Institution Information
Reportee Signature Date Report period Total Entries Total AUM($)
SEMPER AUGUSTUS INVESTMENTS GROUP LLC 11-14-2019 09-30-2019 28 174,603,000
Institutional Holdings
Issuer Class Position Value Shares Portfolio Percentage (%) Previous Percentage (%) Shares Delta Shares Delta(%) Date Reported
BERKSHIRE HATHAWAY INC DEL CL B NEW 1 $39,077,000 187,851 22.38 22.90 6,556 3.62 09-30-2019
BERKSHIRE HATHAWAY INC DEL CL A 2 $26,194,000 84 15.00 15.84 0 0.00 09-30-2019
NEWMONT GOLDCORP CORPORATION COM 3 $11,022,000 290,657 6.31 6.57 2,308 0.80 09-30-2019
STARBUCKS CORP COM 4 $10,113,000 114,369 5.79 5.66 454 0.40 09-30-2019
DOLLAR GEN CORP NEW COM 5 $8,555,000 53,826 4.90 4.36 -579 -1.06 09-30-2019
EXXON MOBIL CORP COM 6 $8,000,000 113,297 4.58 4.99 3,273 2.97 09-30-2019
MERCURY GENL CORP NEW COM 7 $6,019,000 107,704 3.45 4.00 -339 -0.31 09-30-2019
NXP SEMICONDUCTORS N V COM 8 $5,803,000 53,177 3.32 3.05 379 0.72 09-30-2019
COSTCO WHSL CORP NEW COM 9 $5,652,000 19,619 3.24 3.06 89 0.46 09-30-2019
HEXCEL CORP NEW COM 10 $5,073,000 61,768 2.91 2.95 136 0.22 09-30-2019
KINROSS GOLD CORP COM 11 $5,014,000 1,090,010 2.87 2.50 2,696 0.25 09-30-2019
SKYWORKS SOLUTIONS INC COM 12 $4,843,000 61,106 2.77 2.77 676 1.12 09-30-2019
CUMMINS INC COM 13 $4,823,000 29,649 2.76 2.98 338 1.15 09-30-2019
14
SEACOR MARINE HLDGS INC COM 15 $4,165,000 331,313 2.39 2.85 9,815 3.05 09-30-2019
OLIN CORP COM PAR $1 16 $4,061,000 216,916 2.33 216,916 +Inf 09-30-2019
MERCK & CO INC COM 17 $3,579,000 42,512 2.05 2.12 -211 -0.49 09-30-2019
AVX CORP NEW COM 18 $3,216,000 211,588 1.84 2.01 7,498 3.67 09-30-2019
TRAVELERS COMPANIES INC COM 19 $2,974,000 20,000 1.70 1.77 0 0.00 09-30-2019
DISNEY WALT CO COM DISNEY 20 $2,842,000 21,811 1.63 1.78 306 1.42 09-30-2019
AMERICAN EXPRESS CO COM 21 $2,440,000 20,628 1.40 1.49 203 0.99 09-30-2019
EQUINOR ASA SPONSORED ADR 22 $2,262,000 119,367 1.30 1.35 4,254 3.70 09-30-2019
INTEL CORP COM 23 $2,080,000 40,371 1.19 1.12 851 2.15 09-30-2019
WASHINGTON FED INC COM 24 $2,047,000 55,343 1.17 1.12 1,023 1.88 09-30-2019
COCA COLA CO COM 25 $1,633,000 30,000 0.94 0.91 0 0.00 09-30-2019
NIKE INC CL B 26 $1,207,000 12,854 0.69 0.63 131 1.03 09-30-2019
GENERAL ELECTRIC CO COM 27 $1,068,000 119,415 0.61 0.74 0 0.00 09-30-2019
MEDTRONIC PLC SHS 28 $555,000 5,106 0.32 0.29 0 0.00 09-30-2019
ROYAL DUTCH SHELL PLC SPONS ADR A 29 $286,000 4,868 0.16 0.19 0 0.00 09-30-2019
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