce 16.43% 1,909,852 0.52
KO - Coca Cola Co. Reduce 16.58% 393,562 0.34
NLOK - Symantec Corporation..... Reduce 17.04% 1,862,205 0.50
TWX - Time Warner, Inc. New........ Reduce 18.09% 903,594 0.42
WMT - Walmart Inc. Reduce 18.62% 691,887 0.55
NVS - Novartis AG Reduce 19.91% 659,237 0.54
UN - Unilever NV ADR............. Reduce 23.19% 1,038,274 0.49
ABT - Abbott Labs Reduce 27.35% 1,156,187 0.93
BAX - Baxter International Inc. Reduce 31.79% 805,850 1.42
COP - ConocoPhillips Reduce 36.55% 1,623,375 1.19
SLB - Schlumberger Ltd. Reduce 37.16% 888,178 0.86
V - Visa Inc. Reduce 40.10% 724,834 0.81
HUB - Chubb Corporation..... Reduce 99.85% 3,258,888 2.68
KMB - Kimberly-Clark Sell 100.00% 2,024,660 1.94
CAH - Cardinal Health Inc. Sell 100.00% 4,190,921 1.83
AON-W - Aon Corporation Sell 100.00% 2,316,319 1.53
AET - Aetna, Inc. Sell 100.00% 2,819,654 1.28
PGR - Progressive Corp. Sell 100.00% 3,862,549 1.04
LMDIA - Liberty Media Corporation Sell 100.00% 7,876 0.00
APL - Atlas Pipeline Partners, L Sell 100.00% 10,000 0.00
Q3 2009
PFE - Pfizer Inc. Reduce 1.25% 147,212 0.05
NVS - Novartis AG Reduce 1.47% 49,486 0.04
CSN - Credit Suisse Group Reduce 2.07% 54,791 0.05
TXN - Texas Instruments Reduce 12.09% 870,340 0.39
TWX - Time Warner, Inc. New Reduce 12.59% 719,060 0.38
HUB - Chubb Corporation Reduce 12.61% 470,877 0.39
UN - Unilever NV ADR Reduce 17.10% 923,656 0.47
FLEX - Flex Ltd. Reduce 22.39% 5,813,215 0.50
KMB - Kimberly-Clark Reduce 25.10% 678,509 0.74
LUV - Southwest Airlines Reduce 26.18% 4,068,537 0.57
BSX - Boston Scientific Reduce 27.48% 4,510,776 0.96
KO - Coca Cola Co. Reduce 30.96% 1,064,490 1.07
AON-W - Aon Corporation Reduce 31.60% 1,070,016 0.85
AES - AES Corporation Reduce 37.45% 5,317,471 1.29
PGR - Progressive Corp. Reduce 48.45% 3,629,569 1.15
AET - Aetna, Inc. Reduce 48.99% 2,707,527 1.42
SWY - Safeway, Inc. Sell 100.00% 3,761,513 1.60
N4D - Spectra Energy Corporation Sell 100.00% 4,001,628 1.42
CTXS - Citrix Systems, Inc. Sell 100.00% 1,413,332 0.94
Q2 2009
SCHW - Charles Schwab Corp. Reduce 0.73% 39,699 0.02
UN - Unilever NV ADR Reduce 1.84% 101,394 0.05
SLB - Schlumberger Ltd. Reduce 5.77% 138,964 0.14
EXC - Exelon Corporation Reduce 5.89% 157,513 0.18
AES - AES Corporation Reduce 6.15% 929,686 0.13
TXN - Texas Instruments Reduce 12.48% 1,026,888 0.42
INTU - Intuit Inc. Reduce 13.61% 575,002 0.39
FLEX - Flex Ltd. Reduce 16.33% 5,067,984 0.36
TWX - Time Warner, Inc. New Reduce 17.36% 1,200,424 0.57
V - Visa Inc. Reduce 21.53% 279,836 0.39
DVN - Devon Energy Corp. Reduce 25.24% 746,399 0.83
PGR - Progressive Corp. Reduce 27.76% 2,878,906 0.96
CSN - Credit Suisse Group Reduce 43.18% 2,006,891 1.52
N4D - Spectra Energy Corporation Reduce 55.12% 4,914,183 1.72
CTXS - Citrix Systems, Inc. Reduce 59.42% 2,069,705 1.16
BRK.A - Berkshire Hathaway CL A Sell 100.00% 1,698 3.65
MRO - Marathon Oil Corporation Sell 100.00% 4,403,167 2.87
2777284Z - Dr. Pepper Snapple Group I Sell 100.00% 5,181,102 2.17
RDS.A - Royal Dutch Shell PLC ADR Sell 100.00% 1,663,603 1.83
TWC - Time Warner Cable Inc. Sell 100.00% 1,675,346 1.03
DUKG - Duke Energy Corporation Sell 100.00% 2,844,571 1.01
BRYG - Berkshire Hathaway, Inc. Cl B Sell 100.00% 10,691 0.75
Q1 2009
AON-W - Aon Corporation Reduce 0.98% 24,640 0.03
V - Visa Inc. Reduce 6.31% 87,556 0.13
TXN - Texas Instruments Reduce 12.07% 1,129,114 0.48
NLOK - Symantec Corporation Reduce 15.01% 1,426,833 0.53
KMB - Kimberly-Clark Reduce 19.64% 449,914 0.65
AET - Aetna, Inc. Reduce 23.62% 1,124,967 0.88
2777284Z - Dr. Pepper Snapple Group I Reduce 26.16% 1,835,606 0.82
ABT - Abbott Labs Reduce 26.63% 658,311 0.97
RDS.A - Royal Dutch Shell PLC ADR Reduce 34.24% 866,021 1.26
BAX - Baxter International Inc. Reduce 37.62% 823,718 3.16
CAH - Cardinal Health Inc. Reduce 39.20% 1,696,048 1.61
DUKG - Duke Energy Corporation Reduce 65.07% 5,298,220 2.19
UNM - Unum Group Sell 100.00% 4,437,393 2.27
CI - Cigna Group Sell 100.00% 4,733,280 2.19
NEM - Newmont Corp. Sell 100.00% 1,909,023 2.14
MCK - McKesson Corp. Sell 100.00% 1,255,975 1.34
APOL - Apollo Group, Inc. Sell 100.00% 3,000 0.01
LOW - Lowe's Cos. Sell 100.00% 9,750 0.01
Q4 2008
BAX - Baxter International Inc. Reduce 1.28% 28,342 0.03
MRO - Marathon Oil Corporation Reduce 3.08% 115,989 0.08
TXN - Texas Instruments Reduce 3.48% 337,428 0.12
NLOK - Symantec Corporation Reduce 10.30% 1,091,543 0.35
PM - Philip Morris Intl. Reduce 12.27% 1,000 0.00
CI - Cigna Group Reduce 15.53% 870,543 0.48
AON-W - Aon Corporation Reduce 17.14% 520,806 0.38
CMCSA - Comcast Corp. Reduce 23.52% 2,597,855 0.83
KMB - Kimberly-Clark Reduce 23.96% 721,726 0.76
TJX - TJX Companies Inc. Reduce 24.74% 6,000 0.00
RDS.A - Royal Dutch Shell PLC ADR Reduce 31.91% 1,185,601 1.14
UNM - Unum Group Reduce 37.66% 2,680,928 1.10
UN - Unilever NV ADR Reduce 42.40% 3,051,536 1.40
NEM - Newmont Corp. Reduce 49.27% 1,854,143 1.17
APOL - Apollo Group, Inc. Reduce 99.92% 3,911,604 3.78
BSX - Boston Scientific Sell 100.00% 19,403,765 3.88
PFE - Pfizer Inc. Sell 100.00% 12,802,914 3.85
AES - AES Corporation Sell 100.00% 19,506,891 3.72
EP - El Paso Corporation Sell 100.00% 17,496,990 3.64
TWX - Time Warner, Inc. Sell 100.00% 16,391,160 3.50
FLEX - Flex Ltd. Sell 100.00% 27,976,212 3.23
IPG - Interpublic Group of Cos. Sell 100.00% 21,713,623 2.74
PXD - Pioneer Natural Resources Co. Sell 100.00% 2,958,269 2.52
SUNW - Sun Microsystems Inc Sell 100.00% 20,332,454 2.52
6683 - General Electric Company Sell 100.00% 5,528,174 2.30
DIS - Walt Disney Co. Sell 100.00% 4,187,608 2.09
BRK.A - Berkshire Hathaway CL A Sell 100.00% 856 1.82
STT - State Street Corp. Sell 100.00% 1,789,899 1.66
6684 - Hewlett-Packard Company Sell 100.00% 2,104,302 1.59
ABX - Barrick Gold Corporation Sell 100.00% 2,469,857 1.48
GS - Goldman Sachs Group Sell 100.00% 680,738 1.42
NCC - National City Corporation Sell 100.00% 37,815,475 1.08
KCI - Kinetic Concepts, Inc. Sell 100.00% 2,181,270 1.02
WM - Waste Management Inc. Sell 100.00% 1,405,980 0.72
BRYG - Berkshire Hathaway, Inc. Cl A Sell 100.00% 5,234 0.37
C - Citigroup Inc. Sell 100.00% 24,375 0.01
HAL - Halliburton Co. Sell 100.00% 10,500 0.01
IBM - International Business Machines Corp. Sell 100.00% 2,048 0.00
GLW - Corning Inc. Sell 100.00% 15,000 0.00
KFT - Kraft Foods, Inc. Sell 100.00% 6,331 0.00
TXT - Textron Incorporated Sell 100.00% 7,000 0.00
Q3 2008
CSN - Credit Suisse Group Reduce 2.57% 115,805 0.08
CI - Cigna Group Reduce 5.76% 342,630 0.19
AON-W - Aon Corporation Reduce 14.90% 532,217 0.38
N4D - Spectra Energy Corporation Reduce 15.15% 1,172,835 0.52
6684 - Hewlett-Packard Company Reduce 17.90% 458,849 0.31
6683 - General Electric Company Reduce 17.91% 1,206,360 0.50
DIS - Walt Disney Co. Reduce 20.81% 1,100,290 0.53
UNM - Unum Group Reduce 21.68% 1,970,417 0.62
ABX - Barrick Gold Corporation Reduce 22.19% 704,359 0.49
MRSH - Marsh Reduce 44.32% 2,578,025 1.06
LUV - Southwest Airlines Reduce 46.99% 6,073,587 1.23
WM - Waste Management Inc. Reduce 61.32% 2,229,130 1.30
BRL - Barr Pharmaceuticals Inc. Sell 100.00% 5,716,564 3.99
IVZ - Invesco Ltd Sell 100.00% 7,108,455 2.64
BAC - Bank of America Corp. Sell 100.00% 5,562,976 2.05
