13F-HR 1 x13f123108final.txt SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 FORM 13F-HR FORM 13F COVER PAGE Report for the Calendar Year or Quarter Ended: December 31, 2008 Check here if Amendment [ ]; Amendment Number: This Amendment (Check only one.): [ ] is a restatement. [ ] adds new holdings entries. Institutional Investment Manager Filing this Report: Name: DAVIS SELECTED ADVISERS, LP Address: 2949 East Elvira Road, Suite 101 Tucson, Arizona 85756 13F File Number: 28-04121 The institutional investment manager filing this report and the person by whom it is signed hereby represent that the person signing the report is authorized to submit it, that all information contained herein is true, correct and complete, and that it is understood that all required items, statements, schedules, lists, and tables, are considered integral parts of this form. Person Signing this Report on Behalf of reporting Manager: Name: Anthony Frazia,JD, CRCP Title: Co-Chief Compliance Officer/Director of Institutional, Operations,Compliance and Risk Management Phone: (212) 891-5508 Signature, Place, and Date of Signing: Anthony Frazia New York, New York February 13, 2009 Report Type (Check only one.): [X] 13F HOLDINGS REPORT. [ ] 13F NOTICE. [ ] 13F COMBINATION REPORT. List of Other Managers Reporting for this Manager: none I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE ACT OF 1934 FORM 13F SUMMARY PAGE Report Summary: Number of Other Included Mangers: 0 Form 13F Information Table Entry Total: 219 Form 13F Information Table Value Total: $52,948,486,000 List of Other Included Managers: None Form 13F Information Table Value Shares/ SH/PUT/Invstmt Other Voting Authority Name of Issuer Title of Class CUSIP (x$1000) PRN AMT PRNCALLDscretnManagers Sole Shared None ------------------------------ ------------------------ -------- -------- ---------------------- -------- ----- -------- 3M Company Common Stock 88579Y101 374 6500SH Sole 6500 0 0 ABB Limited ADR Foreign - ADR 000375204 70781 4715580SH Sole 4403278 0 312302 Ace Limited Common Stock H0023R105 9663 182600SH Sole 182600 0 0 AES Corp. Common Stock 00130H105 170582 20701700SH Sole 19513250 0 1188450 AES Trust III,6.75%,10/15/29 Preferred Stock00808N202 10917 288810SH Sole 288810 0 0 AFLAC, Inc. Common Stock 001055102 2407 52500SH Sole 52500 0 0 Agilent Technologies, Inc. Common Stock 00846U101 423506 27260866SH Sole 25291474 0 1969392 Alexander & Baldwin, Inc. Common Stock 014482103 15084 601665SH Sole 428779 0 172886 Alexandria Real Estate Equities Common Stock 015271109 79609 1320466SH Sole 397534 0 922932 Alleghany Corp Common Stock 017175100 473 1677SH Sole 1677 0 0 Allstate Corp Common Stock 020002101 637 19436SH Sole 19436 0 0 Altria Group Inc. Common Stock 02209S103 30425 2019916SH Sole 1897209 0 122707 Amazon.Com, Inc. Common Stock 023135106 250836 4891488SH Sole 4569771 0 321717 AMB Property 6.75% Series M Pfd Preferred Stock00163T406 4719 300000SH Sole 206200 0 93800 AMB Property Corp. Common Stock 00163T109 24461 1044446SH Sole 0 0 1044446 Ambac Financial Group Inc. Common Stock 023139108 3756 3005055SH Sole 2646757 0 358298 America Movil S.A.B. de C.V. Foreign - ADR 02364W105 1881 60692SH Sole 60692 0 0 American Campus Communities Common Stock 024835100 57501 2809736SH Sole 882145 0 1927591 American