CHECK CAPITAL MANAGEMENT INC/CA Holdings
CHECK CAPITAL MANAGEMENT INC/CA is an investment fund managing more than 1.88B US dollars. The largest holdings include Berkshire Hathaway, Berkshire Hathaway and Brookfield Asset Management. In Q3 2022 the fund bought assets of total value of -22.04M US dollars and sold assets of total value of 45.84M US dollars.
CHECK CAPITAL MANAGEMENT INC/CA portfolio value:
CHECK CAPITAL MANAGEMENT INC/CA quarter portfolio value change:
CHECK CAPITAL MANAGEMENT INC/CA 1 year portfolio value change:
CHECK CAPITAL MANAGEMENT INC/CA 3 years portfolio value change:
CHECK CAPITAL MANAGEMENT INC/CA 5 years portfolio value change:
CHECK CAPITAL MANAGEMENT INC/CA portfolio changes
Period | Buy | Sel |
---|---|---|
Q1 2016 | 71326000 | 8883000 |
Q2 2016 | 38983000 | 2132000 |
Q3 2016 | 62666000 | 54311000 |
Q4 2016 | 46043000 | 58006000 |
Q1 2017 | 184604000 | 96931000 |
Q2 2017 | 79795000 | 35030000 |
Q3 2017 | 85560000 | 37979000 |
Q4 2017 | 112096000 | 45313000 |
Q1 2018 | 157752000 | 120426000 |
Q2 2018 | 69493000 | 38707000 |
Q3 2018 | 41631000 | 82831000 |
Q4 2018 | 38428000 | 192492000 |
Q1 2019 | 51541000 | 7216000 |
Q2 2019 | 42368000 | 65333000 |
Q3 2019 | 11049000 | 75140000 |
Q4 2019 | 52578000 | 38796000 |
Q1 2020 | 53873000 | 307013000 |
Q2 2020 | 913000 | 108000 |
Q3 2020 | 64833000 | 24878000 |
Q4 2020 | 24757000 | 52573000 |
Q1 2021 | 82781000 | 42715000 |
Q2 2021 | 73713000 | 42766000 |
Q3 2021 | 10990000 | 34926000 |
Q4 2021 | 45894000 | 25570000 |
Q1 2022 | -37272000 | 46120000 |
Q2 2022 | -27233000 | 81900000 |
Q3 2022 | -22042000 | 45836000 |
CHECK CAPITAL MANAGEMENT INC/CA 13F holdings
Stock |
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Portfolio share: 50.64% Portfolio value: 950.77M Avg. open price: N/A Current price: N/A P/L: N/A Sold -2.28% shares Q3 2022 |
Portfolio share: 16.96% Portfolio value: 318.34M Avg. open price: N/A Current price: N/A P/L: N/A Sold -0.79% shares Q3 2022 |
Portfolio share: 4.93% Portfolio value: 92.60M Avg. open price: $28.52 Current price: $45.13 P/L: +58.26% Bought +1.53% shares Q3 2022 |
Portfolio share: 3.37% Portfolio value: 63.17M Avg. open price: $1,218.81 Current price: $100.83 P/L: -91.73% Sold -0.22% shares Q3 2022 |
Portfolio share: 3.23% Portfolio value: 60.65M Avg. open price: $34.6 Current price: $55.06 P/L: +59.12% Sold -2.50% shares Q3 2022 |
Portfolio share: 2.90% Portfolio value: 54.39M Avg. open price: $24.38 Current price: $31.94 P/L: +31.02% Sold -1.17% shares Q3 2022 |
Portfolio share: 2.53% Portfolio value: 47.41M Avg. open price: $1,033.41 Current price: $1,343.77 P/L: +30.03% Bought +6.92% shares Q3 2022 |
Portfolio share: 1.95% Portfolio value: 36.7M Avg. open price: $58.55 Current price: $61.25 P/L: +4.61% Sold -0.05% shares Q3 2022 |
Portfolio share: 1.85% Portfolio value: 34.72M Avg. open price: $110.98 Current price: $69.59 P/L: -37.30% Bought +0.02% shares Q3 2022 |