CZN - Citizen's Communications Sell 100.00% 38,500 0.01
FNMA - Fannie Mae Sell 100.00% 11,025 0.00
Q2 2008
CMCSA - Comcast Corp. Reduce 1.77% 195,819 0.06
IVZ - Invesco Ltd Reduce 2.93% 214,647 0.08
FLEX - Flex Ltd. Reduce 3.12% 700,693 0.10
6683 - General Electric Company Reduce 5.14% 364,543 0.21
N4D - Spectra Energy Corporation Reduce 10.20% 879,409 0.31
IPG - Interpublic Group of Cos. Reduce 11.10% 2,551,050 0.33
AES - AES Corporation Reduce 12.94% 1,605,256 0.41
LUV - Southwest Airlines Reduce 14.86% 2,256,407 0.43
WM - Waste Management Inc. Reduce 14.94% 638,639 0.33
AON-W - Aon Corporation Reduce 16.43% 702,324 0.44
DIS - Walt Disney Co. Reduce 23.72% 1,644,125 0.79
6684 - Hewlett-Packard Company Reduce 23.75% 798,275 0.56
KCI - Kinetic Concepts, Inc. Reduce 29.38% 899,796 0.64
EP - El Paso Corporation Reduce 38.48% 5,293,058 1.36
PXD - Pioneer Natural Resources Co. Reduce 53.16% 2,572,734 1.95
TWX - Time Warner, Inc. Reduce 92.74% 13,743,333 2.97
HAL - Halliburton Co. Reduce 99.48% 2,020,279 1.22
WDC - Western Digital Corporation Sell 100.00% 4,528,636 1.89
GT - Goodyear Tire & Rubber Company Sell 100.00% 2,240,443 0.89
AAIG - American Intl Group, Inc. Sell 100.00% 7,000 0.00
Q1 2008
TXN - Texas Instruments Reduce 0.45% 28,282 0.01
C - Citigroup Inc. Reduce 0.48% 117 0.00
KCI - Kinetic Concepts, Inc. Reduce 4.06% 129,490 0.10
AON-W - Aon Corporation Reduce 6.35% 289,735 0.20
TWX - Time Warner, Inc. Reduce 6.48% 1,027,299 0.24
6683 - General Electric Company Reduce 6.84% 520,940 0.27
EP - El Paso Corporation Reduce 7.32% 1,086,830 0.27
TJX - TJX Companies Inc. Reduce 7.62% 2,000 0.00
NLOK - Symantec Corporation Reduce 9.62% 760,303 0.18
IVZ - Invesco Ltd Reduce 9.83% 798,773 0.36
MRKC - Merck & Co. Inc. Reduce 10.64% 1,000 0.00
DIS - Walt Disney Co. Reduce 12.17% 960,360 0.44
WDC - Western Digital Corporation Reduce 13.35% 697,434 0.30
NEM - Newmont Corp. Reduce 16.61% 444,098 0.31
UNM - Unum Group Reduce 18.13% 1,873,879 0.63
WM - Waste Management Inc. Reduce 30.04% 1,835,006 0.85
GT - Goodyear Tire & Rubber Company Reduce 36.28% 1,275,897 0.51
ABX - Barrick Gold Corporation Reduce 42.69% 1,642,132 0.98
BAX - Baxter International Inc. Reduce 45.68% 1,645,567 1.36
HAL - Halliburton Co. Reduce 56.41% 2,627,826 1.42
AAIG - American Intl Group, Inc. Reduce 99.50% 1,393,006 1.15
CZM - Cytec Industries, Inc............ Sell 100.00% 1,932,539 1.70
MO - Altria Group Inc. Sell 100.00% 9,150 0.01
SPNT - Sprint Nextel Corporation.... Sell 100.00% 26,527 0.01
KFT - Kraft Foods, Inc............ Sell 100.00% 6,331 0.00
Q4 2007
BRL - Barr Pharmaceuticals Inc............ Reduce 0.15% 6,972 0.01
6683 - General Electric Company........ Reduce 0.24% 18,371 0.01
RDS.A - Royal Dutch Shell PLC ADR............ Reduce 1.01% 15,126 0.02
CMCSA - Comcast Corp. Reduce 3.32% 331,828 0.11
WDC - Western Digital Corporation.... Reduce 6.53% 364,967 0.12
CZM - Cytec Industries, Inc............ Reduce 8.87% 188,022 0.17
AON-W - Aon Corporation.... Reduce 9.62% 485,676 0.29
TJX - TJX Companies Inc. Reduce 10.26% 3,000 0.00
AES - AES Corporation.... Reduce 15.05% 2,077,821 0.56
IPG - Interpublic Group of Cos............ Reduce 16.14% 3,501,488 0.49
BSX - Boston Scientific Reduce 17.06% 3,264,592 0.61
MRSH - Marsh Reduce 20.28% 1,305,583 0.44
GT - Goodyear Tire & Rubber Company........ Reduce 29.07% 1,440,843 0.59
NEM - Newmont Corp. Reduce 30.31% 1,162,672 0.69
ABX - Barrick Gold Corporation.... Reduce 37.85% 2,342,515 1.26
UN - Unilever NV ADR............ Reduce 38.80% 2,477,067 1.02
NLOK - Symantec Corporation.... Reduce 40.76% 5,441,001 1.41
BAC - Bank of America Corp. Reduce 43.68% 2,336,853 1.57
SUNW - Sun Microsystems Inc............ Reduce 45.69% 6,589,574 0.49
AAIG - American Intl Group, Inc..... Reduce 49.83% 1,390,763 1.26
C - Citigroup Inc. Reduce 99.05% 2,564,001 1.59
SPNT - Sprint Nextel Corporation.... Reduce 99.51% 5,408,801 1.37
APOL - Apollo Group, Inc............ Reduce 99.57% 2,327,539 1.87
AP09 - Invesco PLC ADR Sell 100.00% 7,314,273 2.67
COP - ConocoPhillips Sell 100.00% 1,649,663 1.94
APA - APA Corp. Sell 100.00% 464,597 0.56
JBL - Jabil Circuit, Inc Sell 100.00% 15,999 0.00
Q3 2007
BRL - Barr Pharmaceuticals Inc. Reduce 0.18% 8,421 0.01
6683 - General Electric Company Reduce 0.27% 20,900 0.01
WM - Waste Management Inc. Reduce 0.32% 19,195 0.01
MRSH - Marsh Reduce 2.32% 153,116 0.06
UN - Unilever NV ADR Reduce 2.60% 170,410 0.07
TWX - Time Warner, Inc. Reduce 5.14% 703,425 0.20
EP - El Paso Corporation Reduce 6.59% 948,260 0.22
FLEX - Flex Ltd. Reduce 8.96% 2,066,021 0.30
KCI - Kinetic Concepts, Inc. Reduce 13.05% 387,768 0.27
AAIG - American Intl Group, Inc. Reduce 16.20% 539,527 0.50
ABX - Barrick Gold Corporation Reduce 17.38% 1,302,184 0.50
LUV - Southwest Airlines Reduce 19.65% 3,014,965 0.60
COP - ConocoPhillips Reduce 20.10% 414,927 0.43
RDS.A - Royal Dutch Shell PLC ADR Reduce 24.57% 486,848 0.52
APOL - Apollo Group, Inc. Reduce 29.39% 972,765 0.76
SPNT - Sprint Nextel Corporation Reduce 31.35% 2,482,204 0.68
C - Citigroup Inc. Reduce 33.60% 1,310,094 0.89
APA - APA Corp. Reduce 53.06% 525,103 0.57
6684 - Hewlett-Packard Company Reduce 80.81% 3,352,820 1.99
HMC - Honda Motor Co. Ltd Sell 100.00% 5,155,944 2.48
6686 - Motorola Inc. Sell 100.00% 8,879,252 2.08
USB - U.S. Bancorp Sell 100.00% 4,213,612 1.84
HUB - Chubb Corporation Sell 100.00% 1,483,256 1.06
BRK.A - Berkshire Hathaway CL A Sell 100.00% 607 0.88
BRYG - Berkshire Hathaway, Inc. Cl B Sell 100.00% 3,169 0.15
LYO - Lyondell Chemical Company Sell 100.00% 17,500 0.01
BCE - BCE, Inc. New Sell 100.00% 6,405 0.00
Q2 2007
MRSH - Marsh Reduce 0.23% 15,190 0.01
SPNT - Sprint Nextel Corporation Reduce 0.43% 34,480 0.01
LUV - Southwest Airlines Reduce 1.07% 165,345 0.03
TXN - Texas Instruments Reduce 3.06% 145,504 0.06
BAC - Bank of America Corp. Reduce 5.31% 259,477 0.19
FNMA - Fannie Mae Reduce 6.31% 675 0.00
AON-W - Aon Corporation Reduce 8.24% 420,848 0.23
DIS - Walt Disney Co. Reduce 10.44% 677,500 0.33
JBL - Jabil Circuit, Inc Reduce 11.12% 2,001 0.00
LOW - Lowe's Cos. Reduce 11.36% 1,250 0.00
TJX - TJX Companies Inc. Reduce 11.36% 3,750 0.00
BCE - BCE, Inc. New Reduce 12.50% 915 0.00
CZN - Citizen's Communications Reduce 12.50% 5,500 0.00
TXT - Textron Incorporated Reduce 12.50% 500 0.00
MO - Altria Group Inc. Reduce 17.57% 1,950 0.00
UNM - Unum Group Reduce 21.52% 1,668,357 0.55
COP - ConocoPhillips Reduce 22.20% 589,136 0.58
UN - Unilever NV ADR Reduce 23.32% 1,993,583 0.83
BAX - Baxter International Inc. Reduce 28.57% 847,472 0.64
RDS.A - Royal Dutch Shell PLC ADR Reduce 28.59% 793,468 0.75
PFE - Pfizer Inc. Reduce 31.50% 2,872,749 1.04
USB - U.S. Bancorp Reduce 35.13% 2,281,996 1.14
APA - APA Corp. Reduce 56.68% 1,294,817 1.31
HUB - Chubb Corporation Reduce 66.81% 2,985,979 2.21
BRK.A - Berkshire Hathaway CL A Reduce 70.43% 1,446 2.25
BRYG - Berkshire Hathaway, Inc. Cl B Reduce 73.27% 8,688 0.45
LYO - Lyondell Chemical Company Reduce 99.25% 2,319,864 0.99
GNW - Genworth Financial, Inc. Sell 100.00% 5,051,389 2.53
AET - Aetna Life & Casualty Co. Sell 100.00% 3,474,135 2.18
