Q2 2026
Ferguson Plc NewFERG
1,086,357 shares
Unchanged
Est. filing basis$168.28
Q2 2026
GE AerospaceGE
4,030,765 shares
Unchanged
Est. filing basis$110.58
Q2 2026
GE HealthCare Technologies Inc.GEHC
3,085,344 shares
Increased
Est. filing basis$64.02
Q2 2026
Invesco Ltd.IVZ
1,625,472 shares
Reduced
Est. filing basis$14.52
Q2 2026
Janus Henderson Group plcJHG
25,654,382 shares
Reduced
Est. filing basis$25.82
Q2 2026
Magnum Ice Cream Co NVMICC
241,042 shares
Unchanged
Est. filing basis$14.95
Q2 2026
Solventum CorporationSOLV
8,236,753 shares
Unchanged
Est. filing basis$58.48
Q2 2026
Wendys Co.WEN
30,468,434 shares
Increased
Est. filing basis$20.39
Q1 2026
Ferguson Plc NewFERG
1,086,357 shares
Unchanged
Est. filing basis$168.28
Q1 2026
GE AerospaceGE
4,030,765 shares
Unchanged
Est. filing basis$110.58
Q1 2026
GE HealthCare Technologies Inc.GEHC
4,044 shares
Unchanged
Est. filing basis$68.09
Q1 2026
Invesco Ltd.IVZ
2,970,944 shares
Unchanged
Est. filing basis$14.52
Q1 2026
Janus Henderson Group plcJHG
31,867,800 shares
Unchanged
Est. filing basis$25.82
Q1 2026
Magnum Ice Cream Co NVMICC
241,042 shares
New
Est. filing basis$14.95
Q1 2026
Solventum CorporationSOLV
8,236,753 shares
Unchanged
Est. filing basis$58.48
Q1 2026
Wendys Co.WEN
30,446,022 shares
Increased
Est. filing basis$20.40
Q4 2025
Ferguson Plc NewFERG
1,086,357 shares
Unchanged
Est. filing basis$168.28
Q4 2025
GE AerospaceGE
4,030,765 shares
Increased
Est. filing basis$110.58
Q4 2025
GE HealthCare Technologies Inc.GEHC
4,044 shares
Increased
Est. filing basis$68.09
Q4 2025
Invesco Ltd.IVZ
2,970,944 shares
Reduced
Est. filing basis$14.52
Q4 2025
Janus Henderson Group plcJHG
31,867,800 shares
Unchanged
Est. filing basis$25.82
Q4 2025
Solventum CorporationSOLV
8,236,753 shares
Reduced
Est. filing basis$58.48
Q4 2025
Wendys Co.WEN
30,440,318 shares
Increased
Est. filing basis$20.40
Q3 2025
Ferguson Plc NewFERG
1,086,357 shares
Unchanged
Est. filing basis$168.28
Q3 2025
GE AerospaceGE
4,030,213 shares
Unchanged
Est. filing basis$110.55
Q3 2025
GE HealthCare Technologies Inc.GEHC
4,029 shares
Unchanged
Est. filing basis$68.04
Q3 2025
Invesco Ltd.IVZ
14,628,455 shares
Unchanged
Est. filing basis$14.52
Q3 2025
Janus Henderson Group plcJHG
31,867,800 shares
Unchanged
Est. filing basis$25.82
Q3 2025
Solventum CorporationSOLV
8,462,819 shares
Unchanged
Est. filing basis$58.48
Q3 2025
The Allstate CorporationALL
0 shares
Exited
Q3 2025
U-Haul Holding CompanyUHAL
0 shares
Exited
Q3 2025
U-Haul Holding Company - BUHAL.B
0 shares
Exited
Q3 2025
Wendys Co.WEN
30,437,023 shares
Increased
Est. filing basis$20.40
Q2 2025
Ferguson Plc NewFERG
1,086,357 shares
Increased
Est. filing basis$168.28
Q2 2025
GE AerospaceGE
4,030,213 shares
Unchanged
Est. filing basis$110.55
Q2 2025
GE HealthCare Technologies Inc.GEHC
4,029 shares
Unchanged
Est. filing basis$68.04
Q2 2025
Invesco Ltd.IVZ
14,628,455 shares
Reduced
Est. filing basis$14.52
Q2 2025
Janus Henderson Group plcJHG
31,867,800 shares
Unchanged
Est. filing basis$25.82
Q2 2025
Solventum CorporationSOLV
8,462,819 shares
Unchanged
Est. filing basis$58.48
Q2 2025
The Allstate CorporationALL
99,955 shares
Reduced
Est. filing basis$114.70
Q2 2025
U-Haul Holding CompanyUHAL
353,335 shares
Reduced
Est. filing basis$65.46
Q2 2025
U-Haul Holding Company - BUHAL.B
338,031 shares
Reduced
Est. filing basis$61.78
Q2 2025
Wendys Co.WEN
30,434,794 shares
Increased
Est. filing basis$20.40
Q1 2025
Ferguson Plc NewFERG
1,008,765 shares
Reduced
Est. filing basis$164.47
Q1 2025
GE AerospaceGE
4,030,213 shares
Unchanged
Est. filing basis$110.55
Q1 2025
GE HealthCare Technologies Inc.GEHC
4,029 shares
Unchanged
Est. filing basis$68.04
Q1 2025
Invesco Ltd.IVZ
23,173,442 shares
Unchanged
Est. filing basis$14.52
Q1 2025
Janus Henderson Group plcJHG
31,867,800 shares
Unchanged
Est. filing basis$25.82
Q1 2025
Solventum CorporationSOLV
8,462,819 shares
Unchanged
Est. filing basis$58.48
Q1 2025
The Allstate CorporationALL
317,650 shares
Increased
Est. filing basis$114.70
Q1 2025
U-Haul Holding CompanyUHAL
652,000 shares
Unchanged
Est. filing basis$65.46
Q1 2025
U-Haul Holding Company - BUHAL.B
1,124,700 shares
Unchanged
Est. filing basis$61.78
Q1 2025
Wendys Co.WEN
30,423,683 shares
Reduced
Est. filing basis$20.40
Q4 2024
Ferguson Plc NewFERG
1,237,274 shares
Reduced
Est. filing basis$164.47
Q4 2024
GE HealthCare Technologies Inc.GEHC
4,029 shares
Unchanged
Est. filing basis$68.04
Q4 2024
General Electric Co.GE
4,030,213 shares
Unchanged
Est. filing basis$110.55
Q4 2024
Invesco Ltd.IVZ
23,173,442 shares
Unchanged
Est. filing basis$14.52
Q4 2024
Janus Henderson Group plcJHG
31,867,800 shares
Unchanged
Est. filing basis$25.82
Q4 2024
Solventum CorporationSOLV
8,462,819 shares
Increased
Est. filing basis$58.48
Q4 2024
The Allstate CorporationALL
306,722 shares
Reduced
Est. filing basis$111.41
Q4 2024
U-Haul Holding CompanyUHAL
652,000 shares
Increased
Est. filing basis$65.46
Q4 2024
U-Haul Holding Company - BUHAL.B
1,124,700 shares
Increased
Est. filing basis$61.78
Q4 2024
Wendys Co.WEN
30,525,029 shares
Increased
Est. filing basis$20.40
Q3 2024
Ferguson Plc NewFERG
1,270,810 shares
Reduced
Est. filing basis$164.47
Q3 2024
GE HealthCare Technologies Inc.GEHC
4,029 shares
Reduced
Est. filing basis$68.04
Q3 2024
General Electric Co.GE
4,030,213 shares
Unchanged
Est. filing basis$110.55
Q3 2024
Invesco Ltd.IVZ
23,173,442 shares
Reduced
Est. filing basis$14.52
Q3 2024
Janus Henderson Group plcJHG
31,867,800 shares
Unchanged
Est. filing basis$25.82
Q3 2024
Rentokil Initial plc
0 shares
Exited
Q3 2024
Solventum CorporationSOLV
7,126,255 shares
Increased
Est. filing basis$57.05
Q3 2024
The Allstate CorporationALL
613,447 shares
Reduced
Est. filing basis$111.41
