Bruce Berkowitz Holdings Activity

Fairholme Capital Management Portfolio 13F

Fairholme Capital Management has disclosed a total of 6 changes to the portfolio in the latest (2023 Q4) SEC report(s): increased the number of shares of 2, decreased the number of shares of 3 and completely sold out 1 position(s).

What stocks is Bruce Berkowitz buying now?

In the recent quarter Bruce Berkowitz has purchased 2 securities: (BRK.B) BERKSHIRE HATHAWAY INC CL-B (added shares +139.81%) and (EPD) ENTERPRISE PRODUCTS PARTNERS (added shares +2.85%).

What does Bruce Berkowitz invest in?

Bruce Berkowitz's top 5 holdings (by % of portfolio) are (JOE) ST JOE CO/THE (87.58%), (EPD) ENTERPRISE PRODUCTS PARTNERS (8.81%), (BRK.B) BERKSHIRE HATHAWAY INC CL-B (2.81%), (WRB) WR BERKLEY CORP (0.57%) and (OZK) BANK OZK (0.16%).

In the latest report(s) the following changes have been made to the top investments: (JOE) ST JOE CO/THE (reduced shares -0.14%), (EPD) ENTERPRISE PRODUCTS PARTNERS (added shares +2.85%), (BRK.B) BERKSHIRE HATHAWAY INC CL-B (added shares +139.81%), (WRB) WR BERKLEY CORP (reduced shares -1.25%) and (OZK) BANK OZK (reduced shares -65.29%).

2021 Q4 (17 results)
JOE
-0.62%
-155,600
-0.53%
$52.05
11.60% $58.09
85.40%
CMC
+56.74%
+641,300
+1.52%
$36.29
55.06% $56.27
4.20%
EPD
+32.79%
+522,500
+0.75%
$21.96
29.10% $28.35
3.04%
INTC
+25.99%
+102,272
+0.37%
$51.50
40.43% $30.68
1.78%
KMI
+12.38%
+115,700
+0.12%
$15.86
18.34% $18.77
1.09%
BRK.B
-1.61%
-805
-0.02%
$298.99
35.84% $406.14
0.96%
ET
+1.24%
+18,500
+0.01%
$8.23
96.00% $16.13
0.81%
ORI
+13.59%
+41,625
+0.07%
$24.58
26.44% $31.08
0.60%
WBA
buy
+24,000
+0.08%
$52.17
66.74% $17.35
0.08%
C
buy
+19,400
+0.08%
$60.40
2.65% $62.00
0.08%
BABA
-22.59%
-2,390
-0.02%
$118.80
33.19% $79.37
0.06%
LYB
buy
+40,500
+0.24%
$92.22
10.01% $101.45
0.00%
DOW
buy
+31,700
+0.12%
$56.72
2.89% $58.36
0.00%
WES
-73.71%
-252,070
-0.40%
$22.27
60.06% $35.64
0.00%
ENB
-26.20%
-97,792
-0.26%
$39.08
5.76% $36.83
0.00%
NTR
-100.00%
-10,300
-0.08%
$64.85
14.79% $55.26
0.00%
WMB
-20.71%
-68,700
-0.12%
$26.04
50.18% $39.11
0.00%
2021 Q3 (12 results)
JOE
-1.95%
-502,467
-1.70%
$42.10
37.98% $58.09
85.54%
EPD
+2,024.53%
+804,752
+2.64%
$21.64
31.01% $28.35
2.78%
CMC
+102.51%
+311,794
+1.40%
$30.46
84.73% $56.27
2.77%
INTC
+165.78%
+261,100
+1.12%
$53.28
42.42% $30.68
1.80%
KMI
+40.12%
+267,700
+0.36%
$16.73
12.19% $18.77
1.26%
ENB
+9.84%
+35,000
+0.11%
$39.80
7.46% $36.83
1.25%
ET
+44.69%
+460,000
+0.35%
$9.58
68.37% $16.13
1.15%
WMB
+8.86%
+27,000
+0.06%
$25.94
50.78% $39.11
0.69%
WES
-22.72%
-110,500
-0.19%
$20.96
70.03% $35.64
0.63%
ORI
+37.33%
+90,000
+0.17%
$23.13
34.38% $31.08
0.62%
VST
-100.00%
-552,900
-0.83%
$18.55
340.66% $81.74
0.00%
NTR
buy
+10,300
+0.10%
$64.85
14.79% $55.26
0.00%
2021 Q2 (12 results)
CMC
buy
+346,022
+1.35%
$30.72
83.17% $56.27
1.35%
ENB
+4.10%
+14,000
+0.04%
$40.04
8.02% $36.83
1.12%
WES
-12.63%
-40,422
-0.12%
$21.42
66.38% $35.64
0.82%
INTC
buy
+157,500
+0.70%
$56.14
45.35% $30.68
0.70%
BABA
buy
+10,580
+0.19%
$226.75
65.00% $79.37
0.19%
AAPL
+230.05%
+6,223
+0.11%
$136.98
33.15% $182.40
0.15%
EPD
buy
+45,375
+0.14%
$24.13
17.47% $28.35
0.14%
VST
+12.17%
+60,000
+0.09%
$18.55
340.66% $81.74
0.00%
VZ
-100.00%
-76,900
-0.35%
$58.15
32.40% $39.31
0.00%
T
-100.00%
-283,148
-0.95%
$30.27
43.58% $17.08
0.00%
CVS
-100.00%
-102,165
-0.87%
$75.23
25.91% $55.74
0.00%
TRP
-100.00%
-40,299
-0.22%
$45.74
18.02% $37.50
0.00%
41 of 546

Shares, change to shares, sold shares - split-adjusted.

Reported price - this doesn't represent the actual buy or sell price.
It is the split-adjusted price of the security as of the last day of the reported period.

Value or Price - If the security is completely sold out, we show the reported value (or price) prior to the actual period.