MS - Morgan Stanley Sell 100.00% 1,263,216 1.42
FBOG - The Mosiac Company Sell 100.00% 3,341,171 1.28
TYI - Tyco International Ltd. Sell 100.00% 12,000 0.01
PLFE - Presidential Life Corporation Sell 100.00% 10,000 0.00
Q1 2007
6686 - Motorola Inc. Reduce 0.90% 64,742 0.02
UN - Unilever NV ADR Reduce 1.79% 156,223 0.06
UNM - Unum Group Reduce 2.15% 170,631 0.05
DIS - Walt Disney Co. Reduce 2.61% 173,772 0.09
TWX - Time Warner, Inc. Reduce 7.28% 995,488 0.32
COP - ConocoPhillips Reduce 7.40% 212,019 0.22
CI - Cigna Group Reduce 10.39% 142,038 0.27
GNW - Genworth Financial, Inc. Reduce 11.04% 626,861 0.31
HMC - Honda Motor Co. Ltd Reduce 16.53% 928,492 0.54
AON-W - Aon Corporation Reduce 17.82% 1,107,578 0.57
MS - Morgan Stanley Reduce 18.94% 295,084 0.35
KCI - Kinetic Concepts, Inc. Reduce 20.81% 695,592 0.40
FBOG - The Mosiac Company Reduce 22.97% 996,313 0.31
BAX - Baxter International Inc. Reduce 25.63% 1,022,367 0.69
LYO - Lyondell Chemical Company Reduce 67.54% 4,862,896 1.82
WMT - Walmart Inc. Sell 100.00% 2,430,588 1.64
CSX - CSX Corp. Sell 100.00% 2,648,477 1.33
WATS - Watson Pharmaceuticals, Inc. Sell 100.00% 2,534,305 0.96
ABKFQ - Ambac Financial Group, Inc Sell 100.00% 5,500 0.01
Q4 2006
USB - U.S. Bancorp Reduce 0.39% 24,182 0.01
BAC - Bank of America Corp. Reduce 0.45% 18,045 0.02
UN - Unilever NV ADR Reduce 0.57% 50,202 0.02
AES - AES Corporation Reduce 0.73% 56,592 0.02
IPG - Interpublic Group of Cos. Reduce 0.88% 165,056 0.03
LYO - Lyondell Chemical Company Reduce 1.72% 125,783 0.05
BRK.A - Berkshire Hathaway CL A Reduce 2.67% 55 0.08
6686 - Motorola Inc. Reduce 4.63% 348,544 0.14
DIS - Walt Disney Co. Reduce 5.27% 370,388 0.18
MS - Morgan Stanley Reduce 7.57% 127,597 0.15
C - Citigroup Inc. Reduce 7.68% 2,000 0.00
CI - Cigna Group Reduce 8.79% 131,702 0.24
6684 - Hewlett-Packard Company Reduce 10.26% 420,011 0.24
NLOK - Symantec Corporation Reduce 11.08% 1,273,359 0.42
TWX - Time Warner, Inc. Reduce 14.83% 2,379,003 0.68
BAX - Baxter International Inc. Reduce 18.58% 909,857 0.65
AET - Aetna Life & Casualty Co. Reduce 23.09% 1,041,901 0.64
MRSH - Marsh Reduce 24.10% 1,159,893 0.51
CSX - CSX Corp. Reduce 37.17% 1,566,723 0.80
RDS.A - Royal Dutch Shell PLC ADR Reduce 40.22% 1,066,650 1.10
BSX - Boston Scientific Reduce 44.55% 7,338,652 1.70
KCI - Kinetic Concepts, Inc. Reduce 44.65% 2,696,922 1.33
SPNT - Sprint Nextel Corporation Reduce 45.52% 5,954,285 1.59
FBOG - The Mosiac Company Reduce 47.76% 3,964,819 1.05
WATS - Watson Pharmaceuticals, Inc. Reduce 51.04% 2,641,494 1.08
8222737Q - Freescale Semiconductor Inc. A Sell 100.00% 5,173,730 3.08
WMB - Williams Cos. Sell 100.00% 2,904,864 1.08
LAB - Standard Biotools Inc Sell 100.00% 13,000 0.01
DGX - Quest Diagnostics Sell 100.00% 4,000 0.00
Q2 2006
LUV - Southwest Airlines Sell 100.00% 12,656,546 3.74
A - Agilent Technologies Sell 100.00% 10,136,020 3.72
WM - Waste Management Inc. Sell 100.00% 5,920,988 3.44
TWX - Time Warner, Inc..... Sell 100.00% 12,090,730 3.34
8222737Q - Freescale Semiconductor Inc. A.................. Sell 100.00% 7,092,252 3.24
NLOK - Symantec Corporation........ Sell 100.00% 11,470,364 3.17
DIS - Walt Disney Co. Sell 100.00% 6,881,952 3.15
CI - Cigna Group Sell 100.00% 1,455,661 3.13
MRSH - Marsh Sell 100.00% 6,482,604 3.13
AON-W - Aon Corporation...... Sell 100.00% 4,522,248 3.09
HMC - Honda Motor Co....... Ltd................ Sell 100.00% 5,998,683 3.05
2860436Q - Liberty Media Corporation........ Sell 100.00% 22,006,285 2.97
BAC - Bank of America Corp. Sell 100.00% 3,901,825 2.92
BAX - Baxter International Inc. Sell 100.00% 4,574,622 2.92
USB - U.S. Bancorp Sell 100.00% 5,769,173 2.89
UN - Unilever NV ADR...... Sell 100.00% 2,532,667 2.88
RDS.A - Royal Dutch Shell PLC ADR............ Sell 100.00% 2,793,981 2.86
MS - Morgan Stanley Sell 100.00% 2,625,503 2.71
BSX - Boston Scientific Sell 100.00% 7,018,479 2.66
WATS - Watson Pharmaceuticals, Inc................ Sell 100.00% 5,632,162 2.66
GNW - Genworth Financial, Inc................ Sell 100.00% 4,674,347 2.57
UNM - Unum Group Sell 100.00% 7,605,591 2.56
WMB - Williams Cos. Sell 100.00% 7,033,068 2.47
IPG - Interpublic Group of Cos................ Sell 100.00% 15,363,565 2.41
SPNT - Sprint Nextel Corporation........ Sell 100.00% 5,685,868 2.41
PFE - Pfizer Inc. Sell 100.00% 5,030,090 2.06
HUB - Chubb Corporation.... Sell 100.00% 1,289,589 2.02
FBOG - The Mosiac Company... Sell 100.00% 8,079,943 1.91
LYO - Lyondell Chemical Company............ Sell 100.00% 5,771,837 1.89
LAB - Standard Biotools Inc Sell 100.00% 1,958,325 1.88
CSX - CSX Corp. Sell 100.00% 1,886,032 1.85
TMO - Thermo Fisher Scientific Sell 100.00% 2,710,263 1.65
JBLU - JetBlue Airways Corp. Sell 100.00% 9,285,362 1.64
TYI - Tyco International Ltd................ Sell 100.00% 3,658,661 1.62
FLEX - Flex Ltd. Sell 100.00% 9,283,907 1.58
6684 - Hewlett-Packard Company............ Sell 100.00% 2,900,795 1.57
AET - Aetna Life & Casualty Co........ Sell 100.00% 1,924,421 1.55
EP - El Paso.............. Corporation........ Sell 100.00% 7,337,302 1.45
BRK.A - Berkshire Hathaway CL A Sell 100.00% 927 1.38
DBDQQ - Diebold Inc.......... Sell 100.00% 1,826,967 1.23
KCI - Kinetic Concepts, Inc................ Sell 100.00% 485,536 0.33
BRYG - Berkshire Hathaway, Inc. Cl B.......... Sell 100.00% 3,789 0.19
C - Citigroup Inc. Sell 100.00% 30,053 0.02
MO - Altria Group Inc. Sell 100.00% 13,100 0.02
ABKFQ - Ambac Financial Group, Inc......... Sell 100.00% 5,500 0.01
CZN - Citizen's Communications..... Sell 100.00% 44,000 0.01
FNMA - Fannie Mae........... Sell 100.00% 10,700 0.01
MRKC - Merck & Co. Inc...... Sell 100.00% 9,400 0.01
TJX - TJX Companies Inc. Sell 100.00% 33,000 0.01
TXT - Textron Incorporated....... Sell 100.00% 8,000 0.01
PLFE - Presidential Life Corporation........ Sell 100.00% 10,000 0.00
DGX - Quest Diagnostics Sell 100.00% 4,000 0.00
Q1 2006
EP - El Paso.............. Corporation........ Reduce 1.92% 143,693 0.04
TWX - Time Warner, Inc..... Reduce 2.94% 365,738 0.14
USB - U.S. Bancorp Reduce 3.11% 185,082 0.13
LYO - Lyondell Chemical Company............ Reduce 5.13% 312,172 0.17
PFE - Pfizer Inc. Reduce 6.20% 332,464 0.18
A - Agilent Technologies Reduce 8.16% 900,768 0.42
UNM - Unum Group Reduce 9.54% 801,663 0.41
CI - Cigna Group Reduce 13.93% 235,650 0.60
AON-W - Aon Corporation...... Reduce 14.51% 767,730 0.62
HUB - Chubb Corporation.... Reduce 20.66% 335,820 0.74
6684 - Hewlett-Packard Company............ Reduce 25.55% 995,342 0.64
DBDQQ - Diebold Inc.......... Reduce 28.12% 714,801 0.62
LAB - Standard Biotools Inc Reduce 32.97% 963,297 1.17
CSX - CSX Corp. Reduce 36.90% 1,103,083 1.27
TYI - Tyco International Ltd................ Reduce 37.12% 2,160,175 1.41
TMO - Thermo Fisher Scientific Reduce 43.11% 2,053,872 1.40
MCD - McDonald's Corp. Sell 100.00% 3,466,894 2.65
DCNAQ - Dana Corporation COMMON Sell 100.00% 11,151 0.00
Q4 2005
UNM - Unum Group Reduce 2.99% 258,708 0.13
AET - Aetna Life & Casualty Co. COMMON Reduce 4.73% 59,805 0.13
BAX - Baxter International Inc. Reduce 5.57% 186,615 0.18
AON-W - Aon Corporation COMMON Reduce 7.01% 398,760 0.31
