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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
UNITED TECHNOLOGIES CORP /DE/ RTXCOM11,266,67811,266,678694,253,000694,253,00006/30/2020
Carrier Global Corp CARRCommon30,575,47630,575,476679,387,000679,387,00006/30/2020
MOHAWK INDUSTRIES INC MHKCommon62,17562,1756,327,0006,327,00006/30/2020
HD Supply Holdings, Inc. HDSCOM153,737153,7375,327,0005,327,00006/30/2020
HIGHWOODS PROPERTIES INC HIWCommon113,530113,5304,238,0004,238,00006/30/2020
M&T BANK CORP MTBCommon33,35933,3593,468,0003,468,00006/30/2020
Fang Holdings Ltd SFUNCOM165,406165,4061,874,0001,874,00006/30/2020
Otis Worldwide Corp OTISCOM14,40714,407819,000819,00006/30/2020
BB&T CORP BBTCommon12,51312,513470,000470,00006/30/2020
DowDuPont Inc. DDCommon Stock4,0004,000213,000213,00006/30/2020
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