Q3 2024
The Walt Disney CompanyDIS
0 shares
Exited
Q3 2024
U-Haul Holding CompanyUHAL
449,595 shares
Increased
Est. filing basis$63.83
Q3 2024
U-Haul Holding Company - BUHAL.B
1,049,055 shares
Increased
Est. filing basis$61.62
Q3 2024
Wendys Co.WEN
30,512,595 shares
Reduced
Est. filing basis$20.41
Q2 2024
Ferguson Plc NewFERG
1,953,863 shares
Reduced
Est. filing basis$164.47
Q2 2024
GE HealthCare Technologies Inc.GEHC
1,342,833 shares
Unchanged
Est. filing basis$68.04
Q2 2024
General Electric Co.GE
4,030,213 shares
Unchanged
Est. filing basis$110.55
Q2 2024
Invesco Ltd.IVZ
27,223,734 shares
Reduced
Est. filing basis$14.52
Q2 2024
Janus Henderson Group plcJHG
31,867,800 shares
Unchanged
Est. filing basis$25.82
Q2 2024
Rentokil Initial plc
470,000 shares
New
Est. filing basis$29.65
Q2 2024
Solventum CorporationSOLV
5,360,579 shares
New
Est. filing basis$52.88
Q2 2024
Sysco CorporationSYY
0 shares
Exited
Q2 2024
The Allstate CorporationALL
2,013,508 shares
Reduced
Est. filing basis$111.41
Q2 2024
The Walt Disney CompanyDIS
2,645,583 shares
Reduced
Est. filing basis$81.05
Q2 2024
U-Haul Holding CompanyUHAL
389,700 shares
New
Est. filing basis$61.73
Q2 2024
U-Haul Holding Company - BUHAL.B
909,300 shares
New
Est. filing basis$60.02
Q2 2024
Wendys Co.WEN
31,507,868 shares
Increased
Est. filing basis$20.41
Q1 2024
Ferguson Plc NewFERG
2,493,687 shares
Reduced
Est. filing basis$164.47
Q1 2024
GE HealthCare Technologies Inc.GEHC
1,342,833 shares
Unchanged
Est. filing basis$68.04
Q1 2024
General Electric Co.GE
4,030,213 shares
Unchanged
Est. filing basis$110.55
Q1 2024
Invesco Ltd.IVZ
33,940,096 shares
Unchanged
Est. filing basis$14.52
Q1 2024
Janus Henderson Group plcJHG
31,867,800 shares
Unchanged
Est. filing basis$25.82
Q1 2024
Sysco CorporationSYY
1,223,500 shares
Unchanged
Est. filing basis$66.05
Q1 2024
The Allstate CorporationALL
2,237,269 shares
Reduced
Est. filing basis$111.41
Q1 2024
The Walt Disney CompanyDIS
32,337,856 shares
Unchanged
Est. filing basis$81.05
Q1 2024
Wendys Co.WEN
31,467,150 shares
Unchanged
Est. filing basis$20.41
Q4 2023
Ferguson Plc NewFERG
4,190,252 shares
Reduced
Est. filing basis$164.47
Q4 2023
GE HealthCare Technologies Inc.GEHC
1,342,833 shares
Increased
Est. filing basis$68.04
Q4 2023
General Electric Co.GE
4,030,213 shares
Increased
Est. filing basis$110.55
Q4 2023
Invesco Ltd.IVZ
33,940,096 shares
Unchanged
Est. filing basis$14.52
Q4 2023
Janus Henderson Group plcJHG
31,867,800 shares
Unchanged
Est. filing basis$25.82
Q4 2023
Sysco CorporationSYY
1,223,500 shares
Unchanged
Est. filing basis$66.05
Q4 2023
The Allstate CorporationALL
2,793,098 shares
Reduced
Est. filing basis$111.41
Q4 2023
The Walt Disney CompanyDIS
32,337,856 shares
Reduced
Est. filing basis$81.05
Q4 2023
Wendys Co.WEN
31,467,150 shares
Reduced
Est. filing basis$20.41
Q3 2022
Ferguson Plc NewFERG
11,218,181 shares
Reduced
Est. filing basis$118.62
Q3 2022
General Electric Co.GE
4,027,274 shares
Increased
Est. filing basis$103.02
Q3 2022
Invesco Ltd.IVZ
55,758,634 shares
Unchanged
Est. filing basis$20.05
Q3 2022
Janus Henderson Group plcJHG
31,867,800 shares
Unchanged
Est. filing basis$41.16
Q3 2022
Mondelez Intl Inc.MDLZ
16,239 shares
Unchanged
Est. filing basis$58.47
Q3 2022
Procter and Gamble Co.PG
5,589 shares
Increased
Est. filing basis$138.84
Q3 2022
Sysco Corp.SYY
7,177,540 shares
Reduced
Est. filing basis$74.26
Q3 2022
Wendys Co.WEN
25,333,339 shares
Unchanged
Est. filing basis$21.92
Q2 2022
Ferguson Plc NewFERG
12,826,611 shares
Increased
Est. filing basis$118.62
Q2 2022
General Electric Co.GE
4,026,615 shares
Increased
Est. filing basis$103.02
Q2 2022
Invesco Ltd.IVZ
55,758,634 shares
Increased
Est. filing basis$20.05
Q2 2022
Janus Henderson Group plcJHG
31,867,800 shares
Unchanged
Est. filing basis$41.16
Q2 2022
Mondelez Intl Inc.MDLZ
16,239 shares
Reduced
Est. filing basis$58.47
Q2 2022
Procter and Gamble Co.PG
5,457 shares
Unchanged
Est. filing basis$139.14
Q2 2022
Sysco Corp.SYY
8,793,157 shares
Reduced
Est. filing basis$74.26
Q2 2022
Wendys Co.WEN
25,333,339 shares
Unchanged
Est. filing basis$21.92
Q1 2022
Comcast Corp. NewCMCSA
0 shares
Exited
Q1 2022
Ferguson Plc NewFERG
11,402,731 shares
Increased
Est. filing basis$119.61
Q1 2022
General Electric Co.GE
4,026,121 shares
Increased
Est. filing basis$103.03
Q1 2022
Invesco Ltd.IVZ
54,034,034 shares
Increased
Est. filing basis$20.17
Q1 2022
Janus Henderson Group plcJHG
31,867,800 shares
Increased
Est. filing basis$41.16
Q1 2022
Mondelez Intl Inc.MDLZ
450,267 shares
Increased
Est. filing basis$58.47
Q1 2022
Procter and Gamble Co.PG
5,457 shares
Reduced
Est. filing basis$139.14
Q1 2022
Sysco Corp.SYY
11,503,829 shares
Reduced
Est. filing basis$74.26
Q1 2022
Wendys Co.WEN
25,333,339 shares
Unchanged
Est. filing basis$21.92
Q4 2021
Comcast Corp. NewCMCSA
19,991,416 shares
Unchanged
Est. filing basis$52.61
Q4 2021
Ferguson Plc NewFERG
11,391,981 shares
Reduced
Est. filing basis$119.59
Q4 2021
General Electric Co.GE
4,026,113 shares
Increased
Est. filing basis$103.03
Q4 2021
Invesco Ltd.IVZ
45,473,859 shares
Increased
Est. filing basis$19.08
Q4 2021
Janus Henderson Group plcJHG
28,272,648 shares
New
Est. filing basis$41.94
Q4 2021
Janus Henderson Group plc
0 shares
Exited
Q4 2021
Mondelez Intl Inc.MDLZ
450,184 shares
Reduced
Est. filing basis$58.47
Q4 2021
Procter and Gamble Co.PG
237,384 shares
Reduced
Est. filing basis$139.14
Q4 2021
Sysco Corp.SYY
12,853,962 shares
Reduced
Est. filing basis$74.26
Q4 2021
Wendys Co.WEN
25,333,339 shares
Unchanged
Est. filing basis$21.92
Q3 2021
Comcast Corp. NewCMCSA
19,991,416 shares
Reduced
Est. filing basis$52.61
Q3 2021
Ferguson Plc NewFERG
12,728,931 shares
Reduced
Est. filing basis$119.59
Q3 2021
General Electric Co.
