Universe · entity

AVENIR CORP

Institutional manager (13F) · CIK 1033475
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $814M
#IssuerValueShares
1MICROSOFT CORP$90M244,110
2MARKEL GROUP INC$88M45,832
3AMAZON COM INC$78M375,273
4AMERICAN TOWER CORP NEW$72M415,352
5OREILLY AUTOMOTIVE INC$69M749,700
6APPLE INC$58M228,871
7BERKSHIRE HATHAWAY INC DEL$52M108,941
8COPART INC$37M1,109,001
9MASTERCARD INCORPORATED$33M65,067
10ADOBE INC$31M126,638
11WAYSTAR HLDG CORP$23M973,260
12AMENTUM HOLDINGS INC$22M841,099
13UNIVERSAL DISPLAY CORP$21M230,152
14LOCKHEED MARTIN CORP$19M31,952
15BOK FINL CORP$16M124,957
16VISA INC$12M41,075
17MPLX LP$11M186,892
18SBA COMMUNICATIONS CORP NEW$11M61,747
19ENERGY TRANSFER LP$9M451,327
20ENERGY RECOVERY INC$8M817,755
21ATOMERA INC$6M1,461,415
22KINDER MORGAN INC DEL$5M145,185
23ENTERPRISE PRODS PARTNERS LP$5M125,478
24BERKSHIRE HATHAWAY INC DEL$4M6
25ALPHABET INC$3M10,770
26CYTOSORBENTS CORP$3M5,215,776
27EQUINIX INC$3M2,741
28STARWOOD PPTY TR INC$2M136,193
29SPROTT PHYSICAL GOLD TRUST$2M60,310
30MOLINA HEALTHCARE INC$2M14,762
31AXOS FINANCIAL INC.$2M20,790
32AMERICAN INTL GROUP INC$2M20,180
33COHERENT CORP$1M6,110
34EXXON MOBIL CORP$1M8,345
35BRIGHTSPIRE CAPITAL INC$1M221,900
36BANK AMERICA CORP$1M24,690
37VANGUARD INDEX FDS$1M1,930
38BLACK STONE MINERALS LP$1M73,900
39ADAPTIVE BIOTECHNOLOGIES COR$1M76,365
40BROOKFIELD CORP$911k22,500
41SPDR GOLD TRUST$910k2,114
42LAMAR ADVERTISING CO NEW$859k6,780
43BROOKFIELD INFRAST PARTNERS$833k23,071
44GLADSTONE COMMERCIAL CORP$763k66,748
45PRIVIA HEALTH GROUP INC$756k36,745
46INTEL CORP$503k11,393
47COSTCO WHSL CORP NEW$498k500
48OPTIMIZERX CORP$485k77,260
49L3HARRIS TECHNOLOGIES INC$468k1,357
50CARMAX INC$458k11,021
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.