My top (>2%) positions in no particular order: BRKB, FRFHF, ISTB, JPM, EXXRF, LSXMA, DISCK, GLIBA, MKL, AAPL In: Out: TESB.BE - sold
Fixed income: 10% Cash: 7% Sectors (kinda): Insurance(FRFHF, BRK, MKL): 23%, Malone/media: 15%, Banks/financials: 9%, Cars: 1%, Oil: 2%, Medical/pharma: 1%, Tech: 10%, Various owner-operators (not included in other categories): 14%
New positions: BYDDF, TVPT Positions increased: FB, BAM Positions reduced: TESB.BE, Fannie/Freddie prefs Positions eliminated: MD Flip-flop:
Some changes in portfolio.
I decided that TESB.BE is not a great business and may not have great results going forward even with good management at the helm. I sold most of my position. The business is cyclical though and I may have sold before cycle turn. I exited MD position due to questionable news. I further reduced Fannie/Freddie pref position as there were no positive news on the regulatory side or on the legal side.
I added to FB and BAM as stocks have dropped. I bought initial tracking position in BYDDF. I bought a position in TVPT. It seems to be a good business targeted by activist investor. |