Express Co. Common Stock 025816109 1522218 82324177SH Sole 77131089 0 5193088 American International Group IncCommon Stock 026874107 93865 59786684SH Sole 57674524 0 2112160 American Tower Corp Cl A Common Stock 029912201 4329 150844SH Sole 123253 0 27591 Ameriprise Financial, Inc. Common Stock 03076C106 301039 13001920SH Sole 12438071 0 563849 Autozone Inc., 5.5 11/15/2015 Corporate Bond 053332AF9 1544 1900000SH Sole 1900000 0 0 Avalonbay Communities, Inc. Common Stock 053484101 29878 493203SH Sole 0 0 493203 Avon Products, Inc. Common Stock 054303102 152506 6346496SH Sole 5947574 0 398922 Axis Capital Holdings Limited Common Stock G0692U109 3836 131714SH Sole 131714 0 0 Bank of America Corp. Common Stock 060505104 486 34502SH Sole 34502 0 0 Bank of New York Mellon Corp. Common Stock 064058100 1540679 54547207SH Sole 51228740 0 3318467 Bed Bath + Beyond Inc. Common Stock 075896100 551781 21710854SH Sole 20300076 0 1410778 Berkshire Hathaway, Class A Common Stock 084670108 2069052 21419SH Sole 20627 0 792 Berkshire Hathaway, Class B Common Stock 084670207 554516 177628SH Sole 145435 0 32193 Blount International, Inc. Common Stock 095180105 37071 3959568SH Sole 3373304 0 586264 Boston Properties, Inc. Common Stock 101121101 56261 1023775SH Sole 234400 0 789375 BP Amoco PLC - ADR Foreign - ADR 055622104 795 17000SH Sole 17000 0 0 Brookfield Asset Mgt - CL A Foreign Stock 112585104 216463 14178133SH Sole 12985889 0 1192244 Brown & Brown, Inc. Common Stock 115236101 2376 113764SH Sole 92578 0 21186 Burlington Northern Santa Fe IncCommon Stock 12189T104 15512 205053SH Sole 145747 0 59306 Canadian Natural Resources Ltd. Foreign Stock 136385101 956390 23980204SH Sole 22482236 0 1497968 Cardinal Health Inc. Common Stock 14149Y108 385831 11207028SH Sole 10374354 0 832674 CarMax, Inc. Common Stock 143130102 241671 30663507SH Sole 28839669 0 1823838 CBL & Associates Properties Common Stock 124830100 13520 2080000SH Sole 0 0 2080000 Charles Schwab Corp. Common Stock 808513105 19139 1210664SH Sole 1007787 0 202877 China Life Insurance, Co. Foreign - ADR 16939P106 19519 420663SH Sole 420663 0 0 Chubb Corp. Common Stock 171232101 3945 77344SH Sole 77344 0 0 Cisco Systems, Inc. Common Stock 17275R102 337556 20721990SH Sole 19201556 0 1520434 Citigroup Inc. Common Stock 172967101 139515 20758472SH Sole 19350844 0 1407628 Citigroup Inc. 6.5% 12/31/49 Preferred Stock172967598 11196 400000SH Sole 400000 0 0 Clark Holdings, Inc. Common Stock 18145M109 911 1493715SH Sole 1493715 0 0 CME Group Inc. Common Stock 12572Q105 562 2701SH Sole 2701 0 0 CNA Financial Corporation Common Stock 126117100 218 13268SH Sole 13268 0 0 Coca Cola Co Common Stock 191216100 265 5850SH Sole 5850 0 0 Cogdell Spencer, Inc. Common Stock 19238U107 23551 2516178SH Sole 1479528 0 1036650 Comcast Corp - Special Cl A Common Stock 20030N200 1393237 86587999SH Sole 80277649 0 6310350 Companhia Vale do Rio Doce Foreign - ADR 204412100 1470 138019SH Sole 138019 0 0 ConocoPhillips Common Stock 20825C104 2403400 46433758SH Sole 43240862 0 3192896 Continental Airlines Financial Preferred Stock210796306 3226 161300SH Sole 161300 0 0 Corporate Office Properties TrusCommon Stock 22002T108 82606 2695593SH Sole 662073 0 2033520 Costco Wholesale Corp. Common Stock 22160K105 2757648 52716931SH Sole 48990196 0 3726735 