Prem Watsa Portfolio 2023
Prem Watsa
Fairfax Financial Holdings Strategy: Value InvestorPrem Watsa is one of Indian-Canada's most prominent billionaires. He has been called the "Canadian Warren Buffett". He was awarded with Padma Shri, one of India's highest civilian honors in January 2020. He was born in India in 1950. He received his Master of Business Administration at the University of Western Ontario. Prem Watsa, a renowned investor with a strategic eye for value and long-term growth potential, maintains a diverse investment portfolio. Within his top stock holdings:Firstly, Micron Technology Inc., a leading global provider of semiconductor devices, showcases Watsa's confidence in the technology sector's continuous expansion and innovation-driving investments.Next, Occidental Petroleum Corp. appears as a prominent position, reflecting Watsa's calculated bet on the energy industry, particularly within companies well-positioned to capitalize on fluctuating oil prices and the ongoing demand for fossil fuels.Watsa's stake in Orla Mining Ltd demonstrates an inclination towards the precious metals market, recognizing the stability and hedge potential gold offers against inflationary pressures, which may interest investors looking for commodity exposure.The inclusion of BlackBerry Ltd signals Watsa's belief in turnaround stories and tech firms pivoting towards cutting-edge sectors, such as cybersecurity and automotive software, aligning with themes of transformation and resilience.Lastly, Kennedy-Wilson Holdings Inc highlights Watsa's venture into real estate investments via companies that manage a robust portfolio of properties across various regions, seeking both income and capital appreciation opportunities.Investors contemplating Prem Watsa's investment strategies can see a pattern favoring bright prospects in fundamental industriesβtech, energy, mining, communication, and real estateβthat offer not just diversification but are also well-aligned with economic cycles and innovative edges.
Track Prem, It's Free!Performance
1 Year
-13.10%
3 Years
-4.90%
5 Years
-1.79%
10 years
-37.33%
Sectors
Largest Holdings
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Trades
- Occidental Petroleum Corp. (OXY)
- Sector: Crude Petroleum and Natural Gas Extraction
- % of Portfolio: 30.0%
- (Buy) $60.97 β -7.9% β$56.18 (Now)
- Orla Mining Ltd (ORLA)
- Sector: Gold Ore Mining
- % of Portfolio: 16.3%
- (Buy) $3.69 β -10.3% β$3.31 (Now)
- Kennedy-Wilson Holdings Inc (KW)
- Sector: Lessors of Residential Buildings and Dwellings
- % of Portfolio: 11.6%
- (Buy) $23.48 β -58.1% β$9.83 (Now)
- BlackBerry Ltd (BB)
- Sector: Computer Storage Device Manufacturing
- % of Portfolio: 8.9%
- (Buy) $7.69 β -71.9% β$2.16 (Now)
- Micron Technology Inc. (MU)
- Sector: Semiconductor and Related Device Manufacturing
- % of Portfolio: 5.6%
- (Buy) $56.09 β +61.2% β$90.42 (Now)
- Alphabet Inc - Ordinary Shares - Class A (GOOGL)
- Sector: All Other Telecommunications
- % of Portfolio: 3.9%
- (Buy) $70.98 β +124.4% β$159.25 (Now)
- Crescent Capital BDC Inc (CCAP)
- Sector: Securities and Commodity Exchanges
- % of Portfolio: 3.0%
- (Buy) $13.81 β +26.5% β$17.47 (Now)
- Alibaba Group Holding Ltd - ADR (BABA)
- Sector: Software Publishers
- % of Portfolio: 2.0%
- (Buy) $125.87 β -38.8% β$76.98 (Now)
- Franklin Resources, Inc. (BEN)
- Sector: Securities and Commodity Exchanges
- % of Portfolio: 1.9%
- (Buy) $22.95 β -6.5% β$21.46 (Now)
- Merck & Co Inc (MRK)
- Sector: Pharmaceutical Preparation Manufacturing
- % of Portfolio: 1.7%
- (Buy) $79.33 β +41.6% β$112.31 (Now)
- Helmerich & Payne, Inc. (HP)
- Sector: Drilling Oil and Gas Wells
- % of Portfolio: 1.7%
- (Buy) $40.03 β -14.1% β$34.39 (Now)
- General Motors Company (GM)
- Sector: Automobile Manufacturing
- % of Portfolio: 1.3%
- (Buy) $37.38 β +6.9% β$39.95 (Now)
- Taiwan Semiconductor Manufacturing - ADR (TSM)
- Sector: Semiconductor and Related Device Manufacturing
- % of Portfolio: 1.2%
- (Buy) $47.26 β +213.0% β$147.95 (Now)
- Pfizer Inc. (PFE)
- Sector: Pharmaceutical Preparation Manufacturing
- % of Portfolio: 1.2%
- (Buy) $38.62 β -23.0% β$29.74 (Now)
- Bank Of Nova Scotia (BNS)
- Sector: Commercial Banking
- % of Portfolio: 1.1%
- (Buy) $54.43 β -17.9% β$44.71 (Now)
- Johnson & Johnson (JNJ)
- Sector: Pharmaceutical Preparation Manufacturing
- % of Portfolio: 1.0%
- (Buy) $63.01 β +155.9% β$161.25 (Now)
- Capri Holdings Ltd (CPRI)
- Sector: All Other Miscellaneous Textile Product Mills
- % of Portfolio: 0.5%
- (Buy) $47.33 β -31.8% β$32.29 (Now)
- Spirit Aerosystems Holdings Inc - Ordinary Shares - Class A (SPR)
- Sector: Small Arms Ammunition Manufacturing
