Martin Whitman - Third Avenue Management
Period:    Q1 2026
Portfolio date:    31 Mar 2026
No. of stocks:    53
Portfolio value:    $616,036,133
Holdings Activity Buys Sells    History
Holding/activity history for  Coherent Corp. (COHR)
Period Shares % of Portfolio Activity % Change to Portfolio Reported Price Value Filing
2010   Q2 0 0.00 Sell 100.00% 0.12 SEC
2010   Q1 174,303 0.12 Reduce 46.99% 0.10 $31.96 $5,571,000 SEC
2009   Q4 328,803 0.21 Reduce 23.81% 0.05 $29.73 $9,775,000 SEC
2009   Q3 431,531 0.21 $23.32 $10,063,000 SEC
2009   Q2 431,531 0.23 Reduce 9.52% 0.02 $20.68 $8,924,000 SEC
2009   Q1 476,934 0.25 Buy 0.25 $17.25 $8,227,000 SEC
2008   Q4 0 0.00 Sell 100.00% 0.17 SEC
2008   Q2 20,487 0.17 Reduce 12.37% 0.03 $33,455.80 $685,409,000 SEC
2008   Q1 23,378 0.21 Reduce 7.48% <0.01 $35,855.76 $838,236,000 SEC
2007   Q4 25,267 0.02 Reduce 8.54% 0.02 $310.52 $7,846,000 SEC
2007   Q3 27,626 0.24 Add 4.62% 0.01 $31,171.90 $861,155,000 SEC
2007   Q2 26,405 0.23 Add 5.39% 0.01 $32,775.91 $865,448,000 SEC
2007   Q1 25,055 0.23 Reduce 1.56% <0.01 $31,506.41 $789,393,000 SEC
2006   Q4 25,453 0.19 Buy 0.19 $31,675.76 $806,243,000 SEC
2006   Q1 0 0.00 Sell 100.00% 0.33 SEC
2005   Q4 30,952 0.33 Add 7.30% 0.02 $33,692.62 $1,042,854,000 SEC
2005   Q3 28,846 0.32 Reduce 11.07% 0.04 $34,152.71 $985,169,000 SEC
2005   Q2 32,436 0.39 Add 2.55% <0.01 $27,769.67 $900,737,000 SEC
2005   Q1 31,628 0.44 Reduce 0.63% <0.01 $29,620.49 $936,837,000 SEC
2004   Q4 31,828 0.15 $2,943,437,492.68 $93,683,728,517,000 SEC