- New Purchases: NTR, DISCK, SKLKF, INTC, LSXMB, RTN,
- Added Positions: CTL, EPD, RDNT, AXP, OAK, WAB, FISV, BX, GILD, TSQ,
- Reduced Positions: CACC, DVN, FLR, LBTYA, BAX, MSFT, DOV, GOOGL, JNJ, LUK,
- Sold Out: AMT, BIDU, KHC, PFIE, SEE,
For the details of BECK MACK & OLIVER LLC's stock buys and sells, go to http://www.gurufocus.com/StockBuy.php?GuruName=BECK+MACK+%26+OLIVER+LLC
These are the top 5 holdings of BECK MACK & OLIVER LLC- Enstar Group Ltd (ESGR) - 752,507 shares, 5.34% of the total portfolio. Shares reduced by 0.78%
- Microsoft Corp (MSFT) - 1,352,470 shares, 4.16% of the total portfolio. Shares reduced by 1.6%
- Matador Resources Co (MTDR) - 4,040,530 shares, 4.08% of the total portfolio. Shares added by 0.86%
- Blackstone Group LP (BX) - 3,395,854 shares, 3.66% of the total portfolio. Shares added by 1.76%
- Roper Technologies Inc (ROP) - 381,740 shares, 3.61% of the total portfolio. Shares reduced by 1.16%
Beck Mack & Oliver Llc initiated holding in Nutrien Ltd. The purchase prices were between $44.42 and $55.73, with an estimated average price of $50.11. The stock is now traded at around $46.55. The impact to a portfolio due to this purchase was 0.4%. The holding were 252,464 shares as of 2018-03-31.
New Purchase: Discovery Inc (DISCK)Beck Mack & Oliver Llc initiated holding in Discovery Inc. The purchase prices were between $19.27 and $25.09, with an estimated average price of $22.39. The stock is now traded at around $22.42. The impact to a portfolio due to this purchase was 0.31%. The holding were 464,651 shares as of 2018-03-31.
New Purchase: Shinsei Bank Ltd (SKLKF)Beck Mack & Oliver Llc initiated holding in Shinsei Bank Ltd. The purchase prices were between $15.2 and $17.87, with an estimated average price of $16.44. The stock is now traded at around $15.13. The impact to a portfolio due to this purchase was 0.02%. The holding were 3,000 shares as of 2018-03-31.
New Purchase: Liberty SiriusXM Group (LSXMB)Beck Mack & Oliver Llc initiated holding in Liberty SiriusXM Group. The purchase prices were between $39.21 and $47.61, with an estimated average price of $42.57. The stock is now traded at around $42.00. The impact to a portfolio due to this purchase was 0.01%. The holding were 4,705 shares as of 2018-03-31.
New Purchase: Intel Corp (INTC)Beck Mack & Oliver Llc initiated holding in Intel Corp. The purchase prices were between $42.5 and $52.48, with an estimated average price of $47.52. The stock is now traded at around $51.38. The impact to a portfolio due to this purchase was 0.01%. The holding were 4,000 shares as of 2018-03-31.
New Purchase: Raytheon Co (RTN)Beck Mack & Oliver Llc initiated holding in Raytheon Co. The purchase prices were between $186.28 and $219.86, with an estimated average price of $206.92. The stock is now traded at around $213.30. The impact to a portfolio due to this purchase was 0.01%. The holding were 1,000 shares as of 2018-03-31.
Added: CenturyLink Inc (CTL)Beck Mack & Oliver Llc added to a holding in CenturyLink Inc by 32.09%. The purchase prices were between $15.52 and $19.13, with an estimated average price of $17.36. The stock is now traded at around $18.50. The impact to a portfolio due to this purchase was 0.76%. The holding were 5,634,715 shares as of 2018-03-31.
Added: Enterprise Products Partners LP (EPD)Beck Mack & Oliver Llc added to a holding in Enterprise Products Partners LP by 22.11%. The purchase prices were between $24.06 and $29.4, with an estimated average price of $26.66. The stock is now traded at around $27.04. The impact to a portfolio due to this purchase was 0.3%. The holding were 1,986,304 shares as of 2018-03-31.
Added: RadNet Inc (RDNT)Beck Mack & Oliver Llc added to a holding in RadNet Inc by 87.84%. The purchase prices were between $9.8 and $14.4, with an estimated average price of $10.89. The stock is now traded at around $13.45. The impact to a portfolio due to this purchase was 0.15%. The holding were 662,920 shares as of 2018-03-31.
