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David Winters - Wintergreen Advisers Q4/2011 Fund Portfolio

David Winters - Wintergreen Advisers Q4/2011 Fund Investing Strategies By Dividend Yield – Stock Capital, Investment. Here is a current portfolio update of David Winters - Wintergreen Advisers - portfolio movements as of Q4/2011 (December 31, 2011). In total, he held 14 stocks with a total portfolio worth of USD 579,185,000.

Strategy:
Under normal market conditions, the Fund invests mainly in equity securities (including securities convertible into, or that the Investment Manager expects to be exchanged for, common or preferred stock) of companies of any nation that the Investment Manager believes are available at market prices less than their value. The Investment Manager will seek to identify securities through extensive analysis and research, taking into account, among other factors, the relationship of book value to market value, cash flow and multiples of earnings

David Winters - Wintergreen Advisers fund positions as of Q4/2011 with actual share movements:
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Sym - Stock
Portfolio Weight
Recent activity
Reported Price*
CNQ - Canadian Natural Resources
15.63
0
$37.45
PM - Philip Morris Intl.
12.85
Add 1.61%
$78.48
BRK.B - Berkshire Hathaway CL B
10.98
0
$76.30
RAI - Reynolds American Inc.
10.61
0
$41.42
MA - Mastercard Inc.
10.27
0
$372.82
BEN - Franklin Resources
9.63
Add 10.48%
$96.06
CTO - Consolidated Tomoka Land Co.
7.21
0
$27.07
KO - Coca Cola Co.
5.74
0
$69.97
GOOG - Google Inc.
4.24
0
$645.89
KOF - Coca-Cola FEMSA S A CV
3.18
0
$95.21
ATVI - Activision Blizzard Inc.
3.09
0
$12.32
MCD - McDonald's Corp.
2.72
0
$100.33
NSC - Norfolk Southern Corp.
2.37
0
$72.86
WYNN - Wynn Resorts Ltd.
1.48
0
$110.49





Related Stock Ticker of David Winters - Wintergreen Advisers:
CNQ, PM, BRK.B, RAI, MA, BEN, CTO, KO, GOOG, KOF, ATVI, MCD, NSC, WYNN