ELKHORN PARTNERS LIMITED PARTNERSHIP Holdings
ELKHORN PARTNERS LIMITED PARTNERSHIP is an investment fund managing more than 138.19M US dollars. The largest holdings include Kennedy-Wilson Holdings, White Mountains Insurance Group, Ltd. and Berkshire Hathaway. In Q3 2022 the fund bought assets of total value of -12.83M US dollars and sold assets of total value of 4.64M US dollars.
ELKHORN PARTNERS LIMITED PARTNERSHIP portfolio value:
ELKHORN PARTNERS LIMITED PARTNERSHIP quarter portfolio value change:
ELKHORN PARTNERS LIMITED PARTNERSHIP 1 year portfolio value change:
ELKHORN PARTNERS LIMITED PARTNERSHIP 3 years portfolio value change:
ELKHORN PARTNERS LIMITED PARTNERSHIP 5 years portfolio value change:
ELKHORN PARTNERS LIMITED PARTNERSHIP portfolio changes
Period | Buy | Sel |
---|---|---|
Q1 2016 | -5054000 | 251000 |
Q2 2016 | -9654000 | 1027000 |
Q3 2016 | 257000 | 12336000 |
Q4 2016 | -1026000 | 3604000 |
Q1 2017 | -201000 | 6888000 |
Q2 2017 | -11907000 | 2076000 |
Q3 2017 | -1768000 | 2118000 |
Q4 2017 | 1497000 | 1785000 |
Q1 2018 | 1768000 | 1624000 |
Q2 2018 | 1589000 | 14398000 |
Q3 2018 | 105000 | 5378000 |
Q4 2018 | -15417000 | 1244000 |
Q1 2019 | 376000 | 15626000 |
Q2 2019 | 2112000 | 2020000 |
Q3 2019 | 1049000 | 2872000 |
Q4 2019 | 743000 | 106000 |
Q1 2020 | -37522000 | 10570000 |
Q2 2020 | 7564000 | 530000 |
Q3 2020 | -2623000 | 2170000 |
Q4 2020 | 501000 | 18120000 |
Q1 2021 | 3228000 | 5399000 |
Q2 2021 | 2037000 | 1878000 |
Q3 2021 | -1526000 | 3846000 |
Q4 2021 | -752000 | 9661000 |
Q1 2022 | 397000 | 1777000 |
Q2 2022 | -20554000 | 932000 |
Q3 2022 | -12825000 | 4642000 |
ELKHORN PARTNERS LIMITED PARTNERSHIP 13F holdings
Stock |
---|
Portfolio share: 46.51% Portfolio value: 64.26M Avg. open price: $17.58 Current price: $16.47 P/L: -6.31% Bought +2.08% shares Q3 2022 |
Portfolio share: 17.45% Portfolio value: 24.11M Avg. open price: $889.14 Current price: $1,331.55 P/L: +49.76% Sold -15.50% shares Q3 2022 |
Portfolio share: 14.71% Portfolio value: 20.32M Avg. open price: N/A Current price: N/A P/L: N/A Bought +2.04% shares Q1 2020 |
Portfolio share: 11.27% Portfolio value: 15.58M Avg. open price: N/A Current price: N/A P/L: N/A Bought +1.21% shares Q3 2022 |
Portfolio share: 1.62% Portfolio value: 2.24M Avg. open price: $62.95 Current price: $146.61 P/L: +132.92% Sold -1.16% shares Q3 2022 |
Portfolio share: 1.57% Portfolio value: 2.16M Avg. open price: $2,747.4 Current price: $99.48 P/L: -96.38% Bought +0.47% shares Q3 2022 |
Portfolio share: 1.36% Portfolio value: 1.87M Avg. open price: $1,294.12 Current price: $99.87 P/L: -92.28% Sold -2.01% shares Q3 2022 |
Portfolio share: 0.65% Portfolio value: 901K Avg. open price: $32.19 Current price: $19.24 P/L: -40.24% Sold -7.87% shares Q3 2022 |
Portfolio share: 0.65% Portfolio value: 894K Avg. open price: $7.13 Current price: $2.06 P/L: -71.11% Bought +0.64% shares Q3 2022 |
Portfolio share: 0.48% Portfolio value: 669K Avg. open price: $36 Current price: $15.41 P/L: -57.20% Bought +1.57% shares Q3 2020 |
Portfolio share: 0.35% Portfolio value: 477K Avg. open price: $56.09 Current price: $51.25 P/L: -8.63% Bought +9.65% shares Q3 2022 |
Portfolio share: 0.27% Portfolio value: 375K Avg. open price: $59.1 Current price: $45.64 P/L: -22.78% Bought +0.56% shares Q3 2022 |
