Asset Manager · CIK 0001056831
Bruce Berkowitz
Fairholme
Bruce Berkowitz runs Fairholme, an asset manager overseeing $1.43B in disclosed equity holdings (SEC CIK 0001056831). The latest portfolio (2025Q4) discloses 15 positions across 6 sectors, with the largest positions in JOE, EPD and OZK. On a mark-to-market basis the tracked portfolio has returned 27.0% over the past year. OpenStocks tracks 40 consecutive quarterly snapshots for this manager — every position change, new entry, and exit is logged below.
Portfolio
$1.43B
Positions
15
Quarter
2025Q4
Filings tracked
40
Holdings
Sorted by value · 2025Q1
12 positions
Number of shares
20,206,867 sh
Holdings current value
$948.71M
Avg closing price
$17.34
+284.9%
Last action
Trimmed 0.8%
2025Q4
Current $66.74
Number of shares
5,450,400 sh
Holdings current value
$186.08M
Avg closing price
$23.02
Last action
Added 0.0%
2025Q1
Current —
Number of shares
631,602 sh
Holdings current value
$27.44M
Avg closing price
$44.18
+8.2%
Last action
Trimmed 0.3%
2025Q4
Current $47.79
Number of shares
48,717 sh
Holdings current value
$25.95M
Avg closing price
$260.04
Last action
Trimmed 0.9%
2025Q4
Current —
Number of shares
261,450 sh
Holdings current value
$18.60M
Avg closing price
$58.08
Last action
Trimmed 0.5%
2025Q4
Current —
Number of shares
166,600 sh
Holdings current value
$3.10M
Avg closing price
$15.74
Last action
Trimmed 80.5%
2025Q1
Current —
Number of shares
54,300 sh
Holdings current value
$2.68M
Avg closing price
$42.86
Last action
Added 37.5%
2025Q2
Current —
Number of shares
1 sh
Holdings current value
$798.4K
Avg closing price
$267000
Last action
New holding
2020Q2
Current —
Number of shares
4,000 sh
Holdings current value
$639.5K
Avg closing price
$159.88
Last action
New holding
2025Q1
Current —
Number of shares
2,400 sh
Holdings current value
$532.8K
Avg closing price
$130.54
+107.0%
Last action
Trimmed 43.7%
2023Q3
Current $270.23
Number of shares
5,000 sh
Holdings current value
$385.5K
Avg closing price
$77.10
Last action
Exited
2025Q4
Current —
Portfolio heatmap
Box size = % of portfolio · color = return since filing
Sector exposure
Share of dollar value across the latest reported portfolio. Unclassified positions excluded.
- Real Estate1 pos$948.7M79.8%
- Energy6 pos$193.1M16.3%
- Financial Services2 pos$46.0M3.9%
- Technology1 pos$533K0.0%
(2.2% unclassified, excluded from %)