Chou Associates Management Inc.

Chou Associates Management Inc. latest Q4_2020 13F filings reported $130,004,000 in market value on this 2021-02-16 report date . The portfolio quarterly return is 32.46%. This fund has 16 securities concentrations of 100% weights.

Chou Associates Management Inc. largest holding is Berkshire Hathaway Inc with weight of 26.75% and $34,782,000 in market value. The portfolio return is computed based on the amount invested in the new quarter. The following shows the portfolio details.

Portfolio Performance History

FILE DATEREPORT PERIODQTR YEARFILE TYPENOS. OF STOCKSREPORTED VALUERETURN
2021-02-162020-12-31Q4_202013F-HR16$130,004,00032.46%
2020-11-162020-09-30Q3_202013F-HR18$99,399,0009.29%
2020-08-192020-06-30Q2_202013F-HR18$90,950,000-8.98%
2020-05-222020-03-31Q1_202013F-HR19$99,920,000-42.47%
2020-03-042019-12-31Q4_201913F-HR20$173,685,0005.99%
2019-11-142019-09-30Q3_201913F-HR22$163,876,000-23.34%
2019-08-142019-06-30Q2_201913F-HR23$213,769,000-5.77%
2019-05-132019-03-31Q1_201913F-HR23$226,869,0006.81%
2019-02-142018-12-31Q4_201813F-HR25$212,406,000-23.81%
2018-11-132018-09-30Q3_201813F-HR23$278,775,0006.29%
2018-08-142018-06-30Q2_201813F-HR25$262,286,00010.57%
2018-05-112018-03-31Q1_201813F-HR24$237,218,0001.46%
2018-02-142017-12-31Q4_201713F-HR24$233,800,000-18.31%
2017-11-142017-09-30Q3_201713F-HR25$286,219,000-11.60%
2017-08-152017-06-30Q2_201713F-HR27$323,787,0007.42%
2017-05-122017-03-31Q1_201713F-HR27$301,418,000-3.62%
2017-02-142016-12-31Q4_201613F-HR28$312,739,00015.72%
2016-10-312016-09-30Q3_201613F-HR27$270,252,0003.14%
2016-08-112016-06-30Q2_201613F-HR/A27$262,030,0000.00%

Portfolio Details

Stock NameTickersValueCurrent Value (x1000)Change Value %WeightComputed PriceShares Change %Current Shares
BERKSHIRE HATHAWAY INC DELBRK/AINCR$34,78214.88%26.75%$347820.00-100.00%100
BAUSCH HEALTH COS INCBHCINCR$32,01141.46%24.62%$20.80-100.00%1,538,992
RESOLUTE FST PRODS INCRFPINCR$29,90154.29%23.00%$6.54-100.00%4,571,960
WELLS FARGO CO NEWWFCINCR$6,32435.68%4.86%$30.18-100.00%209,542
GOLDMAN SACHS GROUPGSINCR$4,74724.82%3.65%$263.72-110.00%18,000
J P MORGAN CHASE & CO COMJPMINCR$4,35539.49%3.35%$127.06-100.00%34,275
CITIGROUP INC COM NEWCINCR$4,17451.18%3.21%$61.66-100.00%67,695
MBIA INCMBIINCR$4,0778.98%3.14%$6.58-105.06%619,530
BLACKBERRY LTDBBINCR$2,84552.71%2.19%$6.63-100.00%429,040
MAGNA INTL INCMGAINCR$1,41663.51%1.09%$70.80-100.00%20,000
POSCOPKXINCR$1,30957.33%1.01%$62.33-100.00%21,000
DAVITA INCDVADECR$1,261-31.58%0.97%$117.38-152.76%10,743
CHINA YUCHAI INTERNATIONAL COMMON STOCK USD0.10CYDDECR$1,199-4.00%0.92%$16.340.00%73,364
BK OF AMERICA CORPBACINCR$55732.94%0.43%$30.31-100.00%18,376
FIAT CHRYSLER AUTOMOBILES NFCAUINCR$54356.48%0.42%$18.10-100.00%30,000
RYANAIR HOLDINGS PLCRYAAYINCR$50342.09%0.39%$109.95-100.00%4,575
ALLEGIANT TRAVEL COALGTSOLD$00.00%-100.00%$0.000.00%0
SPIRIT AIRLS INCSAVESOLD$00.00%-100.00%$0.000.00%0