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Fairfax Financial Holdings (Prem Watsa) - FilingSpy
Fairfax Financial Holdings
Prem Watsa
$1.88B
13F
2023 Q2
11 of 53 quarters
Overview
Activity
Holdings
Buys
DICE
NEW
Dice Therapeutics Inc
$6.04M
+130.0K shares
ATS
NEW
Ats Corporation
$1.84M
+40.0K shares
EPAM
NEW
Epam Systems Inc
$1.56M
+7.0K shares
ARCE
NEW
Arco Platform Ltd
$763.6K
+63.2K shares
CNSL
NEW
Consolidated Communications Holdings, Inc.
$302.0K
+78.8K shares
OXY
Occidental Petroleum Corp
$189.16M
+ $164.78M
=
$353.94M
3.03M
+2.99M (+98.67%)
MU
Micron Technology Inc
$231.66M
+ $13.51M
=
$245.17M
3.84M
+46.8K (+1.22%)
ORLA
Orla Mining Ltd
$71.95M
+ $10.98M
=
$82.93M
15.38M
+4.53M (+29.47%)
VOO
Vanguard Index Funds
$526.4K
+ $33.68M
=
$34.20M
1.4K
+82.6K (+5900.00%)
META
Meta Platforms Inc
$2.61M
+ $3.59M
=
$6.20M
12.3K
+9.3K (+75.61%)
ATVI
Activision Blizzard, Inc.
$1.77M
+ $3.26M
=
$5.03M
20.7K
+39.0K (+188.41%)
GNTX
Gentex Corporation
$274.7K
+ $2.21M
=
$2.49M
9.8K
+75.2K (+767.35%)
GTX
Garrett Motion Inc
$840.7K
+ $1.32M
=
$2.16M
109.9K
+175.9K (+160.02%)
FHN
First Horizon Corp
$1.61M
- $37.0K
=
$1.57M
90.3K
+49.0K (+54.26%)
Sells
AXP
EXIT
American Express Company
$263.9K
- $263.9K
=
Closed
-1.6K shares (100%)
BAC
EXIT
Bank of America Corporation
$97.20M
- $97.20M
=
Closed
-3.40M shares (100%)
BAM
EXIT
Brookfield Asset Management Ltd.
$411.7K
- $411.7K
=
Closed
-12.6K shares (100%)
CVX
EXIT
Chevron Corp
$51.21M
- $51.21M
=
Closed
-314.0K shares (100%)
DVN
EXIT
Devon Energy Corporation
$303.6K
- $303.6K
=
Closed
-6.0K shares (100%)
EOG
EXIT
Eog Resources Inc
$229.2K
- $229.2K
=
Closed
-2.0K shares (100%)
FNF
EXIT
Fidelity National Financial, Inc.
$677.3K
- $677.3K
=
Closed
-19.4K shares (100%)
GTX
EXIT
Garrett Motion Inc
$1.39M
- $1.39M
=
Closed
-159.2K shares (100%)
PXD
EXIT
Pioneer Natural Resources Co
$204.2K
- $204.2K
=
Closed
-1.0K shares (100%)
PRVB
EXIT
Provention Bio Inc
$6.67M
- $6.67M
=
Closed
-277.0K shares (100%)
BNRE
EXIT
Brookfield Reinsurance Ltd
$11.2K
- $11.2K
=
Closed
-343 shares (100%)
GOOGL
Alphabet Inc
$34.89M
+ $5.16M
=
$40.05M
334.6K left
-2.0K (-0.59%)
GE
General Electric Company
$16.62M
- $5.76M
=
$10.86M
98.9K left
-75.0K (-43.14%)
TSM
Taiwan Semiconductor Manufacturing Co. Ltd.
$9.16M
+ $291.9K
=
$9.45M
93.7K left
-4.8K (-4.87%)
BIL
SPDR Series Trust
$1.71M
- $789.7K
=
$918.2K
10.0K left
-8.6K (-46.24%)