Kopernik Global Investors·CIK 1599814
29
Positions
$572.9M
Portfolio Value
41
Quarters tracked
Q4 2025
Latest filing
Portfolio Allocation — Q1 2019
Portfolio Value Over Time
17.61% |
| $100,881,000 |
| KT | 14.48% | $82,929,000 |
| TRQ | 14.09% | $80,706,000 |
| WPM | 12.46% | $71,400,000 |
| NGD | 5.69% | $32,594,000 |
| GEXXXX | 3.64% | $20,876,000 |
| TNPXXXX | 3.44% | $19,710,000 |
| DSX | 3.27% | $18,739,000 |
| NG | 3.23% | $18,522,000 |
| NAK | 0.83% | $4,763,000 |
| THM | 0.73% | $4,162,000 |
| RGLD | 0.49% | $2,820,000 |
| EEM | 0.22% | $1,283,000 |
| CLDPQ | 0.09% | $498,000 |
| AXIA | 0.06% | $330,000 |
| KGC | 0.04% | $236,000 |
| SSRM | 0.04% | $230,000 |
| ABBV | 0.03% | $152,000 |
| GG | 0.02% | $135,000 |
| DPZ | 0.01% | $78,000 |
| TIF | 0.01% | $56,000 |
| NKE | 0.01% | $52,000 |
| SBUX | 0.01% | $47,000 |
| LND | 0.01% | $43,000 |
| AAPL | 0.00% | $26,000 |
| HD | 0.00% | $17,000 |
| AZO | 0.00% | $15,000 |
| SLV | 0.00% | $15,000 |