Portfolio share: 0.27% Portfolio value: 369K Avg. open price: $10.23 Current price: $13.43 P/L: +31.28% Bought +5.13% shares Q3 2022 |
Portfolio share: 0.25% Portfolio value: 352K Avg. open price: $25.42 Current price: $19.51 P/L: -23.25% Bought +41.22% shares Q3 2022 |
Portfolio share: 0.24% Portfolio value: 337K Avg. open price: $4.88 Current price: $2.94 P/L: -39.70% Sold -4.10% shares Q1 2022 |
Portfolio share: 0.23% Portfolio value: 318K Avg. open price: $207.08 Current price: $185.1 P/L: -10.61% Bought +7.35% shares Q3 2022 |
Portfolio share: 0.20% Portfolio value: 272K Avg. open price: $66.67 Current price: $70.42 P/L: +5.63% Bought +12.50% shares Q3 2022 |
Portfolio share: 0.19% Portfolio value: 268K Avg. open price: $219.62 Current price: $90.52 P/L: -58.78% Bought +6.52% shares Q1 2022 |
Portfolio share: 0.18% Portfolio value: 255K Avg. open price: $81.99 Current price: $14.63 P/L: -82.16% Bought +9.09% shares Q3 2022 |
Portfolio share: 0.17% Portfolio value: 232K Avg. open price: $74.1 Current price: $32.56 P/L: -56.06% Sold -22.58% shares Q4 2020 |
Portfolio share: 0.17% Portfolio value: 232K Avg. open price: $204.2 Current price: $180.38 P/L: -11.67% Bought +1771.43% shares Q3 2022 |
Portfolio share: 0.17% Portfolio value: 231K Avg. open price: $13.42 Current price: $11.15 P/L: -16.92% Bought +6.91% shares Q3 2022 |
Portfolio share: 0.15% Portfolio value: 204K Avg. open price: $80.57 Current price: $87.92 P/L: +9.12% N/A Q3 2022 |
Portfolio share: 0.10% Portfolio value: 141K Avg. open price: $15.37 Current price: $15.78 P/L: +2.67% Bought +162.50% shares Q3 2022 |
Portfolio share: 0.10% Portfolio value: 140K Avg. open price: $11.09 Current price: $3.12 P/L: -71.86% Bought +7.59% shares Q2 2022 |
Portfolio share: 0.10% Portfolio value: 137K Avg. open price: $216.18 Current price: $218.2 P/L: +0.93% Bought +26.98% shares Q3 2022 |
Portfolio share: 0.08% Portfolio value: 109K Avg. open price: $31.13 Current price: $34.47 P/L: +10.73% Bought +33.33% shares Q3 2022 |
Portfolio share: 0.08% Portfolio value: 109K Avg. open price: $12.63 Current price: $8.01 P/L: -36.60% Bought +13.01% shares Q3 2022 |
Portfolio share: 0.07% Portfolio value: 97K Avg. open price: $3.83 Current price: $3.98 P/L: +3.89% Bought +6.67% shares Q3 2022 |
Portfolio share: 0.05% Portfolio value: 72K Avg. open price: $11.7 Current price: $10.92 P/L: -6.69% Bought +80.85% shares Q3 2022 |
Portfolio share: 0.05% Portfolio value: 69K Avg. open price: $5.27 Current price: $4.53 P/L: -14.04% Bought +1.43% shares Q3 2022 |
Portfolio share: 0.05% Portfolio value: 68K Avg. open price: $42.94 Current price: $45.03 P/L: +4.87% Bought +21.39% shares Q3 2022 |
Portfolio share: 0.03% Portfolio value: 46K Avg. open price: $5.27 Current price: $1.02 P/L: -80.65% Bought +48.06% shares Q3 2022 |
Portfolio share: 0.03% Portfolio value: 39K Avg. open price: $6.24 Current price: $1.56 P/L: -75.02% Bought +6.30% shares Q3 2022 |
Portfolio share: 0.03% Portfolio value: 38K Avg. open price: $42.62 Current price: $32.5 P/L: -23.75% Bought +16.67% shares Q3 2022 |
Portfolio share: 0.02% Portfolio value: 29K Avg. open price: $3,272.13 Current price: $91.02 P/L: -97.22% Sold -50.00% shares Q3 2022 |
