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Greenhaven Associates – Largest Position Reductions (2025 Q3)

This report summarizes the most meaningful reductions and sell-offs made by Greenhaven Associates in 2025 Q3. The analysis highlights which positions were trimmed or exited, providing insight into how the investor adjusted risk exposure and portfolio strategy.

Symbol Shares Reported Price(USD) Action Change % Portfolio Weight Position Value Filing Period
GM 23,064,358 $60.97 Reduced -2.49% 21.37% $1.41B 2025 Q3
TOL 5,580,969 $138.14 Reduced -0.37% 11.72% $770.96M 2025 Q3
PHM 5,569,828 $132.13 Reduced -0.19% 11.18% $735.94M 2025 Q3
DHI 3,637,763 $169.47 Reduced -1.18% 9.37% $616.49M 2025 Q3
OSK 2,526,606 $129.7 Reduced -1.09% 4.98% $327.7M 2025 Q3
ARW 1,898,399 $121 Reduced -0.75% 3.49% $229.71M 2025 Q3
AVT 3,928,937 $52.28 Reduced -0.86% 3.12% $205.4M 2025 Q3
LEA 1,795,824 $100.61 Reduced -2.49% 2.75% $180.68M 2025 Q3
MRP 4,601,273 $33.61 Reduced -41.66% 2.35% $154.65M 2025 Q3
MTH 1,452,954 $72.43 Reduced -2.61% 1.60% $105.24M 2025 Q3
TEX 1,477,733 $51.3 Reduced -1.48% 1.15% $75.81M 2025 Q3
C 83,273 $101.5 Reduced -99.49% 0.13% $8.45M 2025 Q3
ICLR 17,409 $175.02 Reduced -1.27% 0.05% $3.05M 2025 Q3
CRH 25,000 $119.92 Reduced -7.19% 0.05% $3M 2025 Q3
SCHW 15,000 $95.47 Reduced -25.00% 0.02% $1.43M 2025 Q3
JPM 4,000 $315.5 Reduced -20.00% 0.02% $1.26M 2025 Q3
GS 1,000 $796 Reduced -60.00% 0.01% $796K 2025 Q3
G 10,000 $41.9 Reduced -9.24% 0.01% $419K 2025 Q3
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