0 shares
Exited
Q3 2021
General Electric Co.GE
4,025,628 shares
New
Est. filing basis$103.03
Q3 2021
Invesco Ltd.IVZ
36,755,775 shares
Unchanged
Est. filing basis$17.43
Q3 2021
Janus Henderson Group plc
23,702,312 shares
Increased
Est. filing basis$34.72
Q3 2021
Mondelez Intl Inc.MDLZ
7,997,848 shares
Reduced
Est. filing basis$58.47
Q3 2021
Procter and Gamble Co.PG
5,269,523 shares
Reduced
Est. filing basis$139.14
Q3 2021
Sysco Corp.SYY
13,382,626 shares
Reduced
Est. filing basis$74.26
Q3 2021
Wendys Co.WEN
25,333,339 shares
Reduced
Est. filing basis$21.92
Q2 2021
Comcast Corp. NewCMCSA
20,797,466 shares
Increased
Est. filing basis$52.61
Q2 2021
Ferguson Plc NewFERG
13,117,373 shares
Reduced
Est. filing basis$119.59
Q2 2021
General Electric Co.
32,201,472 shares
Increased
Est. filing basis$10.80
Q2 2021
Invesco Ltd.IVZ
36,755,775 shares
Increased
Est. filing basis$17.43
Q2 2021
Janus Henderson Group plc
21,223,084 shares
Increased
Est. filing basis$33.95
Q2 2021
Mondelez Intl Inc.MDLZ
8,638,085 shares
Reduced
Est. filing basis$58.47
Q2 2021
Procter and Gamble Co.PG
5,791,785 shares
Reduced
Est. filing basis$139.14
Q2 2021
Sysco Corp.SYY
17,875,724 shares
Reduced
Est. filing basis$74.26
Q2 2021
Wendys Co.WEN
26,630,629 shares
Unchanged
Est. filing basis$21.92
Q1 2021
Comcast Class A OrdCMCSA
19,857,892 shares
Unchanged
Est. filing basis$52.40
Q1 2021
Ferguson Plc NewFERG
13,212,239 shares
New
Est. filing basis$119.59
Q1 2021
General Electric Co.
32,194,653 shares
Increased
Est. filing basis$10.80
Q1 2021
Invesco Ltd.IVZ
36,741,539 shares
Increased
Est. filing basis$17.43
Q1 2021
Janus Henderson Group plc
16,366,612 shares
Unchanged
Est. filing basis$32.51
Q1 2021
Mondelez Intl Inc.MDLZ
9,383,698 shares
Reduced
Est. filing basis$58.47
Q1 2021
Procter and Gamble Co.PG
8,884,877 shares
Reduced
Est. filing basis$139.14
Q1 2021
Sysco Corp.SYY
20,603,608 shares
Unchanged
Est. filing basis$74.26
Q1 2021
Wendys Co.WEN
26,630,629 shares
Unchanged
Est. filing basis$21.92
Q2 2020
Bank New York Mellon Corp. BNY
4,383,286 shares
Reduced
Est. filing basis$37.75
Q2 2020
Comcast Corp NewCMCSA
7,159,000 shares
New
Est. filing basis$38.98
Q2 2020
General Electric Co.
59,332,322 shares
Reduced
Est. filing basis$26.10
Q2 2020
Invesco Ltd IVZ
22,026,991 shares
New
Est. filing basis$10.76
Q2 2020
Janus Henderson Group PLCJHG
8,932,350 shares
New
Est. filing basis$21.16
Q2 2020
Legg Mason Inc.
0 shares
Exited
Q2 2020
Mondelez Intl Inc.MDLZ
15,848,921 shares
Increased
Est. filing basis$31.41
Q2 2020
nVent Electric PlcNVT
12,391,442 shares
Reduced
Est. filing basis$25.10
Q2 2020
Procter and Gamble Co.PG
10,825,852 shares
Reduced
Est. filing basis$88.82
Q2 2020
Sysco Corp.SYY
24,379,843 shares
Increased
Est. filing basis$40.09
Q2 2020
Wendys Co.WEN
26,630,629 shares
Unchanged
Est. filing basis$6.33
Q1 2020
Bank New York Mellon Corp. BNY
9,701,088 shares
Reduced
Est. filing basis$37.75
Q1 2020
General Electric Co.
64,236,784 shares
Increased
Est. filing basis$26.10
Q1 2020
Legg Mason Inc.
3,881,704 shares
Unchanged
Est. filing basis$38.28
Q1 2020
Mondelez Intl Inc.MDLZ
15,845,340 shares
Reduced
Est. filing basis$31.41
Q1 2020
nVent Electric PlcNVT
13,555,821 shares
Increased
Est. filing basis$25.10
Q1 2020
Procter and Gamble Co.PG
31,034,785 shares
Reduced
Est. filing basis$88.82
Q1 2020
Sysco Corp.SYY
23,676,143 shares
Unchanged
Est. filing basis$39.66
Q1 2020
Wendys Co.WEN
26,630,629 shares
Unchanged
Est. filing basis$6.33
Q4 2019
Bank New York Mellon Corp. BNY
12,154,366 shares
Unchanged
Est. filing basis$37.75
Q4 2019
General Electric Co.
64,226,941 shares
Increased
Est. filing basis$26.10
Q4 2019
Legg Mason Inc.
3,881,704 shares
Unchanged
Est. filing basis$38.28
Q4 2019
Mondelez Intl Inc.MDLZ
18,828,365 shares
Increased
Est. filing basis$31.41
Q4 2019
nVent Electric PlcNVT
13,551,961 shares
Unchanged
Est. filing basis$25.10
Q4 2019
Procter and Gamble Co.PG
32,154,627 shares
Reduced
Est. filing basis$88.82
Q4 2019
Sysco Corp.SYY
23,676,143 shares
Increased
Est. filing basis$39.66
Q4 2019
Wendys Co.WEN
26,630,629 shares
Unchanged
Est. filing basis$6.33
Q3 2019
Bank New York Mellon Corp. BNY
12,154,366 shares
Reduced
Est. filing basis$37.75
Q3 2019
General Electric Co.
64,226,906 shares
Increased
Est. filing basis$26.10
Q3 2019
Legg Mason Inc.