Portfolio share: 1.74% Portfolio value: 32.71M Avg. open price: $60.93 Current price: $66.43 P/L: +9.03% Sold -13.30% shares Q3 2022 |
Portfolio share: 1.68% Portfolio value: 31.54M Avg. open price: $47.05 Current price: $45.94 P/L: -2.36% Sold -0.33% shares Q3 2022 |
Portfolio share: 1.62% Portfolio value: 30.40M Avg. open price: $178.7 Current price: $181.41 P/L: +1.52% Sold -0.24% shares Q3 2022 |
Portfolio share: 1.53% Portfolio value: 28.76M Avg. open price: $172.41 Current price: $153.03 P/L: -11.24% Bought +52.37% shares Q3 2022 |
Portfolio share: 1.26% Portfolio value: 23.57M Avg. open price: N/A Current price: N/A P/L: N/A Bought +20.83% shares Q3 2022 |
Portfolio share: 1.17% Portfolio value: 21.92M Avg. open price: $130.08 Current price: $150.46 P/L: +15.67% Bought +0.32% shares Q3 2022 |
Portfolio share: 0.64% Portfolio value: 11.99M Avg. open price: $55.66 Current price: $39.78 P/L: -28.53% Bought +0.37% shares Q3 2022 |
Portfolio share: 0.57% Portfolio value: 10.69M Avg. open price: N/A Current price: N/A P/L: N/A Bought +2.15% shares Q3 2022 |
Portfolio share: 0.33% Portfolio value: 6.17M Avg. open price: $294.74 Current price: $42.1 P/L: -85.72% Bought +0.36% shares Q3 2022 |
Portfolio share: 0.25% Portfolio value: 4.68M Avg. open price: $48.68 Current price: $147.81 P/L: +203.67% Bought +0.12% shares Q3 2022 |
Portfolio share: 0.22% Portfolio value: 4.10M Avg. open price: $130.82 Current price: $99.43 P/L: -24.00% Sold -1.19% shares Q3 2022 |
Portfolio share: 0.16% Portfolio value: 3.03M Avg. open price: $28.6 Current price: $36.08 P/L: +26.17% Bought +8.58% shares Q3 2022 |
Portfolio share: 0.07% Portfolio value: 1.38M Avg. open price: $129.57 Current price: $255.02 P/L: +96.82% Sold -1.24% shares Q3 2022 |
Portfolio share: 0.07% Portfolio value: 1.36M Avg. open price: N/A Current price: N/A P/L: N/A Sold -4.09% shares Q3 2022 |
Portfolio share: 0.05% Portfolio value: 894K Avg. open price: $39.46 Current price: $54.12 P/L: +37.15% Sold -3.84% shares Q3 2022 |
Portfolio share: 0.04% Portfolio value: 838K Avg. open price: $162.93 Current price: $285.51 P/L: +75.24% Sold -1.33% shares Q2 2022 |
Portfolio share: 0.03% Portfolio value: 615K Avg. open price: N/A Current price: $68.21 P/L: N/A N/A Q3 2022 |
Portfolio share: 0.03% Portfolio value: 491K Avg. open price: $46.33 Current price: $38.18 P/L: -17.59% Sold -1.52% shares Q3 2022 |
Portfolio share: 0.02% Portfolio value: 399K Avg. open price: $667.93 Current price: $194.86 P/L: -70.83% Bought +0.20% shares Q2 2021 |
Portfolio share: 0.02% Portfolio value: 374K Avg. open price: $37.97 Current price: $51.48 P/L: +35.59% Bought +13.51% shares Q1 2022 |
Portfolio share: 0.02% Portfolio value: 360K Avg. open price: $210.9 Current price: $380.58 P/L: +80.46% Sold -7.52% shares Q2 2022 |
Portfolio share: 0.02% Portfolio value: 348K Avg. open price: $35.75 Current price: $122.18 P/L: +241.73% N/A Q2 2021 |
Portfolio share: 0.02% Portfolio value: 317K Avg. open price: N/A Current price: $100.44 P/L: N/A Bought +2248.94% shares Q3 2022 |