Cousins Properties, Inc. Common Stock 222795106 50754 3670336SH Sole 1505918 0 2164418 CVS Caremark Corp. Common Stock 126650100 1062719 37058005SH Sole 34386402 0 2671603 D & B Corp. Common Stock 26483E100 645651 8376258SH Sole 8030086 0 346172 DCT Industrial Trust Inc. Common Stock 233153105 51516 10194839SH Sole 1731120 0 8463719 Dell Inc. Common Stock 24702R101 157390 15370155SH Sole 14376455 0 993700 Devon Energy Corp. Common Stock 25179M103 1912260 29113672SH Sole 27067476 0 2046197 Diageo PLC - ADR Foreign - ADR 25243Q205 301138 5342259SH Sole 4347171 0 995088 Digital Realty LP DLR - Ser A Preferred Stock253868202 4000 250000SH Sole 86231 0 163769 Digital Realty LP DLR - Ser D Preferred Stock253868608 13284 650000SH Sole 650000 0 0 Digital Realty LP DLR 4.125 Corporate Bond 25389JAA4 7867 7750000SH Sole 7750000 0 0 Digital Realty Trust Inc. Common Stock 253868103 88623 2700280SH Sole 828270 0 1872010 Discover Financial Services Common Stock 254709108 44016 4618677SH Sole 4336062 0 282615 Disney Walt Holdings Common Stock 254687106 19268 853210SH Sole 711143 0 142067 Douglas Emmett, Inc Common Stock 25960P109 30860 2364780SH Sole 730110 0 1634670 eBay Inc. Common Stock 278642103 96135 6886430SH Sole 6420585 0 465845 EOG Resources, Inc. Common Stock 26875P101 1580673 23775296SH Sole 22113330 0 1661966 Equity Residential - Series E Preferred Stock29476L883 2086 63200SH Sole 49600 0 13600 Essex Property Trust, Inc. Common Stock 297178105 52851 689195SH Sole 176712 0 512483 ETRADE Financial Corp. Common Stock 269246104 17741 15451499SH Sole 14335577 0 1115922 Everest Re Group, Ltd. Common Stock G3223R108 88831 1165876SH Sole 1107863 0 58013 Express Scripts Inc - Class A Common Stock 302182100 583728 10590088SH Sole 9905703 0 684385 Fairchild Semiconductor Int. Common Stock 303726103 2239 457900SH Sole 457900 0 0 Fairfax Financial Holdings Ltd. Foreign Stock 303901102 667 2129SH Sole 2129 0 0 Federal Realty Investment Trust Common Stock 313747206 54844 883975SH Sole 173277 0 710698 First Potomac Realty Trust Common Stock 33610F109 17837 1922945SH Sole 698176 0 1224769 Forest City Ent FCE 3.625 Corporate Bond 345550AH0 12202 23000000SH Sole 23000000 0 0 Forest City Enterprises - A Common Stock 345550107 21010 3149486SH Sole 2560879 0 588607 FPIC Insurance Group, Inc. Common Stock 302563101 18558 423894SH Sole 423894 0 0 Garmin Ltd. Common Stock G37260109 81772 4248039SH Sole 3857688 0 390351 General Electric Co Common Stock 369604103 9039 557957SH Sole 557957 0 0 General Growth Prop. 3.98 4/15/2Corporate Bond 36170XAA3 1601 21000000SH Sole 21000000 0 0 General Growth Properties Inc. Common Stock 370021107 3645 2833264SH Sole 2175030 0 658234 Goldman Sachs Group Inc. Common Stock 38141G104 193498 2292969SH Sole 2163636 0 129333 Google Inc. Class A Common Stock 38259P508 592910 1930770SH Sole 1783201 0 147569 Grupo Televisa SA-Spons Foreign - ADR 40049J206 632383 42442250SH Sole 39402325 0 3039925 H & R Block, Inc. Common Stock 093671105 1002135 44199330SH Sole 41108495 0 3090835 Harley-Davidson, Inc. Common Stock 412822108 398125 23545308SH Sole 21973456 0 1571852 Hartford Fin Svcs Group Inc. Common Stock 416515104 46823 2851600SH Sole 2516330 0 335270 Hewlett Packard Co. Common Stock 428236103 736922 20313211SH Sole 18975888 0 1337323 Highwoods Properties