3,881,704 shares
Increased
Est. filing basis$38.28
Q3 2019
Mondelez Intl Inc.MDLZ
18,828,318 shares
Increased
Est. filing basis$31.41
Q3 2019
nVent Electric PlcNVT
13,551,961 shares
Unchanged
Est. filing basis$25.10
Q3 2019
PPG Inds Inc.PPG
0 shares
Exited
Q3 2019
Procter and Gamble Co.PG
36,630,557 shares
Increased
Est. filing basis$88.82
Q3 2019
Sysco Corp.SYY
23,671,603 shares
Unchanged
Est. filing basis$39.65
Q3 2019
Wendys Co.WEN
26,630,629 shares
Reduced
Est. filing basis$6.33
Q2 2019
Bank New York Mellon Corp. BNY
12,621,581 shares
Reduced
Est. filing basis$37.75
Q2 2019
General Electric Co.
64,217,283 shares
Reduced
Est. filing basis$26.10
Q2 2019
Legg Mason Inc.
3,877,774 shares
New
Est. filing basis$38.28
Q2 2019
Mondelez Intl Inc.MDLZ
18,828,276 shares
Increased
Est. filing basis$31.41
Q2 2019
nVent Electric PlcNVT
13,551,961 shares
Reduced
Est. filing basis$25.10
Q2 2019
PPG Inds Inc.PPG
4,224,826 shares
Reduced
Est. filing basis$104.31
Q2 2019
Procter and Gamble Co.PG
36,630,543 shares
Reduced
Est. filing basis$88.82
Q2 2019
Sysco Corp.SYY
23,671,603 shares
Increased
Est. filing basis$39.65
Q2 2019
Wendys Co.WEN
28,630,629 shares
Unchanged
Est. filing basis$6.33
Q1 2019
Bank New York Mellon Corp. BNY
13,240,187 shares
Reduced
Est. filing basis$37.75
Q1 2019
General Electric Co.
70,872,160 shares
Increased
Est. filing basis$26.10
Q1 2019
Mondelez Intl Inc.MDLZ
18,824,870 shares
Increased
Est. filing basis$31.40
Q1 2019
nVent Electric PlcNVT
17,568,773 shares
Increased
Est. filing basis$25.10
Q1 2019
Pentair PLCPNR
0 shares
Exited
Q1 2019
PPG Inds Inc.PPG
5,982,630 shares
Reduced
Est. filing basis$104.31
Q1 2019
Procter and Gamble Co.PG
36,702,028 shares
Reduced
Est. filing basis$88.82
Q1 2019
Sysco Corp.SYY
23,182,037 shares
Reduced
Est. filing basis$39.00
Q1 2019
Wendys Co.WEN
28,630,629 shares
Reduced
Est. filing basis$6.33
Q4 2018
Bank New York Mellon Corp. BNY
16,139,123 shares
Increased
Est. filing basis$37.75
Q4 2018
General Electric Co.
70,865,317 shares
Increased
Est. filing basis$26.11
Q4 2018
Mondelez Intl Inc.MDLZ
18,824,836 shares
Increased
Est. filing basis$31.40
Q4 2018
nVent Electric PlcNVT
17,562,998 shares
Unchanged
Est. filing basis$25.10
Q4 2018
Pentair PLCPNR
8,580,717 shares
Reduced
Est. filing basis$56.86
Q4 2018
PPG Inds Inc.PPG
7,009,412 shares
Increased
Est. filing basis$104.31
Q4 2018
Procter and Gamble Co.PG
37,910,766 shares
Increased
Est. filing basis$88.82
Q4 2018
Sysco Corp.SYY
28,303,910 shares
Reduced
Est. filing basis$39.00
Q4 2018
Wendys Co.WEN
31,630,629 shares
Unchanged
Est. filing basis$6.33
Q3 2018
Bank New York Mellon Corp. BNY
16,138,942 shares
Unchanged
Est. filing basis$37.75
Q3 2018
General Electric Co.
70,865,214 shares
Increased
Est. filing basis$26.11
Q3 2018
Mondelez Intl Inc.MDLZ
18,824,773 shares
Increased
Est. filing basis$31.40
Q3 2018
nVent Electric PlcNVT
17,562,998 shares
Unchanged
Est. filing basis$25.10
Q3 2018
Pentair PLCPNR
12,036,582 shares
Reduced
Est. filing basis$56.86
Q3 2018
PPG Inds Inc.PPG
4,143,262 shares
Increased
Est. filing basis$105.75
Q3 2018
Procter and Gamble Co.PG
37,908,621 shares
Unchanged
Est. filing basis$88.82
Q3 2018
Sysco Corp.SYY
37,656,693 shares
Reduced
Est. filing basis$39.00
Q3 2018
Wendys Co.WEN
31,630,629 shares
Unchanged
Est. filing basis$6.33
Q2 2018
Bank New York Mellon Corp. BNY
16,138,942 shares
Increased
Est. filing basis$37.75
Q2 2018
General Electric Co.
70,861,131 shares
Increased
Est. filing basis$26.11
Q2 2018
Mondelez Intl Inc.MDLZ
18,824,680 shares
Increased
Est. filing basis$31.40
Q2 2018
nVent Electric PlcNVT
17,562,998 shares
New
Est. filing basis$25.10
Q2 2018
Pentair PLCPNR
13,739,444 shares
Reduced
Est. filing basis$56.86
Q2 2018
PPG Inds Inc.PPG
2,593,520 shares
New
Est. filing basis$103.73
Q2 2018
Procter and Gamble Co.PG
37,908,621 shares
Unchanged
Est. filing basis$88.82
Q2 2018
Sysco Corp.SYY
42,562,249 shares
Reduced
Est. filing basis$39.00
Q2 2018
Wendys Co.WEN
31,630,629 shares
Reduced
Est. filing basis$6.33
Q1 2018
Bank New York Mellon Corp. BNY
16,136,596 shares
Increased
Est. filing basis$37.75
Q1 2018
General Electric Co.
70,853,818 shares
Increased
Est. filing basis$26.11
Q1 2018
Mondelez Intl Inc.MDLZ
18,820,060 shares
Reduced
Est. filing basis$31.40
Q1 2018
Pentair PLCPNR
15,411,582 shares
Reduced
Est. filing basis$56.86
Q1 2018
Procter and Gamble Co.PG
37,908,621 shares
Unchanged
Est. filing basis$88.82
Q1 2018
Sysco Corp.SYY
44,840,642 shares
Increased
Est. filing basis$39.00
Q1 2018
Wendys Co.WEN
34,035,921 shares
Reduced
Est. filing basis$6.33
Q4 2017
Bank New York Mellon Corp. BNY
15,776,432 shares
Reduced
Est. filing basis$37.43
Q4 2017
DowDuPont Inc.
0 shares
Exited
Q4 2017
General Electric Co.
70,851,055 shares
Unchanged
Est. filing basis$26.11
Q4 2017
Mondelez Intl Inc.MDLZ
42,504,701 shares
Unchanged
Est. filing basis$31.40
Q4 2017
Pentair PLCPNR
15,411,807 shares
Increased
Est. filing basis$56.86
Q4 2017
Procter and Gamble Co.PG
37,908,621 shares
Unchanged
Est. filing basis$88.82
Q4 2017
Sysco Corp.SYY
44,499,052 shares
Increased
Est. filing basis$38.84
Q4 2017
Wendys Co.WEN
39,035,921 shares
Unchanged
Est. filing basis$6.33
Q3 2017
Bank New York Mellon Corp. BNY
22,375,489 shares
Reduced
Est. filing basis$37.43
Q3 2017
DowDuPont Inc.
12,526,545 shares
New
Est. filing basis$69.23
Q3 2017
Du Pont E I De Nemours & Co.
0 shares
Exited
Q3 2017
General Electric Co.