TYI - Tyco International Ltd. COMMON Reduce 10.27% 666,131 0.46
TMO - Thermo Fisher Scientific Reduce 13.51% 744,023 0.56
WM - Waste Management Inc. Reduce 13.99% 907,096 0.64
HUB - Chubb Corporation COMMON Reduce 14.36% 272,449 0.60
6684 - Hewlett-Packard Company COMMON Reduce 19.85% 965,014 0.69
MRKC - Merck & Co. Inc. COMMON Reduce 34.72% 5,000 0.00
IPG - Interpublic Group of Cos. COMMON Reduce 41.46% 5,876,993 1.68
FLEX - Flex Ltd. Reduce 66.60% 8,982,680 2.83
DCNAQ - Dana Corporation COMMON Reduce 99.47% 2,097,223 0.49
995626Q - Chiron Corporation COMMON Sell 100.00% 3,338,471 3.57
1396 - Georgia Pacific Corporation COMMON Sell 100.00% 3,048,606 2.55
3394444Q - BCE Inc. COMMON Sell 100.00% 8,000 0.01
LUMN - Lumen Technologies Inc. Sell 100.00% 13,000 0.01
Q3 2004
FMCC - Freddie Mac COMMON Sell 100.00% 2,481,850 4.68
DVN - Devon Energy Corp. Sell 100.00% 2,029,184 3.99
TYI - Tyco International Ltd. COMMON Sell 100.00% 3,920,374 3.87
USB - U.S. Bancorp Sell 100.00% 4,596,167 3.77
CI - Cigna Group Sell 100.00% 1,771,737 3.63
MRO - Marathon Oil Corporation COMMON Sell 100.00% 3,220,613 3.63
SPXC* - SPX Corporation COMMON Sell 100.00% 2,551,695 3.53
BAX - Baxter International Inc. Sell 100.00% 3,424,431 3.52
TWX - Time Warner, Inc. COMMON Sell 100.00% 6,721,893 3.52
HUB - Chubb Corporation COMMON Sell 100.00% 1,699,455 3.45
2860436Q - Liberty Media Corporation COMMON Sell 100.00% 12,484,123 3.34
IPG - Interpublic Group of Cos. COMMON Sell 100.00% 8,146,785 3.33
HAL - Halliburton Co. Sell 100.00% 3,669,106 3.31
6684 - Hewlett-Packard Company COMMON Sell 100.00% 5,251,841 3.30
1396 - Georgia Pacific Corporation COMMON Sell 100.00% 2,984,904 3.29
AET - of Number x $1000 Sole Shared Other Sole Shared None Class (A) (B) (C) (A) (B) (C) - ------------------------------------------------------------------------------------------------------------------------------------ Aetna Life & Casualty Co. COMMON Sell 100.00% 1,296,166 3.28
CMA - Comerica, Inc. COMMON Sell 100.00% 1,979,995 3.24
LAB - Standard Biotools Inc Sell 100.00% 2,707,108 3.20
TMO - Thermo Fisher Scientific Sell 100.00% 3,481,434 3.19
WM - Waste Management Inc. Sell 100.00% 3,373,242 3.08
EP - El Paso Corporation COMMON Sell 100.00% 12,566,667 2.95
LUMN - Lumen Technologies Inc. Sell 100.00% 3,199,249 2.86
LCX - L-3 Communications Holdings Inc COMMON Sell 100.00% 1,421,214 2.83
SWY - Safeway, Inc. COMMON Sell 100.00% 3,590,366 2.71
COP - ConocoPhillips Sell 100.00% 1,160,323 2.64
HMC - Honda Motor Co. Ltd COMMON Sell 100.00% 3,531,379 2.56
NOK - Nokia Corp. Sell 100.00% 5,824,370 2.52
WATS - Watson Pharmaceuticals, Inc. COMMON Sell 100.00% 2,948,335 2.36
DCNAQ - Dana Corporation COMMON Sell 100.00% 3,917,115 2.29
MCD - McDonald's Corp. Sell 100.00% 2,608,800 2.02
CZN - Citizen's Communications COMMON Sell 100.00% 3,890,409 1.40
TRW - TRW Automotive Holdings Co COMMON Sell 100.00% 2,405,300 1.35
TXT - Textron Incorporated COMMON Sell 100.00% 748,415 1.32
MO - Altria Group Inc. Sell 100.00% 18,100 0.03
MRKC - Merck & Co. Inc. COMMON Sell 100.00% 14,400 0.02
SPNT - Sprint Corporation COMMON Sell 100.00% 29,500 0.02
3423152Q - Electronic Data Systems Co. COMMON Sell 100.00% 20,000 0.01
PLFE - Presidential Life Corporation COMMON Sell 100.00% 10,000 0.01
Q2 2004
BAX - Baxter International Inc. Reduce 6.27% 228,969 0.21
TMO - Thermo Fisher Scientific Reduce 7.11% 266,366 0.23
MCD - McDonald's Corp. Reduce 8.07% 228,900 0.20
TRW - TRW Automotive Holdings Co COMMON Reduce 8.25% 216,400 0.14
1396 - Georgia Pacific Corporation COMMON Reduce 14.64% 512,096 0.52
COP - ConocoPhillips Reduce 20.47% 298,677 0.63
CZN - Citizen's Communications COMMON Reduce 33.83% 1,988,991 0.78
TXT - Textron Incorporated COMMON Reduce 47.97% 689,939 1.11
OCR - Omnicare, Inc. COMMON Sell 100.00% 1,749,000 2.35
MBI - MBIA Inc. Sell 100.00% 851,300 1.62
DGX - Quest Diagnostics Sell 100.00% 614,700 1.55
EFX - Equifax Inc. Sell 100.00% 1,844,500 1.45
FNMA - Fannie Mae COMMON Sell 100.00% 14,700 0.03
KBH - KB Home Corporation COMMON Sell 100.00% 11,000 0.03
Q1 2004
DCNAQ - Dana Corporation COMMON Reduce 0.18% 7,000 0.00
1396 - Georgia Pacific Corporation COMMON Reduce 0.77% 27,000 0.03
OCR - Omnicare, Inc. COMMON Reduce 0.79% 13,900 0.02
MCD - McDonald's Corp. Reduce 1.49% 43,000 0.03
TXT - Textron Incorporated COMMON Reduce 1.72% 25,200 0.05
TYI - Tyco International Ltd. COMMON Reduce 5.63% 230,600 0.20
TMO - Thermo Fisher Scientific Reduce 6.09% 242,900 0.20
MBI - MBIA Inc. Reduce 6.24% 56,700 0.11
LCX - L-3 Communications Holdings Inc.COMMON Reduce 9.69% 150,700 0.25
FMCC - Freddie Mac COMMON Reduce 9.78% 192,500 0.37
MO - Altria Group Inc. Reduce 9.95% 2,000 0.00
AET - - ------------------------------------------------------------------------------------------------------------------------------------ Item 1 Item 2 Item 3 Item 4 Item 5 Item 6 Item 7 Item 8 of Number x $1000 Sole Shared Other Sole Shared None Class (A) (B) (C) (A) (B) (C) - ------------------------------------------------------------------------------------------------------------------------------------ Aetna Life & Casualty Co. COMMON Reduce 12.11% 170,300 0.38
DGX - Quest Diagnostics Reduce 19.07% 144,800 0.35
FNMA - Fannie Mae COMMON Reduce 21.39% 4,000 0.01
EFX - Equifax Inc. Reduce 42.25% 1,349,700 1.08
WFC - Wells Fargo Sell 100.00% 1,685,900 3.24
TXU - TXU Corporation COMMON Sell 100.00% 3,617,500 2.80
RSG - Republic Services Inc. COMMON Sell 100.00% 2,884,600 2.41
WFTG - Weatherford International Ltd. COMMON Sell 100.00% 859,200 1.01
NHL - Newhall Land & Farming Co. COMMON Sell 100.00% 11,000 0.01
Q4 2003
MBI - MBIA Inc. Reduce 0.14% 1,300 0.00
MCD - McDonald's Corp. Reduce 0.36% 10,500 0.01
TYI - Tyco International Ltd. COMMON Reduce 0.54% 22,400 0.02
NOK - Nokia Corp. Reduce 0.58% 27,700 0.02
LAB - Standard Biotools Inc Reduce 0.63% 15,200 0.02
COP - ConocoPhillips Reduce 0.72% 10,100 0.02
LUMN - Lumen Technologies Inc. Reduce 0.73% 16,900 0.02
TXU - TXU Corporation COMMON Reduce 0.84% 30,700 0.03
TMO - Thermo Fisher Scientific Reduce 0.87% 34,900 0.03
AET - - ------------------------------------------------------------------------------------------------------------------------------------ Item 1 Item 2 Item 3 Item 4 Item 5 Item 6 Item 7 Item 8 of Number x $1000 Sole Shared Other Sole Shared None Class (A) (B) (C) (A) (B) (C) - ------------------------------------------------------------------------------------------------------------------------------------ Aetna Life & Casualty Co. COMMON Reduce 0.88% 12,500 0.03
RSG - Republic Services Inc. COMMON Reduce 1.01% 29,300 0.03
CZN - Citizen's Communications COMMON Reduce 1.02% 54,700 0.02
IPG - Interpublic Group of Cos. COMMON Reduce 1.07% 73,100 0.04
HAL - Halliburton Co. Reduce 1.55% 49,200 0.05
1396 - Georgia Pacific Corporation COMMON Reduce 6.53% 246,200 0.24
SPXC* - SPX Corporation COMMON Reduce 11.81% 234,000 0.42
MRO - Marathon Oil Corporation COMMON Reduce 12.06% 372,200 0.42
OCR - Omnicare, Inc. COMMON Reduce 14.84% 307,200 0.44
WATS - Watson Pharmaceuticals, Inc. COMMON Reduce 15.57% 396,600 0.66
WFTG - Weatherford International Ltd. COMMON Reduce 31.55% 396,000 0.60