Inc. Common Stock 431284108 41955 1533457SH Sole 0 0 1533457 Hunter Douglas N.V. Foreign Stock 5291810 81773 2483928SH Sole 2331997 0 151931 ICICI Bank Limited -ADR Foreign - ADR 45104G104 3752 194900SH Sole 194900 0 0 IDEXX Laboratories, Inc. Common Stock 45168D104 26867 748322SH Sole 639467 0 108855 Ing Groep N.V. Foreign - ADR 456837103 288 25990SH Sole 25990 0 0 Intel Corp 2.95 12/15/2035 Corporate Bond 458140AD2 20790 24000000SH Sole 24000000 0 0 Intel Corp. Common Stock 458140100 2492 170000SH Sole 170000 0 0 International Business Machines Common Stock 459200101 1980 23528SH Sole 23528 0 0 International Rectifier Corp. Common Stock 460254105 4005 296700SH Sole 296700 0 0 Iron Mountain Inc. Common Stock 462846106 995792 40783126SH Sole 37815992 0 2967134 ISHARES RUSSELL 3000 COMMON 464287689 9767 191061SH Sole 146186 0 44875 ISHARES T DJ US R EST COMMON 464287739 964 27120SH Sole 27120 0 0 ISHARES TR S&P500/BAR COMMON 464287408 80691 1819728SH Sole 1611788 0 207940 Johnson & Johnson Common Stock 478160104 432898 7251433SH Sole 6585950 0 665483 Johnson Controls, Inc. Common Stock 478366107 6015 334051SH Sole 272072 0 61979 JPMorgan Chase & Co. Common Stock 46625H100 2459056 78141834SH Sole 72908516 0 5233318 Kohls Corp Common Stock 500255104 22169 612400SH Sole 612400 0 0 Kohls Corp Bond Corporate Bond 500255AP9 4244 5300000SH Sole 5300000 0 0 Koninklijke Philips Electronics Foreign - ADR 500472303 2516 126632SH Sole 126632 0 0 Level 3 Comm, 10% 5/1/2011 Corporate Bond 52729NBE9 60125 100000000SH Sole 100000000 0 0 Level 3 Comm, 15% 1/15/2013 Corporate Bond 52729NBM1 40150 40000000SH Sole 40000000 0 0 Liberty Media Corp Enter Ser A Common Stock 53071M500 160185 9172584SH Sole 8501036 0 671548 Liberty Media Interactive A Common Stock 53071M104 36448 11693661SH Sole 10824325 0 869336 Loews Corp. Common Stock 540424108 1322457 46906457SH Sole 43756185 0 3150272 Lowes Cos Inc. Common Stock 548661107 252296 11723799SH Sole 10921534 0 802265 M B I A Inc. Common Stock 55262C100 20090 4933279SH Sole 4618337 0 314942 Markel Corp. Common Stock 570535104 129650 435672SH Sole 394245 0 41427 Martin Marietta Materials, Inc. Common Stock 573284106 612285 6307015SH Sole 5959640 0 347375 Masco Corp, 6.125 10/03/16 Corporate Bond 574599BD7 8236 12000000SH Sole 12000000 0 0 Masco Corp. Common Stock 574599106 7105 638400SH Sole 638400 0 0 Mercury General Corp. Common Stock 589400100 1656 36000SH Sole 36000 0 0 Merrill Lynch & Co. Inc. Common Stock 590188108 132009 11341013SH Sole 10528640 0 812373 Microsoft Corp. Common Stock 594918104 1150580 59233764SH Sole 54924772 0 4308992 MMA CMNTY Corporate Bond 55399AEL0 2032 2032000SH Sole 0 0 2032000 MMA CMNTY Dev Investments Below Corporate Bond 55399AEK2 903 903000SH Sole 0 0 903000 Monsanto Co. Common Stock 61166W101 256323 3644812SH Sole 3398818 0 245994 Moody's Corp. Common Stock 615369105 378683 18851455SH Sole 17634602 0 1216852 Morgan Stanley Common Stock 617446448 38139 2377744SH Sole 2220374 0 157370 Nabors 0.94 Cpn Conv Bond Corporate Bond 629568AP1 2059 2500000SH Sole 2500000 0 0 Nabors Industries Ltd. Common Stock G6359F103 5650 472000SH Sole 472000 0 0 Netflix Inc. Common Stock 64110L106 57791 1976396SH Sole 1645089 0 331307 News America NCPO 02/28/21-06 Corporate Bond 652482AZ3 9687 16050000SH Sole 16050000 0 0 