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Wallace R. Weitz - Weitz Value Q3-2011 Fund Portfolio

|Includes:AON, BRK.B, BUD, CMC, CMCSA, COP, CVS, DELL, DEO, DIS, GOOG, HPQ, LBTYK, LMT, MLM, MOS, Microsoft Corporation (MSFT), OMC, PX, QVCA, RWT, TGT, TXN, TYC, UPS, VRX, WFC, WMT

Wallace R. Weitz - Weitz Value Q3-2011 Fund Investing Strategies By Dividend Yield – Stock Capital, Investment. Here is a current portfolio update of Wallace R. Weitz’s - Weitz Value - portfolio movements as of Q3/2011 (September 30, 2011). In total, he held 30 stocks with a total portfolio worth of USD 698,192,000.

 

Wallace R. Weitz - Weitz Value - Q3-2011 fund positions with actual share movements:
Wallace R. Weitz - Weitz Value Q3-2011 Fund Portfolio....

 

 

Related Stock Ticker of Wallace R. Weitz - Weitz Value’s Fund Portfolio:

MSFT, AON, BRK.B, GOOG, DELL, WFC, TXN, COP, UPS, TYC, TGT, LBTYK, LINTA, CMCSK, MLM, WMT, BUD, OMC, CVS, VRX, LMT, HPQ, SWIN, DEO, PX, DIS, CAN, CMC, MOS, RWT


Stocks: MSFT, AON, BRK.B, GOOG, DELL, WFC, TXN, COP, UPS, TYC, TGT, LBTYK, QVCA, CMCSA, MLM, WMT, BUD, OMC, CVS, VRX, LMT, HPQ, DEO, PX, DIS, CMC, MOS, RWT