SWY - Safeway, Inc. COMMON Reduce 49.44% 1,447,300 1.32
KG - King Pharmaceuticals, Inc. COMMON Sell 100.00% 3,591,600 2.16
AON-W - Aon Corporation COMMON Sell 100.00% 1,823,400 1.51
GR - Goodrich Corporation COMMON Sell 100.00% 849,300 0.82
3605818Q - HCA Inc COMMON Sell 100.00% 293,200 0.43
NFB - North Fork Bancorp COMMON Sell 100.00% 210,200 0.29
Q3 2003
EFX - Equifax Inc. Reduce 0.46% 14,700 0.01
WFTG - Weatherford International Ltd. COMMON Reduce 1.95% 25,000 0.04
FMCC - Freddie Mac COMMON Reduce 2.73% 49,500 0.09
MBI - MBIA Inc. Reduce 7.62% 75,000 0.14
AET - - ------------------------------------------------------------------------------------------------------------------------------------ Item 1 Item 2 Item 3 Item 4 Item 5 Item 6 Item 7 Item 8 of Number x $1000 Sole Shared Other Sole Shared None Class (A) (B) (C) (A) (B) (C) - ------------------------------------------------------------------------------------------------------------------------------------ Aetna Life & Casualty Co. COMMON Reduce 9.44% 148,000 0.33
HAL - Halliburton Co. Reduce 9.59% 336,500 0.29
DCNAQ - Dana Corporation COMMON Reduce 9.63% 377,100 0.16
TXU - TXU Corporation COMMON Reduce 10.27% 417,400 0.35
MRO - Marathon Oil Corporation COMMON Reduce 10.41% 358,500 0.35
SPXC* - SPX Corporation COMMON Reduce 10.92% 243,000 0.40
TMO - Thermo Fisher Scientific Reduce 10.97% 495,900 0.39
TYI - Tyco International Ltd. COMMON Reduce 11.05% 511,900 0.36
SWY - Safeway, Inc. COMMON Reduce 11.18% 368,500 0.28
TXT - Textron Incorporated COMMON Reduce 11.48% 178,000 0.26
2860436Q - Liberty Media Corporation COMMON Reduce 11.57% 999,500 0.43
LUMN - Lumen Technologies Inc. Reduce 13.41% 357,900 0.46
KG - King Pharmaceuticals, Inc. COMMON Reduce 13.61% 565,800 0.31
RSG - Republic Services Inc. COMMON Reduce 14.66% 500,400 0.42
IPG - Interpublic Group of Cos. COMMON Reduce 16.47% 1,345,500 0.67
CZN - Citizen's Communications COMMON Reduce 19.54% 1,303,100 0.62
MCD - McDonald's Corp. Reduce 21.18% 776,900 0.64
WATS - Watson Pharmaceuticals, Inc. COMMON Reduce 21.32% 690,300 1.03
OCR - Omnicare, Inc. COMMON Reduce 35.78% 1,153,100 1.45
GR - Goodrich Corporation COMMON Reduce 42.28% 622,100 0.49
3605818Q - HCA Inc COMMON Reduce 46.88% 258,800 0.31
AON-W - Aon Corporation COMMON Reduce 56.90% 2,407,400 2.15
3423152Q - Electronic Data Systems Co. COMMON Reduce 99.33% 2,954,300 2.35
SPL - Schering Plough Inc. COMMON Sell 100.00% 3,186,900 2.20
DUK - Duke Energy Corporation COMMON Sell 100.00% 2,572,000 1.90
RX - IMS Health, Inc. COMMON Sell 100.00% 2,437,900 1.63
BEC - Beckman Coulter, Inc COMMON Sell 100.00% 324,200 0.49
CY - Cypress Semiconductor Corp. COMMON Sell 100.00% 441,800 0.20
Q2 2003
IPG - Interpublic Group of Cos. COMMON Reduce 0.28% 23,100 0.01
DUK - Duke Energy Corporation COMMON Reduce 4.17% 111,900 0.09
TXU - TXU Corporation COMMON Reduce 4.46% 189,600 0.18
TYI - Tyco International Ltd. COMMON Reduce 4.99% 243,500 0.16
AET - - ------------------------------------------------------------------------------------------------------------------------------------ Item 1 Item 2 Item 3 Item 4 Item 5 Item 6 Item 7 Item 8 of Number x $1000 Sole Shared Other Sole Shared None Class (A) (B) (C) (A) (B) (C) - ------------------------------------------------------------------------------------------------------------------------------------ Aetna Life & Casualty Co. COMMON Reduce 12.12% 216,200 0.56
MCD - McDonald's Corp. Reduce 19.42% 884,000 0.67
FNMA - Fannie Mae COMMON Reduce 21.10% 5,000 0.02
BAX - Baxter International Inc. Reduce 28.90% 834,400 0.81
3423152Q - Electronic Data Systems Co. COMMON Reduce 29.82% 1,263,800 1.16
BEC - Beckman Coulter, Inc COMMON Reduce 61.40% 515,700 0.91
CY - Cypress Semiconductor Corp. COMMON Reduce 72.26% 1,151,000 0.41
SPNT - Sprint Corporation COMMON Reduce 98.55% 2,002,900 1.23
KR - Kroger Co. Sell 100.00% 3,182,800 2.19
THC - Tenet Healthcare Corp. Sell 100.00% 27,000 0.02
Q1 2003
TYI - Tyco International Ltd. COMMON Reduce 0.42% 20,500 0.02
TMO - Thermo Fisher Scientific Reduce 0.93% 36,300 0.03
DCNAQ - Dana Corporation COMMON Reduce 1.71% 57,900 0.03
AON-W - A O N Corporation COMMON Reduce 1.80% 72,900 0.06
KR - Kroger Co. Reduce 4.38% 145,800 0.10
SWY - Safeway, Inc. COMMON Reduce 4.48% 119,600 0.13
WATS - Watson Pharmaceuticals, Inc. COMMON Reduce 4.68% 127,100 0.16
OCR - Omnicare, Inc. COMMON Reduce 6.62% 202,200 0.22
3423152Q - Electronic Data Systems Co. COMMON Reduce 6.98% 317,900 0.26
TXT - Textron Incorporated COMMON Reduce 13.41% 225,600 0.44
DUK - Duke Energy Corporation COMMON Reduce 13.49% 418,500 0.37
MRO - Marathon Oil Corporation COMMON Reduce 17.24% 668,000 0.64
2860436Q - Liberty Media Corporation COMMON Reduce 18.29% 1,753,400 0.71
AET - - ------------------------------------------------------------------------------------------------------------------------------------ Item 1 Item 2 Item 3 Item 4 Item 5 Item 6 Item 7 Item 8 of Number x $1000 Sole Shared Other Sole Shared None Class (A) (B) (C) (A) (B) (C) - ------------------------------------------------------------------------------------------------------------------------------------ Aetna Life & Casualty Co. COMMON Reduce 18.76% 411,900 0.76
LUMN - Lumen Technologies Inc. Reduce 19.60% 607,200 0.80
RSG - Republic Services Inc. COMMON Reduce 21.72% 783,500 0.74
THC - Tenet Healthcare Corp. Reduce 25.00% 9,000 0.01
FMCC - Freddie Mac COMMON Reduce 25.65% 357,900 0.95
CZN - Citizen's Communications COMMON Reduce 26.10% 2,187,500 1.04
HAL - Halliburton Co. Reduce 26.62% 1,089,100 0.92
MBI - MBIA Inc. Reduce 46.46% 675,800 1.33
CY - Cypress Semiconductor Corp. COMMON Reduce 51.87% 1,716,800 0.44
RX - IMS Health, Inc. COMMON Reduce 53.24% 2,478,700 1.78
SPNT - Sprint Corporation COMMON Reduce 64.93% 3,763,200 2.45
USB - U.S. Bancorp Sell 100.00% 2,944,000 2.81
ETN - Eaton Corp. Sell 100.00% 697,100 2.45
NCC - National City Corporation COMMON Sell 100.00% 1,513,700 1.86
BMY - Bristol-Myers Squibb Sell 100.00% 1,246,400 1.30
KMB - Kimberly-Clark Sell 100.00% 279,400 0.60
3605818Q - HCA, Inc. COMMON Sell 100.00% 123,000 0.23
WC - WellChoice Incorporated COMMON Sell 100.00% 60,000 0.06
2951 - Philip Morris Co.s Inc. COMMON Sell 100.00% 20,100 0.04
Q4 2002
OCR - Omnicare, Inc. COMMON Reduce 3.62% 114,500 0.12
TXT - Textron Incorporated COMMON Reduce 3.99% 70,000 0.11
WATS - Watson Pharmaceuticals, Inc. COMMON Reduce 4.08% 115,500 0.14
USB - U.S. Bancorp Reduce 4.14% 127,300 0.11
TMO - Thermo Fisher Scientific Reduce 4.18% 169,500 0.13
HAL - Halliburton Co. Reduce 4.19% 178,900 0.11
LUMN - Lumen Technologies Inc. Reduce 4.34% 140,500 0.15
ETN - Eaton Corp. Reduce 5.04% 37,000 0.11
2860436Q - Liberty Media Corporation COMMON Reduce 6.71% 689,200 0.24
CZN - Citizen's Communications COMMON Reduce 7.44% 674,200 0.22
SPNT - Sprint Corporation COMMON Reduce 11.00% 716,600 0.31
EFX - Equifax Inc. Reduce 11.02% 285,700 0.30
SWY - Safeway, Inc. COMMON Reduce 12.40% 378,000 0.41
RSG - Republic Services Inc. COMMON Reduce 15.93% 683,400 0.62
3423152Q - Electronic Data Systems Co. COMMON Reduce 16.26% 884,900 0.59