News Corp., Class A Common Stock 65248E104 668207 73768947SH Sole 68642673 0 5126274 News Corp., Class B Common Stock 65248E203 1102 115000SH Sole 115000 0 0 Nokia Oyj Corp. - ADR Foreign - ADR 654902204 832 53309SH Sole 53309 0 0 Occidental Petroleum Corp. Common Stock 674599105 1899264 31788756SH Sole 29490769 0 2297986 Old Republic International Inc. Common Stock 680223104 254 21350SH Sole 21350 0 0 PACCAR Inc Common Stock 693718108 91858 3211820SH Sole 2951850 0 259970 Philip Morris International Common Stock 718172109 1900960 43641796SH Sole 40759727 0 2882069 Power Corp. of Canada Foreign Stock 739239101 5827 320840SH Sole 320840 0 0 Principal Financial Group, Inc. Common Stock 74251V102 100740 4463453SH Sole 4167673 0 295780 Procter & Gamble Co. Common Stock 742718109 1127992 18267319SH Sole 17100737 0 1166582 Progressive Corp. Common Stock 743315103 1181065 80032687SH Sole 74529201 0 5503486 Prologis, 2.25% Conv. Bond 4/01/Corporate Bond 743410AQ5 4400 10000000SH Sole 6895000 0 3105000 Quanta Services, Inc. Common Stock 74762E102 15113 763290SH Sole 763290 0 0 Reckson Operating SLG4 06/15/25 Corporate Bond 75621LAJ3 8325 10000000SH Sole 10000000 0 0 Redwood Trust Inc. Common Stock 758075402 31908 2189048SH Sole 2019568 0 169480 Regency Centers Corporation Common Stock 758849103 19267 412576SH Sole 0 0 412576 RenaissanceRe Holdings Ltd Common Stock G7496G103 6482 126598SH Sole 103227 0 23371 RHJ Intl Foreign - ADR 749561205 1918 396550SH Sole 396550 0 0 Ryanair Holdings PLC ADR Foreign - ADR 783513104 1636 56259SH Sole 56259 0 0 SAP AG Foreign - ADR 803054204 18736 520653SH Sole 430942 0 89711 Schering Plough Corp. Common Stock 806605101 738649 43369791SH Sole 39945668 0 3424123 Schlumberger Ltd. Common Stock 806857108 508 12000SH Sole 12000 0 0 School Specialty Inc Common Stock 807863105 2294 120000SH Sole 120000 0 0 School Specialty SCHS 3.75 Corporate Bond 807863AL9 5929 8500000SH Sole 8500000 0 0 School Specialty, Inc., Corporate Bond 807863AE5 17101 22101000SH Sole 22101000 0 0 Sealed Air Corp. Common Stock 81211K100 861675 57784149SH Sole 53770821 0 4013328 Sealed Air Corp. 3% 06/30/33 Corporate Bond 81211KAG5 7200 8000000SH Sole 8000000 0 0 Sears Holdings Corp. Common Stock 812350106 80478 2070442SH Sole 1962112 0 108330 Shaw Group Inc Common Stock 820280105 13650 677318SH Sole 578969 0 98349 Sigma-Aldrich Corp. Common Stock 826552101 32546 778722SH Sole 648985 0 129737 Sino Forest Corp TRECN 5.0 Corporate Bond 82934HAB7 68741 96819000SH Sole 93609000 0 3210000 SL Green Realty Corp Common Stock 78440X101 52893 2044000SH Sole 601020 0 1442980 SL Green Realty Corp., 7.6% Preferred Stock78440X309 2938 200000SH Sole 135500 0 64500 SL Green Realty, 3% Conv. Corporate Bond 78444FAA4 1159 1969000SH Sole 1459000 0 510000 Sprint Nextel Corp. Common Stock 852061100 76138 41605324SH Sole 38775374 0 2829950 Staples Inc Common Stock 855030102 88494 4938265SH Sole 4699165 0 239100 State Street Corp. Common Stock 857477103 101929 2591624SH Sole 2438554 0 153070 Sun Life Financial Inc. Foreign Stock 866796105 60208 2601887SH Sole 2427217 0 174670 Suntrust Banks Inc. Common Stock 867914103 443 15000SH Sole 15000 0 0 T. Rowe Price Group, Inc. Common Stock 74144T108 2971 83830SH Sole 83830 0 0 Taubman Centers, Inc. Common Stock 876664103 20793 817799SH Sole 