Chou Associates Management holdings history

75 is the total number of securities Chou Associates Management has owned. The longest Chou Associates Management has owned a single stock is 38 quarters.

Chou Associates Management historical holdings. Includes current and past holdings.
Period Weighting Quarter
TickerNameLongestShortestMin.Avg.Max.FirstLatest↓ Count
BRKA BERKSHIRE HATHAWAY INC...38382.83%19.32%40.83%Q2 2013Q3 202238
RFP RESOLUTE FST PRODS INC38383.02%15.74%28.45%Q2 2013Q3 202238
C CITIGROUP INC38381.10%4.46%8.14%Q2 2013Q3 202238
GS GOLDMAN SACHS GROUP INC38380.66%3.74%8.17%Q2 2013Q3 202238
MBI MBIA INC38380.61%3.27%5.02%Q2 2013Q3 202238
CYD CHINA YUCHAI INTL LTD38380.03%0.44%1.26%Q2 2013Q3 202238
BB BLACKBERRY LTD37370.08%1.62%2.56%Q3 2013Q3 202237
SNY SANOFI28280.40%5.01%7.54%Q2 2013Q1 202028
PKX POSCO HOLDINGS INC2620.16%0.56%0.96%Q3 2015Q3 202228
RYAAY RYANAIR HOLDINGS PLC28280.14%0.29%0.61%Q4 2015Q3 202228
SHLDQ SEARS HLDGS CORP23230.01%5.20%11.19%Q2 2013Q4 201823
OSTK OVERSTOCK COM INC DEL2120.08%2.76%8.26%Q2 2013Q3 202223
NOK NOKIA CORP21211.42%6.54%12.02%Q2 2013Q2 201821
WFCWS WELLS FARGO & CO NEW21210.78%6.00%11.78%Q2 2013Q2 201821
BACWSA BANK OF AMERICA CORPOR...21210.28%1.48%2.66%Q2 2013Q2 201821
SHOS SEARS HOMETOWN & OUTLE...20201.05%2.24%4.55%Q3 2014Q2 201920
JPMWS JPMORGAN CHASE & CO1541.04%7.06%15.94%Q2 2013Q2 201819
JPM JPMORGAN CHASE & CO1721.76%3.55%6.44%Q2 2014Q3 202219
BHC BAUSCH HEALTH COS INC17173.53%17.86%29.86%Q3 2018Q3 202217
WFC WELLS FARGO CO NEW17170.49%5.03%10.45%Q3 2018Q3 202217
MGA MAGNA INTL INC16160.34%0.67%1.04%Q4 2018Q3 202216
COMPUCREDIT HLDGS CORP1410.86%1.07%1.34%Q2 2013Q4 201915
BP BP PLC14140.02%0.11%0.15%Q2 2013Q3 201614
ASCMA ASCENT CAP GROUP INC1120.03%1.27%2.92%Q1 2015Q4 201813
AZN ASTRAZENECA PLC13130.19%0.26%0.43%Q4 2013Q4 201613
GSK GLAXOSMITHKLINE PLC13130.08%0.13%0.19%Q4 2013Q4 201613
DVA DAVITA INC11110.93%2.95%4.35%Q2 2018Q4 202011
ENDP ENDO INTL PLC11110.26%2.60%4.98%Q1 2017Q3 201911
TEVA TEVA PHARMACEUTICAL IN...11110.06%1.04%5.20%Q1 2017Q3 201911
SRSCQ SEARS CDA INC11110.16%1.01%1.96%Q4 2014Q2 201711
BAC BANK AMER CORP11110.15%0.76%1.66%Q3 2018Q1 202111
VRX VALEANT PHARMACEUTICAL...10101.32%10.89%16.38%Q1 2016Q2 201810
SAVE SPIRIT AIRLS INC10100.65%0.96%1.30%Q2 2018Q3 202010
ALGT ALLEGIANT TRAVEL CO10100.18%0.33%0.50%Q2 2018Q3 202010
RYAAY RYANAIR HLDGS PLC10100.05%0.29%0.46%Q2 2013Q3 201510
CBI CHICAGO BRIDGE & IRON ...630.40%0.71%1.03%Q4 2014Q3 20179
FCAU FIAT CHRYSLER AUTOMOBI...990.19%0.26%0.40%Q4 2018Q4 20209
RESOLUTE FST PRODS INC882.52%13.90%24.71%Q4 2020Q3 20228