CY - Cypress Semiconductor Corp. COMMON Reduce 22.10% 938,900 0.30
KR - Kroger Co. Reduce 22.75% 980,000 0.66
2951 - Philip Morris Co.s Inc. COMMON Reduce 25.83% 7,000 0.01
BMY - Bristol-Myers Squibb Reduce 54.19% 1,474,600 1.69
KMB - Kimberly-Clark Reduce 73.06% 757,700 2.06
3605818Q - HCA, Inc. COMMON Reduce 92.14% 1,442,300 3.30
ALL - Allstate Corp. Sell 100.00% 2,671,500 4.56
BSX - Boston Scientific Sell 100.00% 2,381,100 3.61
CFC - Countrywide Credit Industries COMMON Sell 100.00% 1,043,600 2.36
EP - El Paso Corporation COMMON Sell 100.00% 2,044,000 0.81
GATX - GATX Corporation COMMON Sell 100.00% 756,800 0.72
3424335Q - Storage Technology Corporation COMMON Sell 100.00% 740,900 0.37
3621240Q - Bank One Corporation COMMON Sell 100.00% 28,000 0.05
Q3 2002
RSG - Republic Services Inc. COMMON Reduce 1.58% 69,000 0.05
MBI - MBIA Inc. Reduce 2.64% 31,100 0.07
3605818Q - HCA, Inc. COMMON Reduce 2.82% 45,500 0.08
ETN - Eaton Corp. Reduce 2.85% 21,500 0.06
TMO - Thermo Fisher Scientific Reduce 3.88% 163,900 0.11
EFX - Equifax Inc. Reduce 7.69% 216,100 0.23
SPNT - Sprint Corporation COMMON Reduce 8.49% 604,000 0.25
BSX - Boston Scientific Reduce 11.34% 304,500 0.35
GATX - GATX Corporation COMMON Reduce 13.82% 121,400 0.14
TXT - Textron Incorporated COMMON Reduce 15.42% 319,400 0.59
FMCC - Freddie Mac COMMON Reduce 25.64% 372,000 0.89
3424335Q - Storage Technology Corporation COMMON Reduce 36.26% 421,400 0.26
EP - El Paso Corporation COMMON Reduce 48.24% 1,904,700 1.53
AFL - AFLAC Inc. Sell 100.00% 2,887,500 3.61
CVS - CVS Health Corp. Sell 100.00% 997,400 1.19
4621824Q - Kinder Morgan Inc. COMMON Sell 100.00% 464,300 0.69
OHP - Oxford Health Plans, Inc. COMMON Sell 100.00% 181,800 0.33
769210Q - Premcor, Incorporated COMMON Sell 100.00% 75,000 0.08
Q2 2002
LUMN - Lumen Technologies Inc. Reduce 1.10% 35,200 0.04
TMO - Thermo Fisher Scientific Reduce 1.16% 49,700 0.04
OCR - Omnicare, Inc. COMMON Reduce 1.81% 57,100 0.05
IPG - Interpublic Group of Cos. COMMON Reduce 3.06% 104,000 0.13
FNMA - Fannie Mae COMMON Reduce 4.05% 1,000 0.00
TXT - Textron Incorporated COMMON Reduce 5.20% 113,700 0.21
MBI - MBIA Inc. Reduce 9.21% 119,400 0.23
3605818Q - HCA, Inc. COMMON Reduce 9.42% 167,600 0.26
KR - Kroger Co. Reduce 11.44% 553,900 0.44
EFX - Equifax Inc. Reduce 11.86% 377,900 0.40
AON-W - A O N Corporation COMMON Reduce 13.33% 393,900 0.49
3424335Q - Storage Technology CorporationCOMMON Reduce 14.79% 201,700 0.15
ETN - Eaton Corp. Reduce 14.85% 131,800 0.38
RSG - Republic Services Inc. COMMON Reduce 18.12% 964,500 0.64
4621824Q - Kinder Morgan Inc. COMMON Reduce 21.06% 123,900 0.21
USB - U.S. Bancorp Reduce 46.43% 2,261,600 1.82
OHP - Oxford Health Plans, Inc. COMMON Reduce 84.39% 982,900 1.46
DUK - Duke Energy Corporation COMMON Sell 100.00% 2,053,500 2.76
CEG - Constellation Energy Corp. Sell 100.00% 2,507,100 2.75
JPM - JPMorgan Chase & Co. Sell 100.00% 729,400 0.92
LYO - Lyondell Chemical Company COMMON Sell 100.00% 1,017,200 0.60
DOV - Dover Corp. Sell 100.00% 366,500 0.53
CD - Cendant Corporation COMMON Sell 100.00% 760,600 0.52
DIS - Walt Disney Co. Sell 100.00% 96,800 0.08
LTRC - Carolina Group COMMON Sell 100.00% 75,000 0.08
MAS - Masco Corp. Sell 100.00% 16,500 0.02
BMC - BMC Software COMMON Sell 100.00% 16,500 0.01
IBM - International Business Machines Corp. Sell 100.00% 2,048 0.01
Q1 2002
USB - U.S. Bancorp Reduce 0.45% 22,000 0.02
ETN - Eaton Corp. Reduce 3.14% 28,800 0.08
2951 - Philip Morris Co.s Inc. COMMON Reduce 3.56% 1,000 0.00
MBI - MBIA Inc. Reduce 4.33% 58,700 0.13
LUMN - Lumen Technologies Inc. Reduce 10.70% 383,100 0.59
3423152Q - Electronic Data Systems Co. COMMON Reduce 14.50% 243,200 0.64
KMB - Kimberly-Clark Reduce 15.98% 195,300 0.55
FMCC - Freddie Mac COMMON Reduce 22.33% 299,300 0.89
3605818Q - HCA, Inc. COMMON Reduce 25.14% 597,100 1.21
BSX - Boston Scientific Reduce 32.70% 844,600 0.79
CEG - Constellation Energy Corp. Reduce 35.12% 1,357,300 1.50
DOV - Dover Corp. Reduce 54.45% 438,100 0.60
4621824Q - Kinder Morgan Inc. COMMON Reduce 60.36% 895,700 2.02
OHP - Oxford Health Plans, Inc. COMMON Reduce 61.00% 1,822,000 2.37
EP - El Paso Corporation COMMON Reduce 72.14% 1,654,400 3.15
CD - Cendant Corporation COMMON Reduce 83.85% 3,947,800 2.31
FNMA - Fannie Mae COMMON Reduce 98.06% 1,249,700 4.58
GDT - Guidant Corporation COMMON Sell 100.00% 1,866,100 3.29
SPL - Schering Plough Inc. COMMON Sell 100.00% 1,716,000 2.92
MTG - MGIC Investment Corp. Sell 100.00% 882,400 2.64
CIN - Cinergy Corp. COMMON Sell 100.00% 1,134,400 1.60
SLE - Sara Lee Corp. COMMON Sell 100.00% 1,199,300 1.17
SCG - SCANA Corporation New COMMON Sell 100.00% 555,800 0.65
3014795Q - Grant Prideco Inc. COMMON Sell 100.00% 1,722,100 0.48
CDN1 - Arbitron Inc. COMMON Sell 100.00% 149,500 0.18
ENERQ - Energy Conversion Devices COMMON Sell 100.00% 18,500 0.01
Q3 2001
AON-W - A O N Corporation COMMON Reduce 0.89% 25,900 0.04
USB - U.S. Bancorp Reduce 2.04% 102,000 0.09
CZN - Citizen's Communications C COMMON Reduce 2.24% 136,500 0.06
FMCC - Freddie Mac COMMON Reduce 2.26% 31,000 0.09
KMB - Kimberly-Clark Reduce 2.36% 29,500 0.06
RSG - Republic Services Inc. COMMON Reduce 2.40% 114,000 0.09
CDN1 - Arbitron Inc. COMMON Reduce 5.56% 8,800 0.01
LUMN - Lumen Technologies Inc. Reduce 5.99% 228,000 0.27
ETN - Eaton Corp. Reduce 7.89% 78,500 0.22
OHP - Oxford Health Plans, Inc. COMMON Reduce 9.94% 329,500 0.37
3423152Q - Electronic Data Systems Co. COMMON Reduce 10.06% 187,600 0.46
DUK - Duke Energy Corporation COMMON Reduce 10.55% 151,700 0.23
3605818Q - HCA, Inc. COMMON Reduce 20.27% 603,800 1.07
CD - Cendant Corporation COMMON Reduce 20.56% 1,218,900 0.93
BSX - Boston Scientific Reduce 22.25% 739,000 0.49
SPNT - Sprint Corporation COMMON Reduce 28.42% 1,347,900 1.13
EFX - Equifax Inc. Reduce 28.89% 788,500 1.13
MBI - MBIA Inc. Reduce 33.67% 687,900 1.50
ALL - Allstate Corp. Reduce 40.98% 1,046,600 1.80
MTG - MGIC Investment Corp. Reduce 41.49% 625,800 1.78
KR - Kroger Co. Reduce 41.58% 114,400 0.11
DOV - Dover Corp. Reduce 44.36% 641,400 0.94
CIN - Cinergy Corp. COMMON Reduce 46.77% 996,700 1.37
SLE - Sara Lee Corp. COMMON Reduce 49.04% 1,154,200 0.86
SCG - SCANA Corporation New COMMON Reduce 64.86% 1,025,800 1.14
680884Q - Compaq Computer Corporatio COMMON Sell 100.00% 4,340,500 2.64
DE - Deere & Co. Sell 100.00% 1,463,300 2.17
DALRQ - Delta Air, Inc. COMMON Sell 100.00% 892,900 1.54
MOO - Monsanto Company COMMON Sell 100.00% 927,800 1.35
KMR - Kinder Morgan Management COMMON Sell 100.00% 384,800 1.03
0860320D - Ceridian Corp. New COMMON Sell 100.00% 791,500 0.59
DIS - Walt Disney Co. Sell 100.00% 389,900 0.44
TMO - Thermo Fisher Scientific Sell 100.00% 159,600 0.14
0910150D - Hilton Hotels Corp. COMMON Sell 100.00% 70,400 0.03
ODP - Office Depot, Inc. COMMON Sell 100.00% 45,000 0.02
3394444Q - BCE, Inc. COMMON Sell 100.00% 8,000 0.01
IBM - International Business Machines Corp. Sell 100.00% 2,048 0.01
PII - Polaris Inc. Sell 100.00% 8,000 0.01
Q2 2001
MOO - Monsanto Company COMMON Reduce 0.48% 4,500 0.01
CD - Cendant Corporation COMMON Reduce 17.32% 1,241,900 0.71
