Guy Spier Portfolio 2023
Guy Spier
Aquamarine Capital Holdings Strategy: Value InvestorGuy Spier is a Zurich-based investor who has made his name in the world of finance. He was featured on an international level when he met Warren Buffett back in 2008 for a charity lunch. He founded the Aquamarine Fund. He is the author of the book "The Education of a Value Investor". Guy Spier, a noted value investor, prominently features Berkshire Hathaway Inc. - Class B shares as a cornerstone of his investment portfolio, valuing its diversified holdings managed by Warren Buffett. American Express Co., another Spier preference, stands out for its robust payment network and established brand in financial services. Ferrari N.V. adds luxury automotive flair to his stock collection, renowned for exclusivity and strong brand loyalty. Mastercard Incorporated - Class A is included for its global reach within the digital payments arena, benefiting from cashless transaction trends. Lastly, Bank Of America Corp. rounds out the top five with its significant banking operations and solid position within the U.S. financial sector. These investments reflect Guy Spier's strategic emphasis on durable businesses with competitive moats, echoing a long-term value investing ethos.
Track Guy Spier, It's Free!Performance
1 Year
-16.44%
3 Years
-15.64%
5 Years
+14.13%
10 years
+31.38%
Sectors
Largest Holdings
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Trades
- Berkshire Hathaway Inc. - Ordinary Shares - Class B (BRK.B)
- Sector: Offices of Other Holding Companies
- % of Portfolio: 21.9%
- (Buy) $153.96 ― +163.6% →$405.77 (Now)
- American Express Co. (AXP)
- Sector: Other Activities Related to Credit Intermediation
- % of Portfolio: 18.2%
- (Buy) $69.23 ― +226.3% →$225.92 (Now)
- Ferrari N.V. (RACE)
- Sector: Automobile Manufacturing
- % of Portfolio: 13.0%
- (Buy) $39.13 ― +980.4% →$422.78 (Now)
- Mastercard Incorporated - Ordinary Shares - Class A (MA)
- Sector: Data Processing, Hosting, and Related Services
- % of Portfolio: 11.1%
- (Buy) $81.70 ― +441.0% →$442.00 (Now)
- Bank Of America Corp. (BAC)
- Sector: Commercial Banking
- % of Portfolio: 10.8%
- (Buy) $21.34 ― +71.7% →$36.65 (Now)
- Berkshire Hathaway Inc. - Ordinary Shares - Class A (BRK.A)
- Sector: Offices of Other Holding Companies
- % of Portfolio: 7.0%
- (Buy) $230,816.07 ― +164.9% →$611,375.00 (Now)
- Micron Technology Inc. (MU)
- Sector: Semiconductor and Related Device Manufacturing
- % of Portfolio: 6.9%
- (Buy) $51.25 ― +76.4% →$90.42 (Now)
- Moody`s Corp. (MCO)
- Sector: Credit Bureaus
- % of Portfolio: 4.6%
- (Buy) $102.03 ― +331.4% →$440.17 (Now)
- Daily Journal Corporation (DJCO)
- Sector: Newspaper Publishers
- % of Portfolio: 1.8%
- (Buy) $321.10 ― +25.5% →$403.00 (Now)
- Alibaba Group Holding Ltd - ADR (BABA)
- Sector: Software Publishers
- % of Portfolio: 1.4%
- (Buy) $222.18 ― -65.4% →$76.98 (Now)
- Alphabet Inc - Ordinary Shares - Class A (GOOGL)
- Sector: All Other Telecommunications
- % of Portfolio: 1.0%
- (Buy) $67.42 ― +136.2% →$159.25 (Now)
- Seritage Growth Properties - Ordinary Shares - Class A (SRG)
- Sector: Lessors of Other Real Estate Property
- % of Portfolio: 0.9%
- (Buy) $38.76 ― -87.7% →$4.78 (Now)
- Enlink Midstream LLC - Unit (ENLC)
- Sector: Pipeline Transportation of Natural Gas
- % of Portfolio: Sold
- (Buy) $10.50 ― +19.8% →$12.57 (Now)
- Goldman Sachs Group, Inc. (GS)
- Sector: Investment Banking and Securities Dealing
- % of Portfolio: Sold
- (Buy) $187.93 ― +144.3% →$459.02 (Now)
- Citigroup Inc (C)
- Sector: Commercial Banking
- % of Portfolio: Sold
- (Buy) $53.11 ― +5.8% →$56.21 (Now)
- POSCO Holdings Inc - ADR (PKX)
- Sector: Iron and Steel Mills and Ferroalloy Manufacturing
- % of Portfolio: Sold
- (Buy) $69.07 ― -15.1% →$58.66 (Now)
- Wells Fargo & Co. (WFC)
- Sector: Commercial Banking
- % of Portfolio: Sold
- (Buy) $52.53 ― -0.8% →$52.12 (Now)
- Stellantis N.V (FCAU)
- Sector: Automobile Manufacturing
- % of Portfolio: Sold
- (Buy) $11.32 ― +50.6% →$17.05 (Now)
- Twitter Inc (TWTR)
- Sector: Software Publishers
- % of Portfolio: Sold
- (Buy) $30.15 ― +78.1% →$53.70 (Now)
Stock |
% of portfolio |
Average Buy Price |
Current Price |
Position | ||
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Options
Can't find any put or calls that Guy Spier has in Aquamarine Capital
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Metrics
Performance
1 Year
-16.44%
3 Years
-15.64%
5 Years
+14.13%
10 years
+31.38%
Averaged Ratio's of Portfolio Stocks
- Market Cap: $426 Billion
- Dividend Yield 0.73 %
- Beta 1.0129
- P/E Ratio 24.34
- Negative P/E Ratio -55.75
- Profit Margin NaN%
- PEG 147.51
- Price to Sales Ratio 5.99
- Price to Book Ratio 12.78
- Enterprise Value to EBIT: 23.07
- Enterprise Value to Revenue 7.59
- Total Debt to Enterprise Value 0.28
- Debt to Equity NaN
- Quarterly Earnings Growth (YoY) -
- Return on Equity NaN%
- Return on Assets NaN%
- Return on Invested Capital NaN%
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About Guy Spier
Guy Spier is a Zurich-based investor who has made his name in the world of finance. He was featured on an international level when he met Warren Buffett back in 2008 for a charity lunch. He founded the Aquamarine Fund. He is the author of the book "The Education of a Value Investor". Guy Spier, a noted value investor, prominently features Berkshire Hathaway Inc. - Class B shares as a cornerstone of his investment portfolio, valuing its diversified holdings managed by Warren Buffett. American Express Co., another Spier preference, stands out for its robust payment network and established brand in financial services. Ferrari N.V. adds luxury automotive flair to his stock collection, renowned for exclusivity and strong brand loyalty. Mastercard Incorporated - Class A is included for its global reach within the digital payments arena, benefiting from cashless transaction trends. Lastly, Bank Of America Corp. rounds out the top five with its significant banking operations and solid position within the U.S. financial sector. These investments reflect Guy Spier's strategic emphasis on durable businesses with competitive moats, echoing a long-term value investing ethos.
Track Guy Spier
Don't miss a trade. Get notified when Guy Spier makes his next trade, It's Free!