Portfolio share: 0.02% Portfolio value: 26K Avg. open price: N/A Current price: $95.93 P/L: N/A Sold -33.33% shares Q3 2022 |
Portfolio share: 0.02% Portfolio value: 26K Avg. open price: $7.16 Current price: $2.37 P/L: -66.88% Bought +3.09% shares Q3 2022 |
Portfolio share: 0.01% Portfolio value: 20K Avg. open price: $15.49 Current price: $18.56 P/L: +19.78% Bought +140.00% shares Q2 2022 |
Portfolio share: 0.01% Portfolio value: 18K Avg. open price: $29.15 Current price: $11.11 P/L: -61.88% Sold -41.36% shares Q3 2022 |
Portfolio share: 0.01% Portfolio value: 15K Avg. open price: $118.57 Current price: $16.32 P/L: -86.24% N/A Q3 2022 |
Portfolio share: 0.01% Portfolio value: 14K Avg. open price: N/A Current price: $122.43 P/L: N/A N/A Q3 2022 |
Portfolio share: 0.01% Portfolio value: 7K Avg. open price: N/A Current price: $7.55 P/L: N/A Sold -76.19% shares Q3 2022 |
Portfolio share: 0.00% Portfolio value: 4K Avg. open price: $17.28 Current price: $36.09 P/L: +108.86% Sold -61.76% shares Q3 2022 |
Portfolio share: 0.00% Portfolio value: 0 Avg. open price: N/A Current price: $24.52 P/L: N/A Sold -100.00% shares Q3 2022 |
Portfolio share: 0.00% Portfolio value: 0 Avg. open price: $8.64 Current price: $22.97 P/L: +165.95% Sold -100.00% shares Q3 2022 |
Portfolio share: 0.00% Portfolio value: 0 Avg. open price: $36.32 Current price: $68.49 P/L: +88.55% Sold -100.00% shares Q3 2022 |
Portfolio share: 0.00% Portfolio value: 0 Avg. open price: N/A Current price: $8.53 P/L: N/A Sold -100.00% shares Q3 2022 |
Portfolio share: 0.00% Portfolio value: 0 Avg. open price: $118.57 Current price: $16.32 P/L: -86.24% Sold -100.00% shares Q3 2022 |
Portfolio share: 0.00% Portfolio value: 0 Avg. open price: $200.69 Current price: $371.54 P/L: +85.13% Sold -100.00% shares Q3 2022 |
Showing TOP 50 ELKHORN PARTNERS LIMITED PARTNERSHIP's 13F holdings.
Frequently Asked Questions (FAQ)
What is the biggest position of ELKHORN PARTNERS LIMITED PARTNERSHIP?
The biggest position of the ELKHORN PARTNERS LIMITED PARTNERSHIP is Kennedy-Wilson Holdings, Inc. (KW) with 46.51% portfolio share worth of 64.27M US dollars.
Top 5 ELKHORN PARTNERS LIMITED PARTNERSHIP's holdings represent 91.56% of the portfolio:
- Kennedy-Wilson Holdings, Inc. (KW) – 46.51%
- White Mountains Insurance Group, Ltd. (WTM) – 17.45%
- Berkshire Hathaway Inc. () – 14.71%
- Berkshire Hathaway Inc. () – 11.27%
- Apple Inc. (AAPL) – 1.62%
Who is the portfolio manager of ELKHORN PARTNERS LIMITED PARTNERSHIP?
The portfolio manager of the ELKHORN PARTNERS LIMITED PARTNERSHIP is .
What is the total asset value of the ELKHORN PARTNERS LIMITED PARTNERSHIP portfolio?
ELKHORN PARTNERS LIMITED PARTNERSHIP total asset value (portfolio value) is 138.19M US dollars.
Who is ?
is the portfolio manager of the ELKHORN PARTNERS LIMITED PARTNERSHIP.
What is (ELKHORN PARTNERS LIMITED PARTNERSHIP) fund performance?
ELKHORN PARTNERS LIMITED PARTNERSHIP's quarterly performance is -49.42%, annualy -104.30%. In the past 3 years, the value of 's portfolio has decreased by -93%. In the past 5 years, the value of the portfolio has decreased by -80%.
What is the ELKHORN PARTNERS LIMITED PARTNERSHIP CIK?
ELKHORN PARTNERS LIMITED PARTNERSHIP's Central Index Key is 0000928400 .