V. Prem Watsa

Taken From the combined 2021-06-30 13F-HR Filing of FAIRFAX FINANCIAL HOLDINGS LTD/ CAN

Stock Symbol Security Type Shares Market Value
Atlas Corp ATCO SH 99932826 1.423 Billion
Blackberry Ltd BB SH 46724700 570.976 Million
Resolute Forest Products Inc RFP SH 30548190 372.688 Million
Kennedy-Wilson Holdings Inc KW SH 13322009 264.708 Million
Crescent Capital BDC, Inc. CCAP SH 3796246 70.8 Million
Micron Technology, Inc. MU SH 690200 58.653 Million
Alphabet Inc. Class A GOOGL SH 16731 40.82 Million
Franklin Resources Inc BEN SH 1000000 31.98 Million
General Motors Co GM SH 375965 22.246 Million
Lumen Technologies, Inc LUMN SH 1425000 19.366 Million
General Electric Co GE SH 1390900 18.722 Million
Helmerich & Payne, Inc. HP SH 555105 18.108 Million
Block (H&R) Inc. HRB SH 770894 18.093 Million
Chevron Corp. (Standard Oil of California) CVX SH 155800 16.312 Million
Bank of Nova Scotia (NYSE) ADR BNS SH 247100 16.083 Million
Pfizer, Inc. PFE SH 400900 15.699 Million
Merck & Co MRK SH 172900 13.446 Million
Johnson & Johnson Co. JNJ SH 73400 12.091 Million
Taiwan Semiconductor Manufacturing Co Ltd ADR TSM SH 93700 11.253 Million
Diamond S Shipping Inc DSSI2 SH 1034681 10.316 Million
Mastercraft Boat Holdings Inc MCFT SH 328699 8.638 Million
Booking Holdings Inc. (Priceline) BKNG SH 3500 7.651 Million
Liberty TripAdvisor Holdings Inc A LTRPA SH 1650000 6.715 Million
Vanguard S&P 500 ETF VOO SH 11313 4.452 Million
WW Intl Inc WW SH 80000 2.891 Million
Restaurant Brands International Inc QSR SH 43500 2.801 Million
Colliers International Group Inc CIGI SH 25000 2.789 Million
IMAX Corp IMAX SH 125000 2.686 Million
Loral Space and Communications Inc LORL SH 66000 2.563 Million
Brookfield Asset Management Inc BAM SH 50000 2.55 Million
Middleby Corp (The) MIDD SH 14500 2.508 Million
KKR & Co Inc KKR SH 40000 2.369 Million
Dine Brands Global Inc DIN SH 25500 2.272 Million
CVS Health Corp. (Melville Shoe) CVS SH 26500 2.211 Million
Under Armour Inc Cl C UA SH 119000 2.209 Million
Osisko Gold Royalties Ltd OR SH 160000 2.188 Million
Dennys Corp. DENN SH 125000 2.061 Million
Fidelity National Financial Inc FNF SH 40000 1.738 Million
Delek US Holdings Inc. DK SH 70000 1.513 Million
U.S. Silica Holdings, Inc. SLCA SH 130000 1.502 Million
Kulicke & Soffa Industries Inc. KLIC SH 24000 1.469 Million
Jacobs Engineering Group Inc J SH 11000 1.468 Million
iRobot Corp IRBT SH 15000 1.401 Million
MagnaChip Semiconductor Corp MX SH 56200 1.34 Million
Granite Real Estate Investment Trusts GRP.U SH 20000 1.328 Million
Argan Inc. AGX SH 27500 1.315 Million
Northwest Pipe Co. NWPX SH 43000 1.215 Million
Liberty Broadband Corp Class C LBRDK SH 6380 1.108 Million
Darling Ingredients Inc DAR SH 16200 1.094 Million
Viemed Healthcare Inc VMD SH 150000 1.073 Million
Garrett Motion Inc GTX SH 109900 874 Thousand
Change Healthcare Inc CHNG SH 35000 805 Thousand
Nuance Communications, Inc. NUAN SH 13500 735 Thousand
Kansas City Southern Industries Inc. KSU SH 2400 680 Thousand
Strongbridge Biopharma plc SBBP1 SH 193107 572 Thousand
Organon & Co OGN SH 17290 523 Thousand
Meta Platforms, Inc. FB SH 1400 487 Thousand
Berkshire Hathaway Inc Class A BRK.A SH 1 418 Thousand
Brookfield Asset Management Reinsurance Partners Ltd BAMR SH 343 18 Thousand

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