Kopernik Global Investors·CIK 1599814
21
Positions
$954.0M
Portfolio Value
41
Quarters tracked
Q4 2025
Latest filing
Portfolio Allocation — Q2 2021
Portfolio Value Over Time
| 3 | HMY | 1.20% | $11,453,000 | NEW |
| 4 | KT | 10.09% | $96,244,000 | ▲ +0.5% |
| 5 | SLV | 1.13% | $10,814,000 | ▲ +1.1% |
| 6 | WPM | 7.51% | $71,649,000 | ▲ +0.4% |
| 7 | VEONXXXX | 0.48% | $4,563,000 | NEW |
| 8 | SA | 3.84% | $36,671,000 | ▲ +0.2% |
| 9 | RGLD | 2.95% | $28,170,000 | ▲ +0.2% |
| 10 | THM | 1.32% | $12,553,000 | ▲ +0% |