Chou Associates Management Q1 2020

Chou Associates Management holdings Q1 2020
Name ValueChangeSharesChangeWeightingChange
BERKSHIRE HATHAWAY INC DELcl a$40,800
-19.90%
1500.00%40.83%
39.23%
BAUSCH HEALTH COS INC$24,164
-50.12%
1,558,992
-3.71%
24.18%
-13.29%
WELLS FARGO CO NEW$6,014
-46.65%
209,5420.00%6.02%
-7.27%
RESOLUTE FST PRODS INC$5,761
-70.00%
4,571,9600.00%5.77%
-47.85%
MBIA INC$4,659
-23.23%
652,5310.00%4.66%
33.44%
GOLDMAN SACHS GROUP INC$3,092
-32.77%
20,0000.00%3.09%
16.87%
JPMORGAN CHASE & CO$3,086
-50.00%
34,275
-22.59%
3.09%
-13.09%
CITIGROUP INC$2,851
-47.28%
67,6950.00%2.85%
-8.36%
DAVITA INC$2,490
-67.06%
32,743
-67.50%
2.49%
-42.74%
BLACKBERRY LTD$2,169
-36.24%
529,0400.00%2.17%
10.82%
SANOFIsponsored adr$874
-12.95%
20,0000.00%0.87%
51.32%
CHINA YUCHAI INTL LTD$789
-19.33%
73,3640.00%0.79%
40.23%
POSCOsponsored adr$686
-35.47%
21,0000.00%0.69%
12.18%
SPIRIT AIRLS INC$645
-68.01%
50,0000.00%0.65%
-44.39%
MAGNA INTL INC$638
-41.84%
20,0000.00%0.64%
1.09%
BANK AMER CORP$390
-60.96%
18,376
-35.24%
0.39%
-32.14%
ALLEGIANT TRAVEL CO$353
-53.00%
4,3170.00%0.35%
-18.30%
RYANAIR HLDGS PLCsponsored adr ne$243
-39.40%
4,5750.00%0.24%
5.33%
FIAT CHRYSLER AUTOMOBILES N$216
-51.02%
30,0000.00%0.22%
-14.86%
COMPUCREDIT HLDGS CORPnote 5.875%11/3Sold $0-3,075,000-1.08%
Portfolio Information
QuarterQ1 2020
Total value$99,920,000
Holdings19
Managers
Francis Chou
Quarters
2020-03-31
$99,920
2019-12-31
$173,685
2019-09-30
$163,876
2019-06-30
$213,921
2019-03-31
$235,672
2018-12-31
$222,729
2018-09-30
$297,679
2018-06-30
$263,839
2018-03-31
$237,218
2017-12-31
$233,800
2017-09-30
$286,219
2017-06-30
$323,787
2017-03-31
$301,418
2016-12-31
$312,739
2016-09-30
$270,252
2016-06-30
$262,030
2016-03-31
$308,041
2015-12-31
$466,927
2015-09-30
$291,175
2015-06-30
$327,017
2015-03-31
$381,045
2014-12-31
$382,148
2014-09-30
$394,613
2014-06-30
$364,637
2014-03-31
$361,656
2013-12-31
$352,186
2013-09-30
$1,807,818
2013-06-30
$370,870
SEC Filings