Murray Stahl’s LVS Holdings & Trades

First Buy
Q2 2013
Duration Held
50 Quarters
Largest Add
Q2 2013
+1.23 M Shares
Current Position
41,820 Shares
$2.25 M Value

Murray Stahl's LVS Position Overview

Murray Stahl (via Horizon Kinetics Asset Management LLC) currently holds 41,820 shares of Las Vegas Sands Corp. (LVS) worth $2.25 M, representing 0.03% of the portfolio. First purchased in 2013-Q2, this long-term strategic position has been held for 50 quarters.

Based on 13F filings since 2013, Murray Stahl has maintained a long-term strategic position in LVS, representing a significant commitment to this investment thesis. Largest addition occurred in Q3 2024, adding 11,023 shares. Largest reduction occurred in Q4 2016, reducing 246,664 shares.

Analysis based on 13F filings available since 2013 Q2

Murray Stahl's Las Vegas Sands (LVS) Holding Value Over Time

Track share changes against reported price movement

Quarterly Las Vegas Sands (LVS) Trades by Murray Stahl

Report Date Bought/Sold (Sh.) % Change Qtr. End Shares Reported Price
Q2 2013 +1.23 M Add 0.00% 1.23 M $52.93
Q3 2013 -7,494 Reduce 0.61% 1.22 M $66.42
Q4 2013 -63,030 Reduce 5.17% 1.16 M $78.87
Q1 2014 -109,958 Reduce 9.51% 1.05 M $80.78
Q2 2014 -1,694 Reduce 0.16% 1.04 M $76.22
Q3 2014 -78,379 Reduce 7.51% 965,817 $62.21
Q4 2014 -143,218 Reduce 14.83% 822,599 $58.16
Q1 2015 -63,367 Reduce 7.70% 759,232 $55.04
Q2 2015 -10,263 Reduce 1.35% 748,969 $52.57
Q3 2015 -110,451 Reduce 14.75% 638,518 $37.97
Q4 2015 -13,305 Reduce 2.08% 625,213 $43.84
Q1 2016 -17,635 Reduce 2.82% 607,578 $51.68
Q2 2016 -24,029 Reduce 3.95% 583,549 $43.49
Q3 2016 -37,784 Reduce 6.47% 545,765 $57.54
Q4 2016 -246,664 Reduce 45.20% 299,101 $53.41
Q1 2017 -7,780 Reduce 2.60% 291,321 $57.07
Q2 2017 -112,996 Reduce 38.79% 178,325 $63.89
Q3 2017 -1,889 Reduce 1.06% 176,436 $64.16
Q4 2017 -7,583 Reduce 4.30% 168,853 $69.49
Q1 2018 -3,622 Reduce 2.15% 165,231 $71.90
Q2 2018 -5,127 Reduce 3.10% 160,104 $76.36
Q3 2018 -8,277 Reduce 5.17% 151,827 $59.33
Q4 2018 -28,283 Reduce 18.63% 123,544 $52.05
Q1 2019 +119,823 Add 0.00% 119,822 $60.96
Q2 2019 -5,648 Reduce 4.71% 114,174 $59.09
Q3 2019 -8,201 Reduce 7.18% 105,973 $57.76
Q4 2019 -4,238 Reduce 4.00% 101,735 $69.04
Q1 2020 -9,269 Reduce 9.11% 92,466 $42.47
Q2 2020 -3,603 Reduce 3.90% 88,863 $45.54
Q3 2020 -3,835 Reduce 4.32% 85,028 $46.66
Q4 2020 -322 Reduce 0.38% 84,706 $59.59
Q1 2021 -350 Reduce 0.41% 84,356 $60.75
Q2 2021 -4,849 Reduce 5.75% 79,507 $52.69
Q3 2021 -4,998 Reduce 6.29% 74,509 $36.60
Q4 2021 -5,420 Reduce 7.27% 69,089 $37.65
Q1 2022 -600 Reduce 0.87% 68,489 $38.87
Q2 2022 +948 Add 1.38% 69,437 $33.58
Q3 2022 -9,505 Reduce 13.69% 59,932 $37.53
Q4 2022 -1,520 Reduce 2.54% 58,412 $48.07
Q1 2023 -3,025 Reduce 5.18% 55,387 $57.45
Q2 2023 -2,580 Reduce 4.66% 52,807 $58.00
Q3 2023 -1,810 Reduce 3.43% 50,997 $45.84
Q4 2023 +1,862 Add 3.65% 52,859 $49.21
Q1 2024 -550 Reduce 1.04% 52,309 $51.70
Q2 2024 -3,037 Reduce 5.81% 49,272 $44.25
Q3 2024 +11,023 Add 22.37% 60,295 $50.34
Q4 2024 +100 Add 0.17% 60,395 $51.36
Q1 2025 +1,385 Add 2.29% 61,780 $38.63
Q2 2025 +213 Add 0.34% 61,993 $43.51
Q3 2025 -20,173 Reduce 32.54% 41,820 $53.79

Murray Stahl's Las Vegas Sands Investment FAQs

Murray Stahl first purchased Las Vegas Sands Corp. (LVS) in Q2 2013, acquiring 1,226,372 shares, as reported in their 13F filing for that period. Note: Analysis reflects filings available since Q2 2013; earlier records may be incomplete.

Murray Stahl has held Las Vegas Sands Corp. (LVS) for 50 quarters since Q2 2013.

Murray Stahl's largest addition to Las Vegas Sands Corp. (LVS) was in Q2 2013, adding 1,226,372 shares worth $64.91 M.

According to the latest 13F filing for Q3 2025, Murray Stahl's firm, Horizon Kinetics Asset Management LLC, owns 41,820 shares of Las Vegas Sands Corp. (LVS), valued at approximately $2.25 M.

As of the Q3 2025 filing, Las Vegas Sands Corp. (LVS) represents approximately 0.03% of Murray Stahl's publicly disclosed stock portfolio, making it one of their key holdings.

Murray Stahl's peak holding in Las Vegas Sands Corp. (LVS) was 1,226,372 shares, as reported at the end of Q2 2013.