Fairholme Capital·CIK 1056831
25
Positions
$10.6B
Portfolio Value
65
Quarters tracked
Q4 2025
Latest filing
Portfolio Allocation — Q2 2010
Portfolio Value Over Time
| Ticker | % Portfolio | Value |
|---|---|---|
| AIG | 10.54% | $1,129,253,000 |
| SHLDQ |
8.47% |
| $907,510,000 |
| CXXXX | 8.33% | $892,335,000 |
| GS | 7.34% | $786,386,000 |
| BAC | 7.25% | $777,309,000 |
| JOE | 5.79% | $620,669,000 |
| HUM | 5.59% | $598,546,000 |
| BRKA | 4.44% | $475,920,000 |
| RF | 4.42% | $473,182,000 |
| ACF | 4.22% | $452,079,000 |
| SPR | 4.04% | $432,676,000 |
| CIT | 3.87% | $414,430,000 |
| BRKB | 3.73% | $399,761,000 |
| LUK | 3.59% | $384,591,000 |
| MS | 3.52% | $377,344,000 |
| AIGPRA | 2.68% | $286,999,000 |
| HTZXXXX | 2.55% | $273,645,000 |
| BP | 2.54% | $272,509,000 |
| CMCSK | 2.50% | $267,712,000 |
| WCG | 1.65% | $176,717,000 |
| RRR | 0.85% | $91,554,000 |
| FUR | 0.50% | $53,876,000 |
| TAL | 0.37% | $39,889,000 |
| CMCSA | 0.02% | $2,415,000 |
| DJCO | 0.01% | $753,000 |