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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
BERKSHIRE HATHAWAY INC BRK/BCommon309,332-4,95964,347,000-2,650,00009/30/2019
DMC Global Inc. BOOMCOM798,719-18,57435,128,000-16,648,00009/30/2019
Atkore International Group Inc. ATKRCOM1,049,574-773,31831,855,000-15,303,00009/30/2019
WELLS FARGO & COMPANY/MN WFCCommon621,515-20,55731,349,000966,00009/30/2019
Colfax CORP CFXCOM999,242-57,46429,038,000-581,00009/30/2019
SCHLUMBERGER LIMITED/NV SLBCommon820,844-14,78428,048,000-5,160,00009/30/2019
ALLEGHENY TECHNOLOGIES INC ATICommon1,366,294-24,25527,667,000-7,375,00009/30/2019
GRANITE CONSTRUCTION INC GVACommon816,741399,09126,242,0006,120,00009/30/2019
APACHE CORP APACommon1,010,313-17,77225,864,000-3,920,00009/30/2019
Discovery Communications, Inc. DISCKCommon792,906-31,21819,521,000-3,925,00009/30/2019
AMERISOURCEBERGEN CORP ABCCommon221,791-7,11618,260,000-1,257,00009/30/2019
SEABRIDGE GOLD INC SACommon1,326,447-52,27116,793,000-1,861,00009/30/2019
ERA GROUP INC. ERACOM1,557,183-97,20416,444,0002,646,00009/30/2019
DANAHER CORP /DE/ DHRCommon103,223-98414,908,00015,00009/30/2019
DOLLAR TREE INC DLTRCOM114,291-2,94113,047,000457,00009/30/2019
MCKESSON CORP MCKCommon94,730-2,94912,946,000-181,00009/30/2019
ALLIANCE DATA SYSTEMS CORP ADSCommon100,811-2,43912,917,000-1,551,00009/30/2019
TRIMAS CORP TRSCommon344,513010,559,000-111,00009/30/2019
Altra Industrial Motion Corp. AIMCCommon355,4975,7009,845,000-2,706,00009/30/2019
PATTERSON UTI ENERGY INC PTENCommon1,097,901-5,0449,387,000-3,308,00009/30/2019
Post Holdings, Inc. POSTCommon87,659-2,5829,278,000-104,00009/30/2019
TRANSOCEAN INC RIGCommon2,060,021-27,0999,208,000-4,170,00009/30/2019
HALLIBURTON CO HALCommon445,506155,6508,398,0001,807,00009/30/2019
Liberty Media Corp BATRKCommon292,662-11,0078,121,000-373,00009/30/2019
Interactive Brokers Group, Inc. IBKRCl A144,06895,7857,748,0005,131,00009/30/2019
DEVON ENERGY CORP/DE DVNCommon304,348-16,3577,323,000-1,824,00009/30/2019
SPDR GOLD TRUST GLDGOLD SHS50,86650,8667,064,0007,064,00009/30/2019
MANITOWOC CO INC MTWCommon Stock490,724-9,3506,134,000-2,767,00009/30/2019
VERIZON COMMUNICATIONS INC VZCommon101,260-5156,112,000298,00009/30/2019
Centennial Resource Development, Inc. CDEVCommon1,309,2681,040,8955,911,0003,874,00009/30/2019
SYNALLOY CORP SYNLCommon326,511-106,4835,208,000-1,555,00009/30/2019
AT&T CORP TCommon121,092-3,4264,582,000409,00009/30/2019
MURPHY OIL CORP /DE MURCommon203,56916,5894,501,000-108,00009/30/2019
Ensco plc VALCommon916,624916,6244,409,0004,409,00009/30/2019
UNIT CORP UNTCommon1,082,648194,5663,659,000-4,236,00009/30/2019
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