ASCENT CAP GROUP INC880.54%6.81%37.82%Q3 2014Q2 20168
CHT CHUNGHWA TELECOM CO LTD880.23%1.02%1.24%Q2 2013Q1 20158
BAUSCH HEALTH COS INC772.96%6.70%8.67%Q1 2021Q3 20227
ASCENT CAP GROUP INC770.65%0.75%0.91%Q3 2016Q1 20187
STLA STELLANTIS N.V770.24%0.26%0.30%Q1 2021Q3 20227
LBTYA LIBERTY GLOBAL PLC770.13%0.16%0.18%Q1 2021Q3 20227
BLACKBERRY LTD660.72%1.67%2.14%Q4 2020Q1 20226
SD SANDRIDGE ENERGY INC660.36%0.89%1.22%Q4 2016Q1 20186
MBIA INC551.74%2.54%3.31%Q1 2021Q1 20225
UTSI UTSTARCOM HOLDINGS CORP550.02%0.08%0.10%Q3 2013Q3 20145
GMWSB GENERAL MTRS CO550.05%0.07%0.08%Q2 2016Q2 20175
RFP RESOLUTE FST PRODS INC440.59%1.57%2.39%Q2 2018Q1 20194
LEVEL 3 COMMUNICATIONS...330.54%4.50%12.21%Q2 2013Q4 20133
ASCENT CAP GROUP INC331.22%3.69%6.87%Q3 2015Q1 20163
ENDP ENDO INTL PLC332.29%2.88%3.96%Q3 2018Q1 20193
CHICAGO BRIDGE & IRON ...330.56%0.76%0.92%Q3 2015Q1 20163
VOD VODAFONE GROUP PLC NEW330.02%0.07%0.11%Q2 2013Q4 20133
VOD VODAFONE GROUP PLC NEW330.05%0.05%0.06%Q1 2014Q3 20143
VZ VERIZON COMMUNICATIONS...330.04%0.04%0.04%Q1 2014Q3 20143
MANNKIND CORP221.86%20.92%39.98%Q2 2013Q3 20132
DELL DELL INC221.90%5.45%9.00%Q2 2013Q3 20132
ACT ACTAVIS INC220.61%3.46%6.31%Q2 2013Q3 20132
LE LANDS END INC221.77%2.07%2.38%Q2 2014Q3 20142
B108PS ACTAVIS PLC221.69%1.85%2.02%Q4 2013Q1 20142
PTGI PRIMUS TELECOMMUNICATI...220.08%0.77%1.45%Q2 2013Q3 20132
RSHCQ RADIOSHACK CORP220.15%0.41%0.68%Q2 2013Q3 20132
SHOS SEARS HOMETOWN & OUTLE...110.07%0.23%0.38%Q4 2018Q2 20192
GNUS GENIUS BRANDS INTL INC220.15%0.17%0.18%Q2 2022Q3 20222
COMPUCREDIT HLDGS CORP1127.52%27.52%27.52%Q3 2013Q3 20131
COMPUCREDIT HLDGS CORP111.31%1.31%1.31%Q2 2016Q2 20161
SANDRIDGE ENERGY INC110.81%0.81%0.81%Q4 2016Q4 20161
S SPRINT NEXTEL CORP110.80%0.80%0.80%Q2 2013Q2 20131
HTZZW HERTZ GLOBAL HLDGS INC110.61%0.61%0.61%Q3 2022Q3 20221
BBRY RESEARCH IN MOTION LTD110.52%0.52%0.52%Q2 2013Q2 20131
UTSI UTSTARCOM HOLDINGS CORP110.08%0.08%0.08%Q2 2013Q2 20131
S SPRINT CORP110.04%0.04%0.04%Q3 2013Q3 20131
SHLWQ SEARS HLDGS CORP110.00%0.00%0.00%Q1 2015Q1 20151

The securities at the top of the list , including BERKSHIRE HATHAWAY INC DEL, RESOLUTE FST PRODS INC, and CITIGROUP INC, are the highest-conviction holdings of Chou Associates Management.

The conviction is calculated by counting the number of quarters a security has been reported by Chou Associates Management. The higher the number, the higher the conviction and longer the holding period.

This page lists all the securities that Chou Associates Management owns currently or has owned in the past.