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Wallace Weitz - Weitz Investment Management – Largest Position Reductions (2026 Q1)

This report summarizes the most meaningful reductions and sell-offs made by Wallace Weitz - Weitz Investment Management in 2026 Q1. 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
SPGI 7,050 $425.39 Reduced -1.26% 0.21% $3M 2026 Q1
CMCSA 47,000 $28.7 Reduced -44.71% 0.09% $1.35M 2026 Q1
FTV 22,500 $55.29 Reduced -50.44% 0.09% $1.24M 2026 Q1
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