Asset Manager · CIK 0000846222
Greenhaven Associates
Greenhaven Associates, an asset manager overseeing $6.07B in disclosed equity holdings (SEC CIK 0000846222). The latest 13F filing (2026Q1) discloses 27 positions across 6 sectors, with the largest positions in General Motors Co (GM), LEN and TOL. On a mark-to-market basis the tracked portfolio has returned 47.6% over the past year. OpenStocks tracks 40 consecutive 13F filings for this manager — every position change, new entry, and exit is logged below.
Portfolio
$6.07B
Positions
27
Quarter
2026Q1
Filings tracked
40
Holdings
Sorted by value · 2025Q1
26 positions
Avg buy
$47.94
2016Q2
Current
$129.34
Return
+169.8%
Last action
Exited
2026Q1
16,665,843 sh
$1.18B
2
35045V100General Motors Co (GM)
17.77%
of portfolio
Avg buy
$40.57
2018Q1
Current
—
Return
—
Last action
Trimmed 10.0%
2026Q1
23,780,060 sh
$1.12B
Avg buy
$65.58
2016Q2
Current
—
Return
—
Last action
Added 6.0%
2026Q1
9,439,955 sh
$1.08B
Avg buy
$33.50
2016Q2
Current
$138.90
Return
+314.7%
Last action
Added 0.8%
2026Q1
5,562,582 sh
$587.35M
Avg buy
$32.04
2016Q2
Current
$120.47
Return
+276.0%
Last action
Trimmed 0.7%
2026Q1
5,587,328 sh
$574.38M
Avg buy
$63.70
2016Q2
Current
$143.35
Return
+125.0%
Last action
Trimmed 0.5%
2026Q1
3,674,763 sh
$467.17M
Avg buy
$28.97
2022Q3
Current
$143.78
Return
+396.2%
Last action
Added 0.4%
2026Q1
2,553,606 sh
$240.24M
Avg buy
$26.51
2025Q1
Current
—
Return
—
Last action
Exited
2026Q1
7,888,017 sh
$209.11M
Avg buy
$132.50
2023Q1
Current
$171.84
Return
+29.7%
Last action
Trimmed 0.2%
2026Q1
1,913,757 sh
$198.71M
Avg buy
$30.96
2022Q3
Current
$72.30
Return
+133.5%
Last action
Trimmed 0.2%
2026Q1
3,965,237 sh
$190.69M
Avg buy
$114.87
2020Q2
Current
$119.14
Return
+3.7%
Last action
Trimmed 4.1%
2026Q1
1,843,447 sh
$162.63M
Avg buy
$69.65
2018Q2
Current
—
Return
—
Last action
Trimmed 0.7%
2026Q1
1,434,368 sh
$101.67M
Avg buy
$16.16
2023Q3
Current
$19.18
Return
+18.7%
Last action
Added 0.2%
2026Q1
4,114,157 sh
$62.62M
Avg buy
$58.62
2023Q2
Current
$57.94
Return
-1.2%
Last action
Trimmed 0.6%
2026Q1
1,503,133 sh
$56.79M
Avg buy
$53.56
2017Q4
Current
—
Return
—
Last action
Trimmed 0.1%
2024Q4
364,059 sh
$39.71M
16
G3922B107GENPACT LIMITED
0.12%
of portfolio
Avg buy
$33.30
2023Q4
Current
—
Return
—
Last action
Trimmed 0.7%
2025Q3
146,678 sh
$7.39M
17
G25508105CRH PLC
0.04%
of portfolio
Avg buy
$55.15
2023Q3
Current
—
Return
—
Last action
Trimmed 8.5%
2026Q1
26,937 sh
$2.37M
Avg buy
$33.74
2020Q2
Current
$92.62
Return
+174.5%
Last action
Trimmed 11.1%
2025Q4
20,000 sh
$1.57M
Avg buy
$179.76
2016Q2
Current
$900.00
Return
+400.7%
Last action
Exited
2025Q4
2,500 sh
$1.37M
Avg buy
$44.39
2016Q2
Current
$118.25
Return
+166.4%
Last action
—
10,700 sh
$1.25M
Avg buy
$109.62
2016Q2
Current
—
Return
—
Last action
Trimmed 16.7%
2025Q3
5,000 sh
$1.23M
Avg buy
$45.00
2019Q3
Current
$187.32
Return
+316.2%
Last action
Exited
2025Q3
10,000 sh
$1.17M
Avg buy
$178.51
2020Q2
Current
—
Return
—
Last action
Exited
2025Q2
1,001 sh
$533.1K
Avg buy
$103.84
2016Q4
Current
$251.07
Return
+141.8%
Last action
New holding
2016Q4
2,032 sh
$480.0K
25
N82405106STELLANTIS N.V
0.01%
of portfolio
Avg buy
$10.91
2025Q1
Current
—
Return
—
Last action
Added 3.4%
2026Q1
30,000 sh
$336.3K
Avg buy
$28.15
2025Q1
Current
$26.40
Return
-6.2%
Last action
Exited
2026Q1
3,800 sh
$207.3K
Portfolio heatmap
Box size = % of portfolio · color = return since filing
General Motors Co (GM)
17.77%
Sector exposure
Share of dollar value across the latest 13F report. Unclassified positions excluded.
- Consumer Cyclical6 pos$2.98B58.1%
- Financial Services5 pos$1.19B23.2%
- Technology2 pos$389.4M7.6%
- Industrials4 pos$297.7M5.8%
- Real Estate1 pos$209.1M4.1%
- Energy1 pos$62.6M1.2%
- Healthcare1 pos$1.3M0.0%
(18.6% unclassified, excluded from %)