Portfolio share: 0.02% Portfolio value: 300K Avg. open price: $19.31 Current price: $51.43 P/L: +166.31% Sold -3.70% shares Q3 2022 |
Portfolio share: 0.02% Portfolio value: 291K Avg. open price: $299.85 Current price: $470.1 P/L: +56.78% Bought +2.00% shares Q1 2022 |
Portfolio share: 0.02% Portfolio value: 285K Avg. open price: $3,254.98 Current price: $94.13 P/L: -97.11% Sold -26.32% shares Q3 2022 |
Portfolio share: 0.01% Portfolio value: 282K Avg. open price: $136.43 Current price: $236.13 P/L: +73.08% Sold -1.89% shares Q1 2022 |
Portfolio share: 0.01% Portfolio value: 269K Avg. open price: $84.78 Current price: $181.03 P/L: +113.53% Bought +0.64% shares Q3 2022 |
Portfolio share: 0.01% Portfolio value: 99K Avg. open price: N/A Current price: $4.69 P/L: N/A N/A Q3 2022 |
Portfolio share: 0.00% Portfolio value: 75K Avg. open price: $18.55 Current price: $6.72 P/L: -63.78% Sold -21.26% shares Q2 2022 |
Portfolio share: 0.00% Portfolio value: 38K Avg. open price: N/A Current price: N/A P/L: N/A Sold -1.16% shares Q1 2022 |
Portfolio share: 0.00% Portfolio value: 0 Avg. open price: $130.68 Current price: $76.55 P/L: -41.42% Sold -100.00% shares Q3 2022 |
Portfolio share: 0.00% Portfolio value: 0 Avg. open price: $54.86 Current price: $125.66 P/L: +129.05% Sold -100.00% shares Q3 2022 |
Portfolio share: 0.00% Portfolio value: 0 Avg. open price: N/A Current price: $228.29 P/L: N/A Sold -100.00% shares Q3 2022 |
Portfolio share: 0.00% Portfolio value: 0 Avg. open price: N/A Current price: $75.76 P/L: N/A Sold -100.00% shares Q3 2022 |
Showing TOP 44 CHECK CAPITAL MANAGEMENT INC/CA's 13F holdings.
Frequently Asked Questions (FAQ)
What is the biggest position of CHECK CAPITAL MANAGEMENT INC/CA?
The biggest position of the CHECK CAPITAL MANAGEMENT INC/CA is Berkshire Hathaway () with 50.64% portfolio share worth of 950.78M US dollars.
Top 5 CHECK CAPITAL MANAGEMENT INC/CA's holdings represent 79.13% of the portfolio:
- Berkshire Hathaway () – 50.64%
- Berkshire Hathaway () – 16.96%
- Brookfield Asset Management Inc. (BAM) – 4.93%
- Alphabet Inc. (GOOG) – 3.37%
- LKQ Corporation (LKQ) – 3.23%
Who is the portfolio manager of CHECK CAPITAL MANAGEMENT INC/CA?
The portfolio manager of the CHECK CAPITAL MANAGEMENT INC/CA is .
What is the total asset value of the CHECK CAPITAL MANAGEMENT INC/CA portfolio?
CHECK CAPITAL MANAGEMENT INC/CA total asset value (portfolio value) is 1.88B US dollars.
Who is ?
is the portfolio manager of the CHECK CAPITAL MANAGEMENT INC/CA.
What is (CHECK CAPITAL MANAGEMENT INC/CA) fund performance?
CHECK CAPITAL MANAGEMENT INC/CA's quarterly performance is -71.85%, annualy -257.09%. In the past 3 years, the value of 's portfolio has decreased by -242%. In the past 5 years, the value of the portfolio has decreased by -217%.
What is the CHECK CAPITAL MANAGEMENT INC/CA CIK?
CHECK CAPITAL MANAGEMENT INC/CA's Central Index Key is 0001032814 .