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Focused investors/Mason Hawkins

Mason Hawkins - Southeastern Asset Management

As of Q2 2026, Mason Hawkins reported 47 long-equity positions worth $1.92B in aggregate.

Copy-investor backtest

Latest quarter
+7.80%
1-year
+8.55%
3-year
+28.22%
5-year
+36.51%
3-year vs S&P 500
-45.02%
5-year vs S&P 500
-37.58%
5-year top 5
+12.80%

Return from mechanically copying the disclosed 13F equity portfolio after each filing and rebalancing at the next. The vs S&P 500 figures subtract SPY over that manager's own rebalance dates, so both sides cover the same days; both are price return, excluding dividends. Method & limitations.

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Updated 2026-06-06 from SEC 13F data.

Live quotes available for 17 of 33 rows. Rows without a quote are marked unavailable.

1LVLTLevel 3 Communications Inc.15.17%Reduce -8.9%30,007,772$1.59BNo quoteNo quote
2WYNNWynn Resorts Limited11.23%Reduce -0.2%12,560,416$1.17B$93.43No quote
3FDXFedEx Corporation10.40%Add +9.0%6,683,591$1.09B$162.72No quote
4GOOGAlphabet Inc. CL C7.40%Reduce -14.2%1,038,046$773.29M$744.95No quote
5SNIScripps Networks Interactive7.07%Reduce -13.6%11,282,835$739.03MNo quoteNo quote
6UTXUnited Technologies Corporatio6.80%Add +29.9%7,100,069$710.72MNo quoteNo quote
7CNXCONSOL Energy Inc.5.63%Add +13.3%52,146,537$588.73M$11.29No quote
8DDE.I. du Pont de Nemours and Co4.02%Add +0.4%6,638,283$420.34M$63.32No quote
9DWADreamWorks Animation SKG Inc.3.86%Add +0.3%16,180,252$403.7MNo quoteNo quote
10GHCGraham Holdings Company3.33%Add +3.1%724,751$347.88M$480.00No quote
11VSATViaSat Inc.3.26%Add +0.6%4,632,327$340.38M$73.48No quote
12PHGRoyal Philips ADR2.73%Reduce -6.9%9,981,547$284.97M$28.55No quote
13CNHICNH Industrial NV2.58%Reduce -2.5%39,945,947$270.03MNo quoteNo quote
14EGEverest Re Group Ltd.2.50%Reduce -40.5%1,325,181$261.63M$197.43No quote
15CHKChesapeake Energy Corporation2.44%Add +11.2%61,926,151$255.14MNo quoteNo quote
16RYNRayonier Inc.1.91%-8,092,321$199.72M$24.68No quote
17TRCOTribune Media Company - A1.52%Add +1.6%4,148,921$159.11MNo quoteNo quote
18ATUActuant Corporation1.52%Add +3.3%6,411,176$158.42MNo quoteNo quote
19MTNVail Resorts Inc.1.37%Reduce -37.4%1,073,700$143.55M$133.70No quote
20CHMTChemtura Corporation1.08%-4,286,930$113.17MNo quoteNo quote
21DELDeltic Timber Corp1.05%-1,827,558$109.93MNo quoteNo quote
22BENFranklin Resources Inc.0.81%Add +0.5%2,158,173$84.28M$39.05No quote
23BIDUBaidu, Inc. ADR0.77%Reduce -2.4%423,730$80.88M$190.88No quote
24AONAon PLC0.49%Reduce -93.3%485,792$50.74M$104.45No quote
25CHKChesapeake Convertible Bond 2.0.37%Add +52.7%60,798,000$39.06MNo quoteNo quote
26CHKChesapeake Convertible Bond 2.0.33%Add +406.4%54,440,000$34.98MNo quoteNo quote
27-Chesapeake Convertible Bond 2.CUSIP 165167CB10.17%Add +65.7%44,362,000$18.19MNo quoteNo quote
28CFCF Industries Holdings Inc.0.07%New247,100$7.74M$31.34No quote
29MLCOMelco Crown Entertainment Ltd.0.07%Add +152.2%416,587$6.88M$16.51No quote
30VIPSVipshop Holdings Ltd-ADR0.04%New286,800$3.69M$12.88No quote
31TPLMQTriangle Petroleum Corp.0.00%-122,659$67KNo quoteNo quote
33NOVNational Oilwell Varco Inc.-Sold0$0No quoteNo quote
32MCDMcDonald's Corporation-Sold0$0No quoteNo quote