CB

Christopher Bloomstran

Semper Augustus Portfolio

Portfolio Value
$885M
Holdings
50
Period
Q2 2026
Portfolio Date
Jun 29, 2026
Filed
25 days ago
Filed:
As of:· Q2 2026
Next update expected:≈ Nov 14, 2026· Q3 2026

Portfolio Allocation

Top 5: 52.4%
BRK.B · 15.45%ALK · 10.58%BRK.A · 10.16%DG · 8.66%DECK · 7.52%DLTR · 7.25%BLDR · 5.60%OLN · 4.83%Others · 29.95%
50Holdings

Portfolio Holdings

Stock
%
Stock
Berkshire Hathaway CL BBRK.B
15.45%
Stock
Alaska Air GroupALK
10.58%
Stock
Berkshire Hathaway CL ABRK.A
10.16%
Stock
Dollar GeneralDG
8.66%
Stock
Deckers OutdoorDECK
7.52%
Stock
Dollar Tree Inc.DLTR
7.25%
Stock
Builders FirstSource Inc.BLDR
5.60%
Stock
Olin Corp.OLN
4.83%
Stock
Newmont Corp.NEM
4.72%
KG
Kinross Gold Corp.KGC
4.14%
Stock
Paychex Inc.PAYX
2.35%
Stock
Five Below Inc.FIVE
2.15%
Stock
S&P Global Inc.SPGI
2.12%
Stock
HF Sinclair Corp.DINO
1.99%
Stock
Walt Disney Co.DIS
1.75%
Stock
Cognizant Technology SolutionsCTSH
1.65%
Stock
Valero EnergyVLO
1.12%
Stock
Cummins Inc.CMI
1.05%
Stock
ExxonMobil Holdings Corp.XOM
0.88%
SK
Skydance Corp.SKYD
0.72%
Stock
Travelers Companies Inc.TRV
0.71%
Stock
Merck & Co.MRK
0.65%
Stock
Equinor ASAEQNR
0.57%
Stock
Starbucks Corp.SBUX
0.53%
Stock
GE AerospaceGE
0.40%
Stock
Costco Co.COST
0.35%
Stock
Ge Vernova IncGEV
0.26%
Stock
NXP Semiconductors NVNXPI
0.24%
GL
SPDR Gold Minishares TrustGLDM
0.22%
Stock
SEACOR Marine Holdings Inc.SMHI
0.18%
Stock
Apple Inc.AAPL
0.15%
Stock
Coca Cola Co.KO
0.14%
Stock
American ExpressAXP
0.13%
Stock
Chevron Corp.CVX
0.11%
SG
Ishares 0 3 Month Treasury BSGOV
0.10%
Stock
Alphabet Inc. CL CGOOG
0.10%
PH
Sprott Physical Gold TrustPHYS
0.08%
Stock
Shell plcSHEL
0.04%
Stock
Synchrony FinancialSYF
0.04%
Stock
Mastercard Inc.MA
0.04%
Stock
Philip Morris Intl.PM
0.04%
Stock
Phillips 66PSX
0.03%
Stock
Microsoft Corp.MSFT
0.03%
Stock
Alphabet Inc.GOOGL
0.03%
Stock
GE HealthCare Technologies Inc.GEHC
0.03%
SI
Abrdn Physical Silver SharesSIVR
0.03%
Stock
Netflix Inc.NFLX
0.02%
Stock
Johnson & JohnsonJNJ
0.02%
Stock
Sunbelt Rentals Holdings IncSUNB
0.02%
Stock
Microchip TechnologyMCHP
0.02%

About the Christopher Bloomstran Portfolio

The Christopher Bloomstran portfolio holds 50 stocks with a total value of $885M, based on the latest SEC 13F filing (Q2 2026). Below you can explore every position, its portfolio weighting and the most recent buys and sells.

The largest position in the Christopher Bloomstran portfolio is Berkshire Hathaway CL B, which accounts for 15.5% of the total portfolio value.

Frequently asked questions

Christopher Bloomstran holds 50 different stocks according to the latest SEC 13F filing. The largest positions are Berkshire Hathaway CL B, Alaska Air Group, Berkshire Hathaway CL A. The full list of holdings with weightings and values is shown in the table above.

Christopher Bloomstran's largest position is Berkshire Hathaway CL B, which makes up 15.5% of the total portfolio.

The Christopher Bloomstran portfolio is worth $885M and is spread across 50 stocks, based on the 13F filing as of Jun 29, 2026.

Institutional investors like Christopher Bloomstran disclose their holdings every quarter in an SEC 13F filing, due within 45 days after the end of each quarter. We update this page as soon as the new filing is published.

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