Added: Fiserv Inc (FISV)Beck Mack & Oliver Llc added to a holding in Fiserv Inc by 99.52%. The purchase prices were between $64.59 and $74.22, with an estimated average price of $70.24. The stock is now traded at around $70.14. The impact to a portfolio due to this purchase was 0.07%. The holding were 61,830 shares as of 2018-03-31.
Added: Oaktree Capital Group LLC (OAK)Beck Mack & Oliver Llc added to a holding in Oaktree Capital Group LLC by 28.81%. The purchase prices were between $39.6 and $46.3, with an estimated average price of $42.87. The stock is now traded at around $41.05. The impact to a portfolio due to this purchase was 0.07%. The holding were 226,995 shares as of 2018-03-31.
Added: Townsquare Media Inc (TSQ)Beck Mack & Oliver Llc added to a holding in Townsquare Media Inc by 20.91%. The purchase prices were between $6.55 and $8.15, with an estimated average price of $7.35. The stock is now traded at around $7.85. The impact to a portfolio due to this purchase was 0.01%. The holding were 259,950 shares as of 2018-03-31.
Sold Out: Baidu Inc (BIDU)Beck Mack & Oliver Llc sold out a holding in Baidu Inc. The sale prices were between $212.07 and $265.67, with an estimated average price of $246.43.
Sold Out: The Kraft Heinz Co (KHC)Beck Mack & Oliver Llc sold out a holding in The Kraft Heinz Co. The sale prices were between $60.03 and $80.27, with an estimated average price of $71.61.
Sold Out: Sealed Air Corp (SEE)Beck Mack & Oliver Llc sold out a holding in Sealed Air Corp. The sale prices were between $41.12 and $49.64, with an estimated average price of $45.17.
Sold Out: Profire Energy Inc (PFIE)Beck Mack & Oliver Llc sold out a holding in Profire Energy Inc. The sale prices were between $1.82 and $2.95, with an estimated average price of $2.27.
Sold Out: American Tower Corp (AMT)Beck Mack & Oliver Llc sold out a holding in American Tower Corp. The sale prices were between $133 and $147.7, with an estimated average price of $140.88.
Reduced: Devon Energy Corp (DVN)Beck Mack & Oliver Llc reduced to a holding in Devon Energy Corp by 56.54%. The sale prices were between $30.41 and $44.81, with an estimated average price of $36.71. The stock is now traded at around $35.10. The impact to a portfolio due to this sale was -0.27%. Beck Mack & Oliver Llc still held 151,529 shares as of 2018-03-31.
Reduced: Fluor Corp (FLR)Beck Mack & Oliver Llc reduced to a holding in Fluor Corp by 49.64%. The sale prices were between $51.65 and $61.61, with an estimated average price of $57.29. The stock is now traded at around $59.65. The impact to a portfolio due to this sale was -0.19%. Beck Mack & Oliver Llc still held 115,384 shares as of 2018-03-31.
Reduced: Chubb Ltd (CB)Beck Mack & Oliver Llc reduced to a holding in Chubb Ltd by 26.34%. The sale prices were between $134.57 and $156.15, with an estimated average price of $144.82. The stock is now traded at around $137.26. The impact to a portfolio due to this sale was -0.01%. Beck Mack & Oliver Llc still held 2,439 shares as of 2018-03-31.
Reduced: Commerce Bancshares Inc (CBSH)Beck Mack & Oliver Llc reduced to a holding in Commerce Bancshares Inc by 25.76%. The sale prices were between $55.66 and $61.49, with an estimated average price of $58.69. The stock is now traded at around $64.17. The impact to a portfolio due to this sale was -0.01%. Beck Mack & Oliver Llc still held 16,742 shares as of 2018-03-31.
Reduced: Permian Basin Royalty Trust (PBT)Beck Mack & Oliver Llc reduced to a holding in Permian Basin Royalty Trust by 21.34%. The sale prices were between $8.71 and $9.68, with an estimated average price of $9.3. The stock is now traded at around $10.05. The impact to a portfolio due to this sale was less than 0.01%. Beck Mack & Oliver Llc still held 12,900 shares as of 2018-03-31.
Reduced: Sanofi Contingent Value Right (Expiring 12/31/2020 (GCVRZ)Beck Mack & Oliver Llc reduced to a holding in Sanofi Contingent Value Right (Expiring 12/31/2020 by 27.51%. The sale prices were between $0.38 and $0.45, with an estimated average price of $0.4. The stock is now traded at around $0.44. The impact to a portfolio due to this sale was less than 0.01%. Beck Mack & Oliver Llc still held 333,259 shares as of 2018-03-31.
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