- % of Portfolio: 0.5%
- (Buy) $30.32 β +10.7% β$33.55 (Now)
- GE Aerospace (GE)
- Sector: Aircraft Engine and Engine Parts Manufacturing
- % of Portfolio: 0.4%
- (Buy) $100.23 β +58.0% β$158.36 (Now)
- Intel Corp. (INTC)
- Sector: Semiconductor and Related Device Manufacturing
- % of Portfolio: 0.3%
- (Buy) $40.91 β -50.8% β$20.11 (Now)
- Vanguard Group, Inc. - Vanguard S&P 500 ETF (VOO)
- Sector:
- % of Portfolio: 0.3%
- (Buy) $385.56 β +23.3% β$475.20 (Now)
- Colliers International Group Inc (CIGI)
- Sector: Nonresidential Property Managers
- % of Portfolio: 0.3%
- (Buy) $72.05 β +83.0% β$131.86 (Now)
- Restaurant Brands International Inc (QSR)
- Sector: Food Service Contractors
- % of Portfolio: 0.3%
- (Buy) $64.74 β +7.5% β$69.62 (Now)
- KKR & Co. Inc (KKR)
- Sector: Securities and Commodity Exchanges
- % of Portfolio: 0.2%
- (Buy) $28.48 β +273.0% β$106.23 (Now)
- Gentex Corp. (GNTX)
- Sector: Motor Vehicle Gasoline Engine and Engine Parts Manufacturing
- % of Portfolio: 0.2%
- (Buy) $27.46 β +5.8% β$29.05 (Now)
- Garrett Motion Inc - Ordinary Shares - New (GTX)
- Sector: Other Motor Vehicle Parts Manufacturing
- % of Portfolio: 0.2%
- (Buy) $7.77 β +2.4% β$7.95 (Now)
- Autohome Inc - ADR (ATHM)
- Sector: Software Publishers
- % of Portfolio: 0.2%
- (Buy) $30.29 β -22.7% β$23.42 (Now)
- Credo Technology Group Holding Ltd (CRDO)
- Sector:
- % of Portfolio: 0.2%
- (Buy) $13.27 β +85.4% β$24.60 (Now)
- TFI International Inc (TFII)
- Sector: General Freight Trucking, Local
- % of Portfolio: 0.2%
- (Buy) $81.42 β +76.6% β$143.80 (Now)
- Franco-Nevada Corporation (FNV)
- Sector: Gold Ore Mining
- % of Portfolio: 0.1%
- (Buy) $121.65 β -0.7% β$120.78 (Now)
Stock |
% of portfolio |
Average Buy Price |
Current Price |
Position | ||
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Options
Can't find any put or calls that Prem Watsa has in Fairfax
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Metrics
Performance
1 Year
-13.10%
3 Years
-4.90%
5 Years
-1.79%
10 years
-37.33%
Averaged Ratio's of Portfolio Stocks
- Market Cap: $144 Billion
- Dividend Yield 2.08 %
- Beta 0.9791
- P/E Ratio 22.96
- Negative P/E Ratio -26.35
- Profit Margin NaN%
- PEG 94.98
- Price to Sales Ratio 2.96
- Price to Book Ratio NaN
- Enterprise Value to EBIT: NaN
- Enterprise Value to Revenue NaN
- Total Debt to Enterprise Value NaN
- Debt to Equity NaN
- Quarterly Earnings Growth (YoY) -
- Return on Equity NaN%
- Return on Assets NaN%
- Return on Invested Capital NaN%
Track Prem
Don't miss a trade. Get notified when Prem Watsa makes his next trade, It's Free!
About Prem Watsa
Prem Watsa is one of Indian-Canada's most prominent billionaires. He has been called the "Canadian Warren Buffett". He was awarded with Padma Shri, one of India's highest civilian honors in January 2020. He was born in India in 1950. He received his Master of Business Administration at the University of Western Ontario. Prem Watsa, a renowned investor with a strategic eye for value and long-term growth potential, maintains a diverse investment portfolio. Within his top stock holdings:Firstly, Micron Technology Inc., a leading global provider of semiconductor devices, showcases Watsa's confidence in the technology sector's continuous expansion and innovation-driving investments.Next, Occidental Petroleum Corp. appears as a prominent position, reflecting Watsa's calculated bet on the energy industry, particularly within companies well-positioned to capitalize on fluctuating oil prices and the ongoing demand for fossil fuels.Watsa's stake in Orla Mining Ltd demonstrates an inclination towards the precious metals market, recognizing the stability and hedge potential gold offers against inflationary pressures, which may interest investors looking for commodity exposure.The inclusion of BlackBerry Ltd signals Watsa's belief in turnaround stories and tech firms pivoting towards cutting-edge sectors, such as cybersecurity and automotive software, aligning with themes of transformation and resilience.Lastly, Kennedy-Wilson Holdings Inc highlights Watsa's venture into real estate investments via companies that manage a robust portfolio of properties across various regions, seeking both income and capital appreciation opportunities.Investors contemplating Prem Watsa's investment strategies can see a pattern favoring bright prospects in fundamental industriesβtech, energy, mining, communication, and real estateβthat offer not just diversification but are also well-aligned with economic cycles and innovative edges.
Track Prem
Don't miss a trade. Get notified when Prem Watsa makes his next trade, It's Free!