ALL - Allstate Corp. Reduce 19.35% 612,700 1.01
CEG - Constellation Energy Corp. Reduce 21.81% 543,000 0.94
DIS - Walt Disney Co. Reduce 26.38% 139,700 0.16
DUK - Duke Energy Corporation COMMON Reduce 35.63% 796,000 1.34
3014795Q - Grant Prideco Inc. COMMON Reduce 39.46% 919,500 0.62
SLE - Sara Lee Corp. COMMON Reduce 50.08% 2,360,700 2.00
TMO - Thermo Fisher Scientific Reduce 67.12% 325,800 0.29
SWY - Safeway, Inc. COMMON Reduce 78.67% 1,176,900 2.55
IBM - International Business Machines Corp. Reduce 99.08% 221,700 0.83
FNMA - Fannie Mae COMMON Sell 100.00% 1,320,200 4.12
4621824Q - Kinder Morgan Inc. COMMON Sell 100.00% 1,859,300 3.88
BAX - Baxter International Inc. Sell 100.00% 765,600 2.83
BA - Boeing Co. Sell 100.00% 548,900 1.20
HAS - Hasbro Inc. Sell 100.00% 901,000 0.46
CY - Cypress Semiconductor Corp. COMMON Sell 100.00% 453,400 0.32
Q1 2001
MOO - Monsanto Company COMMON Reduce 0.48% 4,500 0.00
3423152Q - Electronic Data Systems Co. COMMON Reduce 0.61% 11,200 0.03
MBI - MBIA Inc. Reduce 1.69% 26,000 0.08
SLE - Sara Lee Corp. COMMON Reduce 2.13% 102,700 0.10
LUMN - Lumen Technologies Inc. Reduce 2.14% 64,000 0.09
ALL - Allstate Corp. Reduce 2.31% 75,000 0.13
SCG - SCANA Corporation New COMMON Reduce 2.80% 45,500 0.06
3605818Q - HCA - The Healthcare Compa COMMON Reduce 3.45% 104,100 0.19
SWY - Safeway, Inc. COMMON Reduce 10.98% 184,600 0.47
MTG - MGIC Investment Corp. Reduce 11.54% 191,000 0.53
4621824Q - Kinder Morgan Inc. COMMON Reduce 13.11% 280,500 0.60
ETN - Eaton Corp. Reduce 16.31% 118,400 0.37
CZN - Citizen's Communications C COMMON Reduce 18.54% 916,900 0.50
BAX - Baxter International Inc. Reduce 26.09% 270,200 0.98
3014795Q - Grant Prideco Inc. COMMON Reduce 42.19% 1,700,200 1.54
DE - Deere & Co. Reduce 45.35% 717,000 1.35
CY - Cypress Semiconductor Corp. COMMON Reduce 50.59% 464,200 0.37
BA - Boeing Co. Reduce 65.70% 1,051,300 2.86
DIS - Walt Disney Co. Reduce 66.12% 1,033,500 1.23
TMO - Thermo Fisher Scientific Reduce 66.69% 971,900 1.19
IBM - International Business Machines Corp. Reduce 69.05% 499,100 1.75
HAS - Hasbro Inc. Reduce 78.19% 3,229,900 1.42
CAG - Conagra Brands Inc. Sell 100.00% 3,014,700 3.23
297504Q - - -------------------------------------------------------------------------------------------------------------------------- - -------------------------------------------------------------------------------------------------------------------------- - -------------------------------------------------------------------------------------------------------------------------- - -------------------------------------------------------------------------------------------------------------------------- TRW Inc. COMMON Sell 100.00% 630,700 1.01
151915Q - - -------------------------------------------------------------------------------------------------------------------------- - -------------------------------------------------------------------------------------------------------------------------- Tosco Corporation COMMON Sell 100.00% 565,900 0.79
3394444Q - - -------------------------------------------------------------------------------------------------------------------------- - -------------------------------------------------------------------------------------------------------------------------- BCE, Inc COMMON Sell 100.00% 8,000 0.01
WRB - W.R. Berkley Corp. Sell 100.00% 4,500 0.01
Q4 2000
MTG - MGIC Investment Corp. Reduce 1.84% 31,000 0.07
MBI - MBIA Inc. Reduce 2.07% 32,500 0.08
DALRQ - - -------------------------------------------------------------------------------------------------------------------------- - -------------------------------------------------------------------------------------------------------------------------- Delta Air, Inc. COMMON Reduce 4.18% 23,500 0.04
BA - Boeing Co. Reduce 7.28% 125,600 0.29
IBM - International Business Machines Corp. Reduce 8.67% 68,600 0.28
LUMN - Lumen Technologies Inc. Reduce 8.83% 290,200 0.29
3605818Q - - -------------------------------------------------------------------------------------------------------------------------- - -------------------------------------------------------------------------------------------------------------------------- HCA - The Healthcare Compa COMMON Reduce 9.63% 321,000 0.43
SWY - - -------------------------------------------------------------------------------------------------------------------------- - -------------------------------------------------------------------------------------------------------------------------- Safeway, Inc. COMMON Reduce 9.64% 179,200 0.30
CZN - - -------------------------------------------------------------------------------------------------------------------------- - -------------------------------------------------------------------------------------------------------------------------- - -------------------------------------------------------------------------------------------------------------------------- - -------------------------------------------------------------------------------------------------------------------------- Citizen's Communications C COMMON Reduce 11.21% 624,500 0.30
CD - - -------------------------------------------------------------------------------------------------------------------------- - -------------------------------------------------------------------------------------------------------------------------- - -------------------------------------------------------------------------------------------------------------------------- - -------------------------------------------------------------------------------------------------------------------------- Cendant Corporation COMMON Reduce 12.59% 586,300 0.23
TMO - Thermo Fisher Scientific Reduce 15.29% 263,100 0.25
ALL - Allstate Corp. Reduce 16.67% 648,700 0.82
DIS - Walt Disney Co. Reduce 16.97% 319,400 0.44
DE - Deere & Co. Reduce 17.52% 335,800 0.41
ETN - Eaton Corp. Reduce 25.99% 254,900 0.57
DUK - - -------------------------------------------------------------------------------------------------------------------------- - -------------------------------------------------------------------------------------------------------------------------- Duke Energy Corporation COMMON Reduce 28.71% 400,900 1.25
HAS - Hasbro Inc. Reduce 31.29% 1,881,500 0.79
KMB - Kimberly-Clark Reduce 56.82% 499,100 1.02
297504Q - - -------------------------------------------------------------------------------------------------------------------------- - -------------------------------------------------------------------------------------------------------------------------- - -------------------------------------------------------------------------------------------------------------------------- - -------------------------------------------------------------------------------------------------------------------------- TRW Inc. COMMON Reduce 63.72% 1,107,500 1.64
ODP - - -------------------------------------------------------------------------------------------------------------------------- - -------------------------------------------------------------------------------------------------------------------------- Office Depot, Inc. COMMON Reduce 99.45% 8,197,300 2.34
