Edgar Wachenheim III Holdings Activity

Greenhaven Associates Portfolio 13F

Greenhaven Associates has disclosed a total of 25 changes to the portfolio in the latest (2026 Q1) SEC report(s): increased the number of shares of 11, bought 1 totally new, decreased the number of shares of 9 and completely sold out 4 position(s).

What stocks is Edgar Wachenheim III buying now?

In the recent quarter Edgar Wachenheim III has bought 12 securities out of which top 5 purchases (by % change to portfolio) are (ICLR) ICON PLC (added shares +11412.08%), (BAX) BAXTER INTERNATIONAL INC (added shares +33.8%), (LEN) LENNAR CORP-A (added shares +5.33%), (VBIL) VANGUARD 0-3M T-BILL ETF (added shares +54.83%) and (AVTR) AVANTOR INC (added shares +10.21%).

What does Edgar Wachenheim III invest in?

Edgar Wachenheim III's top 5 holdings (by % of portfolio) are (GM) GENERAL MOTORS CO GM (15.37%), (LEN) LENNAR CORP-A (15.21%), (TOL) TOLL BROTHERS INC (12.69%), (PHM) PULTEGROUP INC (10.65%) and (DHI) DR HORTON INC (7.84%).

In the latest report(s) the following changes have been made to the top investments: (GM) GENERAL MOTORS CO GM (reduced shares -17.48%), (LEN) LENNAR CORP-A (added shares +5.33%), (TOL) TOLL BROTHERS INC (added shares +0.75%), (PHM) PULTEGROUP INC (reduced shares -0.67%) and (DHI) DR HORTON INC (reduced shares -0.49%).

2020 Q4 (26 results)
GM
buy
+18,388,356
+14.42%
$41.64
-
14.42%
FDX
buy
+2,500
+0.01%
$259.60
30.32% $338.31
0.00%
C
+121.36%
+2,548,880
+2.96%
$61.66
-
0.00%
PSQ
+65.45%
+64,400
+0.09%
$72.05
64.14% $25.84
0.22%
MS
+3.59%
+330,771
+0.43%
$68.53
212.33% $214.04
12.31%
GS
+3.03%
+90,008
+0.45%
$263.71
303.00% $1,062.75
15.22%
F
+1.55%
+296,640
+0.05%
$8.79
68.83% $14.84
0.00%
TOL
+1.27%
+66,970
+0.05%
$43.47
238.46% $147.13
4.39%
CF
-0.06%
-2,130
-0.00%
$38.71
182.82% $109.48
2.48%
LEA
-0.33%
-1,700
-0.01%
$159.03
8.72% $145.16
1.54%
WHR
-0.34%
-9,520
-0.03%
$180.49
76.24% $42.89
9.46%
BG
-0.37%
-4,000
-0.00%
$65.58
93.92% $127.17
1.34%
LEN
-0.58%
-43,683
-0.06%
$76.23
18.46% $90.30
10.83%
LEN.B
-1.70%
-7,857
-0.01%
$61.20
-
0.53%
ALV
-3.86%
-2,800
-0.00%
$92.09
39.56% $128.53
0.12%
OC
-4.82%
-22,030
-0.03%
$75.76
60.30% $121.44
0.62%
DHI
-5.42%
-190,131
-0.25%
$68.92
123.58% $154.09
4.30%
PHM
-6.69%
-136,815
-0.11%
$43.12
185.65% $123.17
1.55%
ADNT
-11.44%
-188,590
-0.12%
$34.77
34.77% $22.68
0.00%
BRK.B
-11.47%
-51,230
-0.22%
$231.87
-
1.73%
DE
-29.11%
-587,478
-2.98%
$269.05
114.64% $577.48
7.25%
PWR
-33.76%
-111,425
-0.15%
$72.02
882.71% $707.74
0.00%
SCHW
-47.79%
-1,598,523
-1.60%
$53.04
71.76% $91.10
1.74%
MMM
-50.00%
-2,500
-0.01%
$174.80
9.43% $158.32
0.01%
AMTD
-100.00%
-5,170
-0.00%
$39.07
97.44% $1.00
0.00%
GM
-100.00%
-18,228,066
-10.16%
$29.59
175.43% $81.50
0.00%
26 of 1,127

Shares, change to shares, sold shares - split-adjusted.

Reported price - this doesn't represent the actual buy or sell price.
It is the split-adjusted price of the security as of the last day of the reported period.

Value or Price - If the security is completely sold out, we show the reported value (or price) prior to the actual period.