Instuitional Investor - Asset Management Advisors, Llc

Fund Profile
Filing Period:
Fund Name: Asset Management Advisors, Llc
Portfolio Value $137,301,940
Filing Period:
No. Security Ticker Shares Value % Port
1. BRK.A 112,790 $51,125,451 37.23%
2. BN 225,273 $12,941,934 9.42%
3. WMB 177,697 $9,616,962 7%
4. AAPL 33,875 $8,482,977 6.17%
5.
Brookfield Renewable Corp
303,525 $8,395,501 6.11%