70,851,055 shares
Unchanged
Est. filing basis$26.11
Q3 2017
Mondelez Intl Inc.MDLZ
42,504,701 shares
Increased
Est. filing basis$31.40
Q3 2017
Pentair PLCPNR
15,200,931 shares
Unchanged
Est. filing basis$56.66
Q3 2017
Procter and Gamble Co.PG
37,908,621 shares
Increased
Est. filing basis$88.82
Q3 2017
Sysco Corp.SYY
44,492,524 shares
Increased
Est. filing basis$38.83
Q3 2017
Wendys Co.WEN
39,035,921 shares
Unchanged
Est. filing basis$6.33
Q2 2017
Bank New York Mellon Corp. BNY
32,375,489 shares
Increased
Est. filing basis$37.43
Q2 2017
Du Pont E I De Nemours & Co.
9,390,689 shares
Unchanged
Est. filing basis$67.66
Q2 2017
General Electric Co.
70,851,055 shares
Increased
Est. filing basis$26.11
Q2 2017
Mondelez Intl Inc.MDLZ
42,504,623 shares
Reduced
Est. filing basis$31.40
Q2 2017
Pentair PLCPNR
15,200,931 shares
Increased
Est. filing basis$56.66
Q2 2017
Procter and Gamble Co.PG
37,612,012 shares
Increased
Est. filing basis$88.80
Q2 2017
Sysco Corp.SYY
43,974,585 shares
Increased
Est. filing basis$38.65
Q2 2017
Wendys Co.WEN
39,035,921 shares
Reduced
Est. filing basis$6.33
Q1 2017
Bank New York Mellon Corp. BNY
32,372,656 shares
Unchanged
Est. filing basis$37.43
Q1 2017
Du Pont E I De Nemours & Co.
9,390,689 shares
Reduced
Est. filing basis$67.66
Q1 2017
General Electric Co.
68,977,055 shares
Increased
Est. filing basis$26.08
Q1 2017
Mondelez Intl Inc.MDLZ
44,232,073 shares
Increased
Est. filing basis$31.40
Q1 2017
Pentair PLCPNR
14,338,162 shares
Increased
Est. filing basis$56.07
Q1 2017
Procter and Gamble Co.PG
36,718,855 shares
Increased
Est. filing basis$88.84
Q1 2017
Sysco Corp.SYY
43,973,835 shares
Increased
Est. filing basis$38.65
Q1 2017
Wendys Co.WEN
44,535,921 shares
Unchanged
Est. filing basis$6.33
Q4 2016
Bank New York Mellon Corp. BNY
32,372,656 shares
Increased
Est. filing basis$37.43
Q4 2016
Du Pont E I De Nemours & Co.
14,833,257 shares
Reduced
Est. filing basis$67.66
Q4 2016
General Electric Co.
67,419,115 shares
Reduced
Est. filing basis$26.00
Q4 2016
Mondelez Intl Inc.MDLZ
44,231,954 shares
Reduced
Est. filing basis$31.40
Q4 2016
Pentair PLC
0 shares
Exited
Q4 2016
Pentair PLCPNR
14,337,040 shares
New
Est. filing basis$56.07
Q4 2016
Procter and Gamble Co.PG
6,416,284 shares
New
Est. filing basis$84.08
Q4 2016
Sysco Corp.SYY
43,973,115 shares
Increased
Est. filing basis$38.65
Q4 2016
Wendys Co.WEN
44,535,921 shares
Increased
Est. filing basis$6.33
Q3 2016
Bank New York Mellon Corp. BNY
32,372,626 shares
Increased
Est. filing basis$37.43
Q3 2016
Du Pont E I De Nemours & Co.
17,450,891 shares
Reduced
Est. filing basis$67.66
Q3 2016
General Electric Co.
72,624,115 shares
Reduced
Est. filing basis$26.00
Q3 2016
Mondelez Intl Inc.MDLZ
48,031,904 shares
Unchanged
Est. filing basis$31.40
Q3 2016
Pentair PLC
14,337,040 shares
Unchanged
Est. filing basis$59.50
Q3 2016
Sysco Corp.SYY
43,966,457 shares
Increased
Est. filing basis$38.65
Q3 2016
Wendys Co.WEN
40,792,537 shares
Unchanged
Est. filing basis$5.67
Q2 2016
Bank New York Mellon Corp. BNY
32,220,599 shares
Increased
Est. filing basis$37.42
Q2 2016
Du Pont E I De Nemours & Co.
19,239,379 shares
Reduced
Est. filing basis$67.66
Q2 2016
General Electric Co.
74,766,576 shares
Increased
Est. filing basis$26.00
Q2 2016
Legg Mason Inc.
0 shares
Exited
Q2 2016
Mondelez Intl Inc.MDLZ
48,031,904 shares
Increased
Est. filing basis$31.40
Q2 2016
Pentair PLC
14,337,040 shares
Increased
Est. filing basis$59.50
Q2 2016
Sysco Corp.SYY
43,965,695 shares
Increased
Est. filing basis$38.65
Q2 2016
Tiffany & Co. NEW
0 shares
Exited
Q2 2016
Wendys Co.WEN
40,792,537 shares
Unchanged
Est. filing basis$5.67
Q1 2016
Bank New York Mellon Corp. BNY
31,826,733 shares
Increased
Est. filing basis$37.40
Q1 2016
Du Pont E I De Nemours & Co.
20,485,262 shares
Increased
Est. filing basis$67.66
Q1 2016
General Electric Co.
74,245,255 shares
Reduced
Est. filing basis$25.96
Q1 2016
Legg Mason Inc.
11,039,896 shares
Unchanged
Est. filing basis$32.15
Q1 2016
Mondelez Intl Inc.MDLZ
48,028,164 shares
Increased
Est. filing basis$31.40
Q1 2016
Pentair PLC
14,335,888 shares
Increased
Est. filing basis$59.50
Q1 2016
PepsiCo Inc.PEP
0 shares
Exited
Q1 2016
Sysco Corp.SYY
43,271,951 shares
Increased
Est. filing basis$38.46
Q1 2016
Tiffany & Co. NEW
14,260 shares
Unchanged
Est. filing basis$75.80
Q1 2016
Wendys Co.WEN
40,792,537 shares
Unchanged
Est. filing basis$5.67
Q4 2015
Bank New York Mellon Corp. BNY
30,935,516 shares
Increased
Est. filing basis$37.42
Q4 2015
Chemours Co.CC
0 shares
Exited
Q4 2015
Du Pont E I De Nemours & Co.
20,224,075 shares
Reduced
Est. filing basis$67.71
Q4 2015
General Electric Co.
77,781,541 shares
Reduced
Est. filing basis$25.96
Q4 2015
Ingersoll-Rand PLC
0 shares
Exited
Q4 2015
Legg Mason Inc.
11,039,896 shares
Unchanged
Est. filing basis$32.15
Q4 2015
Mondelez Intl Inc.MDLZ
48,028,124 shares
Increased
Est. filing basis$31.40
Q4 2015
Pentair PLC
13,681,877 shares
Increased
Est. filing basis$59.75
Q4 2015
PepsiCo Inc.PEP
18,316,211 shares
Unchanged
Est. filing basis$83.63
Q4 2015
Sysco Corp.SYY
42,685,607 shares
Increased
Est. filing basis$38.34
Q4 2015
Tiffany & Co. NEW
14,260 shares
Unchanged
Est. filing basis$75.80
Q4 2015
Wendys Co.WEN
40,792,537 shares
Unchanged
Est. filing basis$5.67
Q3 2015
Bank New York Mellon Corp. BNY
30,228,703 shares
Increased
Est. filing basis$37.33
Q3 2015
Chemours Co.CC
4,879,376 shares
New
Est. filing basis$6.47
Q3 2015
Du Pont E I De Nemours & Co.
