My top (>2%) positions in no particular order: FRFHF, JPM, BRKB, LMCA, TESB.BE, STRZA, GDWN.L, MKL, In: Out: SFY bonds, SFTBY, FRMO, LBTYA/K - price drops
Fixed income: 1% Cash: 28%
Sectors (kinda): Insurance(FRFHF, BRK, MKL): 21%, Malone/media: 10%, Banks: 5%, Oil: 7%, Tech: 2%, Various owner-operators (not included in other categories): 16%
New positions: NVAFF Positions increased: BRKB, Nanocap A, BNKJF, NOV, PWE, DNR, CHK, LILA, CLKFF, AAPL Positions reduced: Positions eliminated: DRAGF Flip-flop:
Most of the activity this month was buying oil cos as both oil and prices dropped: BNKJF, NOV, PWE, DNR, CHK Sold DRAGF based on parent's tender offer. Added some CLKFF
Added a bit of AAPL
Opened exploratory position in NVAFF.
Added more BRKB. Added a tiny bit of LILA while converting LILAK to LILA. |