556619 0 261180 Tenaris S.A. - ADR Foreign - ADR 88031M109 15508 741212SH Sole 635472 0 105740 Texas Instruments, Inc. Common Stock 882508104 894570 57811888SH Sole 53710490 0 4101398 The First Marblehead Corp. Common Stock 320771108 2230 1728550SH Sole 1728550 0 0 The Hershey Co. Common Stock 427866108 134453 3870251SH Sole 3619951 0 250300 The St Joe Company Common Stock 790148100 17976 739371SH Sole 526346 0 213025 Thornburg Mortgage, 8% 05/15/13 Corporate Bond 885218AB3 3080 14000000SH Sole 14000000 0 0 Transatlantic Holdings, Inc. Common Stock 893521104 577873 14474374SH Sole 13803747 0 670627 Transocean Ltd. Common Stock H8817H100 317528 6727164SH Sole 6198687 0 528477 Tyco Electronics Ltd. Common Stock G9144P105 216214 13358661SH Sole 12458243 0 900419 Tyco International Ltd. Common Stock G9143X208 283892 13149240SH Sole 12213749 0 935492 Tyson Foods Inc Common Stock 902494103 9963 1137300SH Sole 1137300 0 0 Tyson Foods Inc 3.25 10/15/13 Corporate Bond 902494AP8 11288 14000000SH Sole 14000000 0 0 UBS AG Foreign Stock H89231338 195 13608SH Sole 13608 0 0 UDR, Inc. Common Stock 902653104 19858 1440000SH Sole 0 0 1440000 Unilever NV - NY Shares Foreign - ADR 904784709 2004 81617SH Sole 81617 0 0 Union Pacific Corp. Common Stock 907818108 784 16400SH Sole 16400 0 0 United Parcel Service, B Common Stock 911312106 267919 4857121SH Sole 4531721 0 325400 United Rental NA URI 1 7/8 10/23Corporate Bond 911365AH7 2627 3720000SH Sole 3720000 0 0 United Rentals Trust I, 6.50% Preferred Stock91136H306 1715 109741SH Sole 109741 0 0 United Rentals, Inc. Common Stock 911363109 1824 200000SH Sole 200000 0 0 UnitedHealth Group Inc. Common Stock 91324P102 796125 29884391SH Sole 28034781 0 1849610 Universal Health Services, Inc Common Stock 913903100 8134 216500SH Sole 216500 0 0 Valeant Pharmaceutical 4.00 11/1Corporate Bond 91911XAD6 3374 3900000SH Sole 3900000 0 0 Ventas, Inc. Common Stock 92276F100 79214 2361721SH Sole 612460 0 1749261 Visa Inc. Class A Shares Common Stock 92826C839 114601 2184960SH Sole 2061030 0 123930 Vornado Realty Trust Common Stock 929042109 33576 556350SH Sole 0 0 556350 Vornado Realty Trust, 3.875% Corporate Bond 929043AC1 20640 24000000SH Sole 24000000 0 0 Vornado Realty Trust, Pfd, Preferred Stock929042703 2847 175000SH Sole 0 0 175000 Vulcan Materials Corp. Common Stock 929160109 566295 8140033SH Sole 7596839 0 543194 W.R. Berkley Corp. Common Stock 084423102 4360 140649SH Sole 140649 0 0 Wachovia Corp. Common Stock 929903102 85345 15405213SH Sole 14386855 0 1018358 Waddell & Reed Financial - A Common Stock 930059100 537 34707SH Sole 34707 0 0 Waste Connections Inc 3.75 4/1/2Corporate Bond 941053AG5 9630 9000000SH Sole 9000000 0 0 Waste Connections Inc. Common Stock 941053100 9471 300000SH Sole 300000 0 0 Wells Fargo & Co. Common Stock 949746101 2355663 80077626SH Sole 74478219 0 5599408 White Mountains Insurance Group Common Stock G9618E107 514 1925SH Sole 1925 0 0 Whole Foods Market Inc. Common Stock 966837106 59968 6354705SH Sole 5978356 0 376349 WPP plc - ADR Foreign - ADR 92933H101 19790 677129SH Sole 479656 0 197473 XTO Energy Inc Common Stock 98385X106 222 6290SH Sole 6290 0 0 Yahoo! Inc. Common Stock 984332106 12436 1029153SH Sole 858840 0 170313 Yum! Brands, Inc. Common Stock 988498101 34272 1098891SH Sole 913360 0 185531 52948486