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Longleaf Partners Fund

 
Page Created: 2008-11-19 08:34:00-08
Fund Type: SPECIALTY & MISC Report Date: 2008-08-21 Current Value: $2,998,230,539 Total Performance: -47.93 %
Family of: Longleaf Partners Funds Trust
 
   
 

Longleaf Partners Fund
Highlights

Worst Move: Longleaf Partners Fund potentially lost $-393,493,576 on changes made with Chesapeake Energy Corp (CHK) buying shares when price went down.
Best Move: Longleaf Partners Fund potentially made $-12,574,240 on changes made with Fedex Corp (FDX) buying shares when price went up.
Good Save: Longleaf Partners Fund potentially saved $72,102,800 on changes made with Potlatch Corp (PCH) selling shares when price went down.
Missed Move: Longleaf Partners Fund potentially missed $-32,362,375 on changes made with Fairfax Financial Holdings Ltd(FFH) selling shares when price went up.
 

Longleaf Partners Fund
Contact Information

C/O Southeastern Asset Management, 6410 Poplar Ave, Suite 900,Memphis Tn 38119,
Phone: 9017612474, Fax: , Website:

Longleaf Partners Fund
Symbols

LLPFX

Longleaf Partners Fund
Recent Source SEC Filings

2008-08-21 http://www.sec.gov/Archives/edgar/data/806636/0000950144-08-006616.txt
2008-05-21 http://www.sec.gov/Archives/edgar/data/806636/0000950144-08-004300.txt
 

Longleaf Partners Fund
Holding and Details

Click on column headings to sort!
Stock Country Symbol Industry Current Shares Current Value Value Chng. Return Activity Shares Chng. Shares Chg.% Results
Chesapeake Energy Corp (CHK) US CHK Oil Comp-Explor An ... 13,914,200 $293,728,762 $-393,493,576 -57.25 % New Holding 13,914,200 100.00 $-393,493,576
Del Monte Foods Co (DLM) US DLM Food-Canned None - - - % Sold All -15,725,283 -100.00 $51,421,675
Dell Inc (DELL) US DELL Computers 45,389,166 $481,125,160 $-663,135,715 -57.95 % Added More 3,010,000 7.10 $-43,976,100
Dineequity Inc (IHP) US IHP Retail-Restaurants None - - - % Sold All -2,978,100 -100.00
Directv Group Incthe (DTV) US DTV Cable Tv 13,097,000 $266,785,890 $-99,275,260 -27.11 % New Holding 13,097,000 100.00 $-99,275,260
Ebay Inc (EBAY) US EBAY E-Commerce/Service ... 17,903,050 $220,207,515 $-218,775,271 -49.83 % New Holding 17,903,050 100.00 $-218,775,271
Everest Re Group Ltd (RE) BM RE Reinsurance None - - - % Sold All -1,541,100 -100.00 $21,899,031
Fair Isaac Corp (FIC) US FIC Data Processing/Mg ... None - - - % Sold All -6,196,000 -100.00 $66,359,160
Fairfax Financial Holdings Ltd (FFH) CA FFH Multi-Line Insuran ... None - - - % Sold All -608,201 -100.00 $-32,362,375
Fedex Corp (FDX) US FDX Transport-Services 6,351,501 $411,513,750 $-104,672,736 -20.27 % Added More 763,000 13.65 $-12,574,240
General Motors Corp (GBM) US GBM Auto-Cars/Light Tr ... 14,240,000 $55,251,200 $-107,084,800 -65.96 % New Holding 14,240,000 100.00 $-107,084,800
Hilb Rogal And Hobbs Co (HRH) US HRH Insurance Brokers None - - - % Sold All -3,526,400 -100.00 $-8,957,056
Level 3 Communications Inc (LVLT) US LVLT Telephone-Integrat ... 153,597,754 $138,237,979 $-342,522,991 -71.24 % No Change - - -
Markel Corp (MKV) US MKV - None - - - % Sold All -321,905 -100.00 $962,496
Odyssey Re Holdings Corp (ORH) US ORH Reinsurance None - - - % Sold All -843,800 -100.00 $-3,780,224
Office Depot Inc (ODP) US ODP Retail-Office Supp ... None - - - % Sold All -12,901,759 -100.00 $59,993,179
Olympus Corp (OLY1.BE) KY OLY1.BE Photo Equipment An ... None - - - % Sold All -2,060,800 -100.00 $31,653,888
Potlatch Corp (PCH) US PCH Paper And Related ... None - - - % Sold All -3,605,140 -100.00 $72,102,800
Ruddick Corp (RDK) US RDK Food-Retail None - - - % Sold All -4,823,500 -100.00 $18,377,535
Sun Microsystems Inc (JAVA) US JAVA Computers 44,960,789 $166,804,527 $-280,105,715 -62.67 % Added More 15,656,793 53.42 $-97,541,820
Symantec Corp (SYMC) US SYMC Internet Security 11,754,800 $145,759,520 $-111,435,504 -43.32 % New Holding 11,754,800 100.00 $-111,435,504
Telephone And Data Sys Inc (TDA) US TDA - 1,530,800 $19,533,008 $-10,929,912 -35.87 % No Change - - -
Texas Industries Inc (TXI) US TXI Bldg Prod-Cement/A ... None - - - % Sold All -3,244,800 -100.00 $68,724,864
Ubs Ag (UBS) US UBS Finance-Invest Bnk ... 14,443,800 $157,726,296 $-133,460,712 -45.83 % New Holding 14,443,800 100.00 $-133,460,712
Walgreen Co (WAG) US WAG Retail-Drug Store 12,814,000 $304,332,500 $-159,918,720 -34.44 % New Holding 12,814,000 100.00 $-159,918,720
Wendysarbys Group Inc (TRY.B) US TRY.B Retail-Restaurants None - - - % Sold All -6,062,000 -100.00
Willis Group Holdings Ltd (WSH) BM WSH Insurance Brokers None - - - % Sold All -2,513,000 -100.00 $21,159,460
Worthington Industries Inc (WOR) US WOR Metal Processors A ... None - - - % Sold All -8,034,400 -100.00 $53,750,136
Yum Brands Inc (YUM) US YUM Retail-Restaurants 13,292,252 $337,224,433 $-135,580,970 -28.67 % New Holding 13,292,252 100.00 $-135,580,970
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Listed 29 holdings.
 

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