SI
SI
discoversearch

We've detected that you're using an ad content blocking browser plug-in or feature. Ads provide a critical source of revenue to the continued operation of Silicon Investor.  We ask that you disable ad blocking while on Silicon Investor in the best interests of our community.  If you are not using an ad blocker but are still receiving this message, make sure your browser's tracking protection is set to the 'standard' level.
Strategies & Market Trends : Value Investing

 Public ReplyPrvt ReplyMark as Last ReadFilePrevious 10Next 10PreviousNext  
To: Jurgis Bekepuris who wrote (57384)7/3/2016 12:47:24 AM
From: Jurgis Bekepuris  Read Replies (3) of 78659
 
My top (>2%) positions in no particular order: FRFHF, BRKB, JPM, EXOSF, DISCK, ISTB, LSXMA, TESB.BE, MKL, AAPL
In:
Out:

Fixed income: 4%
Cash: 10%
Sectors (kinda): Insurance(FRFHF, BRK, MKL): 30%, Malone/media: 12%, Banks/financials: 8%, Oil: 5%, Tech: 3%, Various owner-operators (not included in other categories): 15%

New positions: OTCM, IPGP, CFRUY
Positions increased: LMCA, LBTYK, JLL, JPM
Positions reduced: BATRK, AGXKF, BUD
Positions eliminated: DNR, MU
Flip-flop:

First part of this month was relatively quiet and then came the sad news about Brexit.

I sold remainder of DNR position - it's not clear if the risk/reward is attractive here.
Sold small MU position - though company is cheap on asset replacement basis, it is not clear whether its business is going to do well. Management is not attractive based on their past decisions.
Sold some BATRK - exchanged into LMCA which I find more attractive from business point of view.
Sold some AGXKF on runup.
Sold some BUD - high valuation even considering approved merger.

Bought initial positions in OTCM, IPGP, CFRUY all of which may be attractive businesses to hold long term and are managed by owner operators.

Added to LBTYK, JLL and JPM on Brexit drops.
Report TOU ViolationShare This Post
 Public ReplyPrvt ReplyMark as Last ReadFilePrevious 10Next 10PreviousNext