Monday, January 20, 2020

Portfolio overview - December 2019

My top (>2%) positions in no particular order: BRKB, FB, LSXMA, EXXRF, AAPL, JPM, GOOG, MKL,
In:
Out:
FRFHF, DISCK - sold

Fixed income: 10%
Cash: 9%

Sectors (kinda): Insurance (BRK, MKL): 17%, Malone/media: 7%, Banks/financials: 11%, Stock funds: 3%, Cars: 0%, Oil: 0%, Medical/pharma: 1%, Tech: 26%, Various owner-operators (not included in other categories): 6%

New positions: GGG, AKREX, FSPHX, FIGFX, GISOX
Positions increased: CMCSA, ACHN, BKNG, GOOG, ICE

Positions reduced: SPCEWS
Positions eliminated: FRFHF, DISCK, CLKFF, AMCX

Bought a bunch of short-term fixed income ETFs: MINT, FLOT, BSV.

Sold
FRFHF, DISCK, CLKFF, AMCX - unsure about future prospects and returns.
Sold a part of tiny position in SPCEWS as the warrants ran up hugely.
Bought tracking position in GGG.
Added to CMCSA, BKNG, GOOG, ICE although stocks are not cheap.
Added to ACHN during stock weakness.

Bought positions in AKREX, FSPHX, FIGFX, GISOX as a partial move to investing via mutual funds.