25,801,884 shares
Increased
Est. filing basis$67.71
Q3 2015
Family Dlr Stores Inc.
0 shares
Exited
Q3 2015
General Electric Co.
90,565,555 shares
Increased
Est. filing basis$25.96
Q3 2015
Ingersoll-Rand PLC
2,835,302 shares
Reduced
Est. filing basis$55.10
Q3 2015
Legg Mason Inc.
11,039,896 shares
Unchanged
Est. filing basis$32.15
Q3 2015
Mondelez Intl Inc.MDLZ
48,028,087 shares
Increased
Est. filing basis$31.40
Q3 2015
Pentair PLC
13,005,377 shares
Increased
Est. filing basis$60.28
Q3 2015
PepsiCo Inc.PEP
18,316,211 shares
Unchanged
Est. filing basis$83.63
Q3 2015
Sysco Corp.SYY
41,412,900 shares
Increased
Est. filing basis$38.26
Q3 2015
Tiffany & Co. NEW
14,260 shares
Unchanged
Est. filing basis$75.80
Q3 2015
Wendys Co.WEN
40,792,537 shares
Reduced
Est. filing basis$5.67
Q2 2015
Allegion Pub Ltd CoALLE
0 shares
Exited
Q2 2015
Bank New York Mellon Corp. BNY
30,225,639 shares
Unchanged
Est. filing basis$37.33
Q2 2015
Du Pont E I De Nemours & Co.
24,563,084 shares
Unchanged
Est. filing basis$68.70
Q2 2015
Family Dlr Stores Inc.
3,679 shares
Unchanged
Est. filing basis$59.05
Q2 2015
General Electric Co.
49,622,390 shares
New
Est. filing basis$26.57
Q2 2015
Ingersoll-Rand PLC
7,289,130 shares
Reduced
Est. filing basis$55.10
Q2 2015
Legg Mason Inc.
11,039,896 shares
Reduced
Est. filing basis$32.15
Q2 2015
Mondelez Intl Inc.MDLZ
48,028,053 shares
Increased
Est. filing basis$31.40
Q2 2015
Pentair PLC
6,788,791 shares
New
Est. filing basis$68.75
Q2 2015
PepsiCo Inc.PEP
18,316,211 shares
Unchanged
Est. filing basis$83.63
Q2 2015
Sysco Corp.SYY
10,218,418 shares
New
Est. filing basis$36.10
Q2 2015
Tiffany & Co. NEW
14,260 shares
Increased
Est. filing basis$75.80
Q2 2015
Wendys Co.WEN
54,024,581 shares
Reduced
Est. filing basis$5.67
Q1 2015
Allegion Pub Ltd CoALLE
1,655,388 shares
Unchanged
Est. filing basis$44.19
Q1 2015
Bank New York Mellon Corp. BNY
30,225,639 shares
Increased
Est. filing basis$37.33
Q1 2015
Du Pont E I De Nemours & Co.
24,563,084 shares
Increased
Est. filing basis$68.70
Q1 2015
Family Dlr Stores Inc.
3,679 shares
Reduced
Est. filing basis$59.05
Q1 2015
Ingersoll-Rand PLC
8,570,293 shares
Reduced
Est. filing basis$55.10
Q1 2015
Lazard Ltd
0 shares
Exited
Q1 2015
Legg Mason Inc.
12,887,964 shares
Unchanged
Est. filing basis$32.15
Q1 2015
Mondelez Intl Inc.MDLZ
48,024,117 shares
Increased
Est. filing basis$31.40
Q1 2015
PepsiCo Inc.PEP
18,316,211 shares
Increased
Est. filing basis$83.63
Q1 2015
Tiffany & Co. NEW
13,412 shares
Unchanged
Est. filing basis$74.79
Q1 2015
Wendys Co.WEN
64,800,245 shares
Unchanged
Est. filing basis$5.67
Q4 2014
Allegion Pub Ltd CoALLE
1,655,388 shares
Unchanged
Est. filing basis$44.19
Q4 2014
Bank New York Mellon Corp. BNY
28,897,639 shares
Unchanged
Est. filing basis$37.20
Q4 2014
Du Pont E I De Nemours & Co.
24,313,084 shares
Increased
Est. filing basis$68.67
Q4 2014
Family Dlr Stores Inc.
8,366,386 shares
Unchanged
Est. filing basis$59.05
Q4 2014
Ingersoll-Rand PLC
12,821,051 shares
Unchanged
Est. filing basis$55.10
Q4 2014
Lazard Ltd
4,973,851 shares
Unchanged
Est. filing basis$33.80
Q4 2014
Legg Mason Inc.
12,887,964 shares
Unchanged
Est. filing basis$32.15
Q4 2014
Mondelez Intl Inc.MDLZ
46,299,025 shares
Increased
Est. filing basis$31.22
Q4 2014
PepsiCo Inc.PEP
17,865,831 shares
Unchanged
Est. filing basis$83.33
Q4 2014
Tiffany & Co. NEW
13,412 shares
Unchanged
Est. filing basis$74.79
Q4 2014
Wendys Co.WEN
64,800,245 shares
Unchanged
Est. filing basis$5.67
Q3 2014
Allegion Pub Ltd CoALLE
1,655,388 shares
Unchanged
Est. filing basis$44.19
Q3 2014
Bank New York Mellon Corp. BNY
28,897,639 shares
Increased
Est. filing basis$37.20
Q3 2014
Du Pont E I De Nemours & Co.
6,959,877 shares
Increased
Est. filing basis$55.53
Q3 2014
Family Dlr Stores Inc.
8,366,386 shares
Unchanged
Est. filing basis$59.05
Q3 2014
Ingersoll-Rand PLC
12,821,051 shares
Increased
Est. filing basis$55.10
Q3 2014
Lazard Ltd
4,973,851 shares
Reduced
Est. filing basis$33.80
Q3 2014
Legg Mason Inc.
12,887,964 shares
Increased
Est. filing basis$32.15
Q3 2014
Mondelez Intl Inc.MDLZ
41,741,854 shares
Unchanged
Est. filing basis$30.67
Q3 2014
PepsiCo Inc.PEP
17,865,831 shares
Increased
Est. filing basis$83.33
Q3 2014
Tiffany & Co. NEW
13,412 shares
Unchanged
Est. filing basis$74.79
Q3 2014
Wendys Co.WEN
64,800,245 shares
Unchanged
Est. filing basis$5.67
Q2 2014
Allegion Pub Ltd CoALLE
1,655,388 shares
Reduced
Est. filing basis$44.19
Q2 2014
Bank New York Mellon Corp. BNY
19,110,843 shares
Increased
Est. filing basis$36.41
Q2 2014
Du Pont E I De Nemours & Co.
6,141,364 shares
Unchanged
Est. filing basis$53.36
Q2 2014
Family Dlr Stores Inc.
8,366,386 shares
Unchanged
Est. filing basis$59.05
Q2 2014
GNC Hldgs Inc.
0 shares
Exited
Q2 2014
Ingersoll-Rand PLC
11,978,914 shares
Reduced
Est. filing basis$55.01
Q2 2014
Lazard Ltd
6,606,540 shares
Unchanged
Est. filing basis$33.80
Q2 2014
Legg Mason Inc.
12,886,493 shares
Unchanged
Est. filing basis$32.15
Q2 2014
Mondelez Intl Inc.MDLZ
41,741,854 shares
Increased
Est. filing basis$30.67
Q2 2014
PepsiCo Inc.PEP
12,938,653 shares
Increased
Est. filing basis$79.62
Q2 2014
Tiffany & Co. NEW
13,412 shares
Increased
Est. filing basis$74.79
Q2 2014
Wendys Co.WEN
64,800,245 shares
Unchanged
Est. filing basis$5.67
Q1 2014
Allegion Pub Ltd CoALLE
2,956,888 shares
Reduced
Est. filing basis$44.19
Q1 2014
Bank New York Mellon Corp.BNY
9,330,230 shares
New
Est. filing basis$35.29
Q1 2014
Du Pont E I De Nemours & Co.