TJX - TJX Companies Inc. Sell 100.00% 5,105,000 4.19
PVN - Providian Financial Corp. Sell 100.00% 825,100 3.82
ABKFQ - Ambac Financial Group, Inc Sell 100.00% 1,332,500 3.56
BLS - Bellsouth Corporation Sell 100.00% 2,021,100 2.98
MH - Minnesota Mining & Manufac Sell 100.00% 860,100 2.86
DD - DuPont de Nemours Inc. Sell 100.00% 1,448,200 2.19
9489 - Reporting Manager: Sound Shore Item 1 AT&T Corporation Sell 100.00% 1,848,200 1.98
SUU - SunTrust Banks, Inc. Sell 100.00% 1,006,100 1.83
COF - Capital One Financial Sell 100.00% 652,900 1.67
LEHMQ - Lehman Brothers Holdings Sell 100.00% 291,900 1.58
2999130Q - Engelhard Corporation Sell 100.00% 2,507,300 1.49
PA5 - Pall Corporation Sell 100.00% 1,694,000 1.23
C - Citigroup Inc. Sell 100.00% 71,053 0.14
Q3 2000
MBI - MBIA Inc. Reduce 1.46% 23,300 0.06
ODP - Office Depot, Inc. Reduce 1.75% 146,500 0.05
680884Q - Compaq Computer Corporation Reduce 2.47% 62,200 0.08
LUMN - Lumen Technologies Inc. Reduce 2.60% 87,700 0.13
3605818Q - HCA - The Healthcare Company Reduce 4.56% 159,400 0.25
SWY - Safeway, Inc. Reduce 5.67% 111,800 0.26
DIS - Walt Disney Co. Reduce 6.95% 140,700 0.28
IBM - International Business Machines Corp. Reduce 8.96% 77,900 0.44
3014795Q - Grant Prideco Inc. Reduce 10.91% 157,600 0.20
DUK - Duke Energy Corporation Reduce 17.36% 293,300 0.85
ETN - Eaton Corp. Reduce 22.33% 282,000 0.97
KMB - Kimberly-Clark Reduce 23.25% 266,100 0.79
9489 - Reporting Manager: Sound Shore Item 1 AT&T Corporation Reduce 25.87% 644,900 1.05
DALRQ - Delta Air, Inc. Reduce 28.66% 225,800 0.58
BAX - Baxter International Inc. Reduce 38.62% 64,500 0.23
LEHMQ - Lehman Brothers Holdings Reduce 43.55% 225,200 1.09
FNMA - Fannie Mae Reduce 98.49% 2,035,300 5.45
BMC - BMC Software Reduce 99.20% 2,041,800 3.82
FMCC - Freddie Mac COMMON Sell 100.00% 1,436,400 2.98
CY - Cypress Semiconductor Corp COMMON Sell 100.00% 1,253,400 2.71
WMB - Williams Cos. Sell 100.00% 1,056,100 2.26
BWA - BorgWarner Inc. Sell 100.00% 184,000 0.33
TSG - Sabre Group Holdings COMMON Sell 100.00% 85,100 0.12
Q2 2000
MBI - MBIA Inc. Reduce 0.68% 11,000 0.03
CD - Cendant Corporation COMMON Reduce 1.11% 48,500 0.05
WMB - Williams Cos. Reduce 8.96% 104,000 0.24
680884Q - Compaq Computer Corporation COMMON Reduce 10.72% 302,800 0.42
CY - Cypress Semiconductor Corp COMMON Reduce 14.23% 208,000 0.53
KMB - Kimberly-Clark Reduce 33.17% 568,100 1.65
LEHMQ - Lehman Brothers Holdings COMMON Reduce 46.77% 454,400 2.28
MKG - Mallinckrodt Inc. COMMON Sell 100.00% 3,048,400 4.53
PMTC - Parametric Technology Corp COMMON Sell 100.00% 2,018,100 2.20
ENRNQ - Enron Corp. COMMON Sell 100.00% 264,300 1.02
MGA - Magna International Inc. Sell 100.00% 161,600 0.33
3394444Q - BCE, Inc. COMMON Sell 100.00% 8,000 0.05
Q1 2000
KMB - Kimberly-Clark Reduce 5.94% 108,200 0.32
DIS - Walt Disney Co. Reduce 9.23% 205,500 0.27
MBI - MBIA Inc. Reduce 9.67% 172,100 0.41
FNMA - Fannie Mae COMMON Reduce 10.47% 241,500 0.68
MKG - Mallinckrodt Inc. COMMON Reduce 12.46% 433,700 0.62
BMC - BMC Software COMMON Reduce 13.56% 254,100 0.92
FMCC - Freddie Mac COMMON Reduce 14.80% 248,800 0.53
9489 - Item 1 Item 2 Item 3 Item 4 Item 5 Item 6 Item 7 Item 8 of Number x $1000 Sole Shared Other Sole Shared None Class (A) (B) (C) (A) (B) (C) AT&T Corporation COMMON Reduce 16.25% 311,100 0.71
CY - Cypress Semiconductor Corp COMMON Reduce 20.04% 366,200 0.53
2951 - Philip Morris Co.s Inc. COMMON Reduce 26.25% 10,000 0.01
DALRQ - Delta Air, Inc. COMMON Reduce 30.44% 342,400 0.77
ALL - Allstate Corp. Reduce 37.51% 1,051,000 1.14
PMTC - Parametric Technology Corp COMMON Reduce 46.42% 1,748,200 2.13
HAS - Hasbro Inc. Reduce 46.86% 2,300,600 1.96
ODP - Office Depot, Inc. COMMON Reduce 59.96% 5,674,800 2.81
BWA - BorgWarner Inc. Reduce 75.97% 577,800 1.06
ENRNQ - Enron Corp. COMMON Reduce 87.92% 1,924,500 3.85
MGA - Magna International Inc. Reduce 90.64% 1,564,900 2.99
ILN - Illinova Corporation COMMON Sell 100.00% 3,414,400 5.35
329802Q - MidAmerican Energy Holding COMMON Sell 100.00% 3,062,800 4.65
TXN - Texas Instruments Sell 100.00% 776,400 3.38
3517233Q - UST, Inc. COMMON Sell 100.00% 2,529,200 2.87
L - Loews Corp. Sell 100.00% 811,600 2.22
RNB - Republic New York Corp. COMMON Sell 100.00% 6,150 0.02
IGT - International Game Technology COMMON Sell 100.00% 10,000 0.01
Q4 1999
ILN - Illinova Corporation COMMON Reduce 0.75% 25,800 0.03
ENRNQ - Enron Corp. COMMON Reduce 5.03% 116,000 0.20
MKG - Mallinckrodt, Inc. COMMON Reduce 6.42% 239,000 0.30
MBI - MBIA Inc. Reduce 8.91% 174,100 0.34
FNMA - Fannie Mae COMMON Reduce 11.25% 292,300 0.77
PMTC - Parametric Technology Corp. COMMON Reduce 12.62% 544,000 0.31
KMB - Kimberly-Clark Reduce 12.74% 265,800 0.58
ALL - Allstate Corp. Reduce 15.86% 528,100 0.55
BMC - BMC Software COMMON Reduce 16.34% 366,100 1.09
MGA - Magna International Inc. Reduce 21.16% 463,300 0.96
BWA - BorgWarner Inc. Reduce 25.31% 257,800 0.46
3517233Q - UST, Inc. COMMON Reduce 29.62% 1,064,200 1.34
329802Q - MidAmerican Energy Holding COMMON Reduce 33.25% 1,525,700 1.88
L - Loews Corp. Reduce 37.44% 485,700 1.42
TXN - Texas Instruments Reduce 40.19% 521,800 1.79
DALRQ - Delta Air, Inc. COMMON Reduce 45.97% 957,000 1.94
IBM - International Business Machines Corp. Reduce 51.73% 557,200 2.81
PII - Polaris Inc. Reduce 98.03% 398,000 0.58
AN - AutoNation Inc. Sell 100.00% 6,594,800 3.44
3621240Q - Bank One Corporation COMMON Sell 100.00% 1,994,013 2.90
AHP - American Home Products COMMON Sell 100.00% 1,614,200 2.80
CI - Cigna Group Sell 100.00% 638,400 2.07
AZX - Azurix Corporation COMMON Sell 100.00% 10,000 0.01
Q3 1999
HAS - Hasbro Inc. Reduce 0.30% 13,500 0.01
MGA - Magna International Inc. Reduce 1.40% 31,000 0.06
329802Q - MidAmerican Energy Holding COMMON Reduce 2.11% 99,100 0.12
ALL - Allstate Corp. Reduce 6.26% 222,500 0.28
KMB - Kimberly-Clark Reduce 9.70% 224,200 0.45
9489 - - ------------------------------------------------------------------------------------------------------------------------------------ Item 1 Item 2 Item 3 Item 4 Item 5 Item 6 Item 7 Item 8 of Number x $1000 Sole Shared Other Sole Shared None Class (A) (B) (C) (A) (B) (C) - ------------------------------------------------------------------------------------------------------------------------------------ AT&T Corporation COMMON Reduce 11.27% 218,200 0.43
IBM - International Business Machines Corp. Reduce 11.63% 141,700 0.65
MKG - Mallinckrodt Inc. COMMON Reduce 12.08% 511,200 0.66
BMC - BMC Software COMMON Reduce 13.27% 342,900 0.66
L - Loews Corp. Reduce 14.72% 224,000 0.63
AN - AutoNation Inc. Reduce 15.52% 1,211,400 0.77
3517233Q - UST, Inc. COMMON Reduce 16.98% 734,900 0.76
BWA - BorgWarner Inc. Reduce 18.94% 237,900 0.46
3621240Q - Bank One Corporation COMMON Reduce 20.90% 527,000 1.11
PMTC - Parametric Technology Corp. COMMON Reduce 48.71% 4,093,300 2.02
PII - Polaris Inc. Reduce 57.91% 558,700 0.86
AZX - Azurix Corporation COMMON Reduce 95.00% 190,000 0.13
3059Q - Sterling Commerce Inc. COMMON Sell 100.00% 2,440,900 3.18