6,141,364 shares
Increased
Est. filing basis$53.36
Q1 2014
Family Dlr Stores Inc.
8,366,386 shares
Increased
Est. filing basis$59.05
Q1 2014
GNC Hldgs Inc.
359,254 shares
Reduced
Est. filing basis$44.21
Q1 2014
Ingersoll-Rand PLC
11,980,058 shares
Increased
Est. filing basis$55.01
Q1 2014
Lazard Ltd
6,606,540 shares
Reduced
Est. filing basis$33.80
Q1 2014
Legg Mason Inc.
12,886,493 shares
Unchanged
Est. filing basis$32.15
Q1 2014
Mondelez Intl Inc.MDLZ
41,737,993 shares
Increased
Est. filing basis$30.67
Q1 2014
PepsiCo Inc.PEP
12,421,546 shares
Increased
Est. filing basis$79.21
Q1 2014
Tiffany & Co. NEW
12,632 shares
Unchanged
Est. filing basis$73.21
Q1 2014
Wendys Co.WEN
64,800,245 shares
Reduced
Est. filing basis$5.67
Q4 2013
Allegion Pub Ltd CoALLE
3,992,555 shares
New
Est. filing basis$44.19
Q4 2013
Du Pont E I De Nemours & Co.
5,778,403 shares
Unchanged
Est. filing basis$52.50
Q4 2013
Family Dlr Stores Inc.
8,364,997 shares
Unchanged
Est. filing basis$59.05
Q4 2013
GNC Hldgs Inc.
359,654 shares
Reduced
Est. filing basis$44.21
Q4 2013
Ingersoll-Rand PLC
11,977,676 shares
Reduced
Est. filing basis$55.01
Q4 2013
Lazard Ltd
6,702,380 shares
Unchanged
Est. filing basis$33.80
Q4 2013
Legg Mason Inc.
12,886,493 shares
Unchanged
Est. filing basis$32.15
Q4 2013
Mondelez Intl Inc.MDLZ
41,473,078 shares
Increased
Est. filing basis$30.64
Q4 2013
PepsiCo Inc.PEP
12,348,546 shares
Increased
Est. filing basis$79.19
Q4 2013
Tiffany & Co. NEW
12,632 shares
Increased
Est. filing basis$73.21
Q4 2013
Wendys Co.WEN
83,000,245 shares
Unchanged
Est. filing basis$5.67
Q3 2013
Du Pont E I De Nemours & Co.
5,778,403 shares
Unchanged
Est. filing basis$52.50
Q3 2013
Family Dlr Stores Inc.
8,364,997 shares
Unchanged
Est. filing basis$59.05
Q3 2013
GNC Hldgs Inc.
776,898 shares
Unchanged
Est. filing basis$44.21
Q3 2013
Ingersoll-Rand PLC
12,903,994 shares
Reduced
Est. filing basis$55.01
Q3 2013
Lazard Ltd
6,702,380 shares
Unchanged
Est. filing basis$33.80
Q3 2013
Legg Mason Inc.
12,886,493 shares
Increased
Est. filing basis$32.15
Q3 2013
Mondelez Intl Inc.MDLZ
40,946,850 shares
Unchanged
Est. filing basis$30.58
Q3 2013
PepsiCo Inc.PEP
12,270,046 shares
Unchanged
Est. filing basis$79.16
Q3 2013
Sothebys
0 shares
Exited
Q3 2013
State Str Corp.STT
0 shares
Exited
Q3 2013
Tiffany & Co. NEW
10,651 shares
Unchanged
Est. filing basis$69.57
Q3 2013
Wendys Co.WEN
83,000,245 shares
Unchanged
Est. filing basis$5.67
Q2 2013
Du Pont E I De Nemours & Co.
5,778,403 shares
New
Est. filing basis$52.50
Q2 2013
Family Dlr Stores Inc.
8,364,997 shares
Reduced
Est. filing basis$59.05
Q2 2013
GNC Hldgs Inc.
776,898 shares
New
Est. filing basis$44.21
Q2 2013
Heinz HJ Co.
0 shares
Exited
Q2 2013
Ingersoll-Rand PLC
13,470,668 shares
Unchanged
Est. filing basis$55.01
Q2 2013
Lazard Ltd
6,702,380 shares
Increased
Est. filing basis$33.80
Q2 2013
Legg Mason Inc.
12,884,337 shares
Unchanged
Est. filing basis$32.15
Q2 2013
Mondelez Intl Inc.MDLZ
40,946,850 shares
Increased
Est. filing basis$30.58
Q2 2013
PepsiCo Inc.PEP
12,270,046 shares
Increased
Est. filing basis$79.16
Q2 2013
Sothebys
2,074,182 shares
New
Est. filing basis$37.91
Q2 2013
State Str Corp.STT
1,862,816 shares
Reduced
Est. filing basis$59.09
Q2 2013
Tiffany & Co. NEW
10,651 shares
Unchanged
Est. filing basis$69.57
Q2 2013
Wendys Co.WEN
83,000,245 shares
Unchanged
Est. filing basis$5.67
Q3 2012
Family Dlr Stores Inc.
8,967,564 shares
Reduced
Est. filing basis$53.02
Q3 2012
Heinz HJ Co.
106,500 shares
Reduced
Est. filing basis$48.82
Q3 2012
Ingersoll-Rand PLC
13,470,668 shares
Unchanged
Est. filing basis$41.81
Q3 2012
Kraft Foods Inc.
8,131,787 shares
Reduced
Est. filing basis$35.23
Q3 2012
Lazard Ltd
5,598,980 shares
Unchanged
Est. filing basis$25.99
Q3 2012
Legg Mason Inc.
12,884,337 shares
Reduced
Est. filing basis$33.66
Q3 2012
SPDR S&P 500 ETF TRSPY
4,650,000 shares
New
Est. filing basis$143.97
Q3 2012
State Str Corp.STT
9,140,107 shares
Reduced
Est. filing basis$40.29
Q3 2012
Tiffany & Co. NEW
1,004,151 shares
Reduced
Est. filing basis$61.44
Q3 2012
Wendys Co.WEN
83,000,245 shares
Unchanged
Est. filing basis$4.62
Q2 2012
Dominos Pizza Inc.DPZ
0 shares
Exited
Q2 2012
Family Dlr Stores Inc.
9,967,564 shares
Increased
Est. filing basis$53.02
Q2 2012
Heinz HJ Co.
603,250 shares
Unchanged
Est. filing basis$48.82
Q2 2012
Ingersoll-Rand PLC
13,470,668 shares
Increased
Est. filing basis$41.81
Q2 2012
Kraft Foods Inc.
10,481,319 shares
Reduced
Est. filing basis$35.23
Q2 2012
Lazard Ltd
5,598,980 shares
New
Est. filing basis$25.99
Q2 2012
Legg Mason Inc.
14,702,269 shares
Unchanged
Est. filing basis$33.66
Q2 2012
SPDR S&P 500 ETF TRSPY
0 shares
Exited
Q2 2012
State Str Corp.STT
9,843,416 shares
Unchanged
Est. filing basis$40.29
Q2 2012
Tiffany & Co. NEW
1,386,313 shares
Reduced
Est. filing basis$61.44
Q2 2012
United States Oil Fund LP
0 shares
Exited
Q2 2012
Wendys Co.WEN
83,000,245 shares
Unchanged
Est. filing basis$4.62
Q1 2012
Dominos Pizza Inc.DPZ
4,150,000 shares
Unchanged
Est. filing basis$25.24
Q1 2012
Family Dlr Stores Inc.
9,966,201 shares
Unchanged
Est. filing basis$53.01
Q1 2012
Heinz HJ Co.
603,250 shares
Reduced
Est. filing basis$48.82
Q1 2012
Ingersoll-Rand PLC
5,986,407 shares
New
Est. filing basis$41.35
Q1 2012
Kraft Foods Inc.
12,401,319 shares
Reduced
Est. filing basis$35.23
Q1 2012
Legg Mason Inc.
14,702,269 shares
Unchanged
Est. filing basis$33.66
Q1 2012
SPDR S&P 500 ETF TRSPY
5,155,000 shares
New
Est. filing basis$140.81
Q1 2012
State Str Corp.STT
9,843,416 shares
Unchanged
Est. filing basis$40.29
Q1 2012
Tiffany & Co. NEW
2,765,311 shares
Reduced
Est. filing basis$61.44
Q1 2012
United States Oil Fund LP
1,255,000 shares
New
Est. filing basis$39.23
Q1 2012
Wendys Co.WEN
83,000,245 shares
Increased
Est. filing basis$4.62
Q4 2011
Belo Corp.
0 shares
Exited
Q4 2011
CBS Corp. NEW
0 shares
Exited
Q4 2011
Charter Communications Inc
0 shares
Exited
Q4 2011
Dominos Pizza Inc.DPZ
4,150,000 shares
Reduced
Est. filing basis$25.24
Q4 2011
Family Dlr Stores Inc.
9,966,201 shares
Increased
Est. filing basis$53.01
Q4 2011
Heinz HJ Co.
1,065,584 shares
Unchanged
Est. filing basis$48.82
Q4 2011
Istar Finl Inc.
0 shares
Exited
Q4 2011
Kraft Foods Inc.
13,730,919 shares
Reduced
Est. filing basis$35.23
Q4 2011
Legg Mason Inc.
14,702,269 shares
Unchanged
Est. filing basis$33.66
Q4 2011
Lin TV Corp.
0 shares
Exited
Q4 2011
LyondellBasell IndustriesLYB
0 shares
Exited
Q4 2011
Pepsico Inc.PEP
0 shares
Exited
Q4 2011
SPDR S&P 500 ETF TRSPY
0 shares
Exited
Q4 2011
State Str Corp.STT
9,843,416 shares
Increased
Est. filing basis$40.29
Q4 2011
Tiffany & Co. NEW
4,481,994 shares
Unchanged
Est. filing basis$61.44
Q4 2011
Wendys Co.WEN
76,623,145 shares
Unchanged
Est. filing basis$4.59
Q3 2011
Belo Corp.
200,000 shares
Reduced
Est. filing basis$8.15
Q3 2011
CBS Corp. NEW
95,000 shares
New
Est. filing basis$20.38
Q3 2011
Charter Communications Inc
90,111 shares
Increased
Est. filing basis$51.14
Q3 2011
Consol Energy Inc.
0 shares
Exited
Q3 2011
Corelogic Inc.
0 shares
Exited
Q3 2011
Dominos Pizza Inc.DPZ
5,921,150 shares
Reduced
Est. filing basis$25.24
Q3 2011
Family Dlr Stores Inc.
7,228,695 shares
Increased
Est. filing basis$51.25
Q3 2011
Heinz HJ Co.
1,065,584 shares
Reduced
Est. filing basis$48.82
Q3 2011
Istar Final Inc
0 shares
Exited
Q3 2011
Istar Finl Inc.
354,900 shares
Increased
Est. filing basis$8.34
Q3 2011
Kraft Foods Inc.
17,311,152 shares
Unchanged
Est. filing basis$35.23
Q3 2011
Las Vegas Sands Corp.LVS
0 shares
Exited
Q3 2011
Legg Mason Inc.
14,702,269 shares
Increased
Est. filing basis$33.66
Q3 2011
Lin TV Corp.
400,910 shares
Reduced
Est. filing basis$5.71
Q3 2011
LyondellBasell IndustriesLYB
160,000 shares
Increased
Est. filing basis$38.21
Q3 2011
Peets Coffee & Tea Inc.
0 shares
Exited
Q3 2011
Pepsico Inc.PEP
2,355,093 shares
New
Est. filing basis$61.90
Q3 2011
SPDR Gold TrustGLD
0 shares
Exited
Q3 2011
SPDR S&P 500 ETF TRSPY
775,000 shares
Increased
Est. filing basis$124.26
Q3 2011
State Str Corp.STT
9,727,966 shares
Increased
Est. filing basis$40.29
Q3 2011
Tiffany & Co. NEW
4,481,994 shares
Reduced
Est. filing basis$61.44
Q3 2011
Time Warner Cable Inc.TWC
0 shares
Exited
Q3 2011
Wendys Arbys Group Inc.
0 shares
Exited
Q3 2011
Wendys Co.WEN
76,623,145 shares
New
Est. filing basis$4.59
Q2 2011
Belo Corp.
290,000 shares
Increased
Est. filing basis$8.15
Q2 2011
CBS Corp. NEW
0 shares
Exited
Q2 2011
Charter Communications Inc
52,111 shares
New
Est. filing basis$54.27
Q2 2011
Consol Energy Inc.
699,700 shares
New
Est. filing basis$48.48
Q2 2011
Corelogic Inc.
1,346,343 shares
New
Est. filing basis$16.71
Q2 2011
Dominos Pizza Inc.DPZ
6,000,000 shares
New
Est. filing basis$25.24
Q2 2011
Family Dlr Stores Inc
6,190,159 shares
Unchanged
Est. filing basis$51.32
Q2 2011
Heinz HJ Co.
2,047,334 shares
Unchanged
Est. filing basis$48.82
Q2 2011
Istar Final Inc
100,000 shares
Unchanged
Est. filing basis$9.18
Q2 2011
Istar Finl Inc
329,900 shares
Increased
Est. filing basis$8.53
Q2 2011
Kraft Foods Inc.
17,311,152 shares
New
Est. filing basis$35.23
Q2 2011
Las Vegas Sands Corp.LVS
40,000 shares
Reduced
Est. filing basis$42.22
Q2 2011
Legg Mason Inc.
11,257,370 shares
Unchanged
Est. filing basis$36.09
Q2 2011
Lin TV Corp.
557,462 shares
Increased
Est. filing basis$5.71
Q2 2011
LyondellBasell IndustriesLYB
156,500 shares
New
Est. filing basis$38.52
Q2 2011
MGM Resorts InternationMGM
0 shares
Exited
Q2 2011
Peets Coffee & Tea Inc.
300,000 shares
Reduced
Est. filing basis$48.09
Q2 2011
SPDR Gold TrustGLD
13,600 shares
New
Est. filing basis$146.03
Q2 2011
SPDR S&P 500 ETF TRSPY
450,000 shares
Increased
Est. filing basis$132.29
Q2 2011
State Str CorpSTT
6,143,366 shares
Increased
Est. filing basis$45.03
Q2 2011
Tiffany & Co. NEW
5,081,091 shares
Increased
Est. filing basis$61.44
Q2 2011
Time Warner Cable Inc.TWC
21,000 shares
New
Est. filing basis$78.05
Q2 2011
United States Oil Fund
0 shares
Exited
Q2 2011
Wendys Arbys Group Inc.
76,623,145 shares
Unchanged
Est. filing basis$5.03