Universe · entity
AVENIR CORP
Institutional manager (13F) · CIK 1033475
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $814M
| # | Issuer | Value | Shares |
|---|---|---|---|
| 1 | MICROSOFT CORP | $90M | 244,110 |
| 2 | MARKEL GROUP INC | $88M | 45,832 |
| 3 | AMAZON COM INC | $78M | 375,273 |
| 4 | AMERICAN TOWER CORP NEW | $72M | 415,352 |
| 5 | OREILLY AUTOMOTIVE INC | $69M | 749,700 |
| 6 | APPLE INC | $58M | 228,871 |
| 7 | BERKSHIRE HATHAWAY INC DEL | $52M | 108,941 |
| 8 | COPART INC | $37M | 1,109,001 |
| 9 | MASTERCARD INCORPORATED | $33M | 65,067 |
| 10 | ADOBE INC | $31M | 126,638 |
| 11 | WAYSTAR HLDG CORP | $23M | 973,260 |
| 12 | AMENTUM HOLDINGS INC | $22M | 841,099 |
| 13 | UNIVERSAL DISPLAY CORP | $21M | 230,152 |
| 14 | LOCKHEED MARTIN CORP | $19M | 31,952 |
| 15 | BOK FINL CORP | $16M | 124,957 |
| 16 | VISA INC | $12M | 41,075 |
| 17 | MPLX LP | $11M | 186,892 |
| 18 | SBA COMMUNICATIONS CORP NEW | $11M | 61,747 |
| 19 | ENERGY TRANSFER LP | $9M | 451,327 |
| 20 | ENERGY RECOVERY INC | $8M | 817,755 |
| 21 | ATOMERA INC | $6M | 1,461,415 |
| 22 | KINDER MORGAN INC DEL | $5M | 145,185 |
| 23 | ENTERPRISE PRODS PARTNERS LP | $5M | 125,478 |
| 24 | BERKSHIRE HATHAWAY INC DEL | $4M | 6 |
| 25 | ALPHABET INC | $3M | 10,770 |
| 26 | CYTOSORBENTS CORP | $3M | 5,215,776 |
| 27 | EQUINIX INC | $3M | 2,741 |
| 28 | STARWOOD PPTY TR INC | $2M | 136,193 |
| 29 | SPROTT PHYSICAL GOLD TRUST | $2M | 60,310 |
| 30 | MOLINA HEALTHCARE INC | $2M | 14,762 |
| 31 | AXOS FINANCIAL INC. | $2M | 20,790 |
| 32 | AMERICAN INTL GROUP INC | $2M | 20,180 |
| 33 | COHERENT CORP | $1M | 6,110 |
| 34 | EXXON MOBIL CORP | $1M | 8,345 |
| 35 | BRIGHTSPIRE CAPITAL INC | $1M | 221,900 |
| 36 | BANK AMERICA CORP | $1M | 24,690 |
| 37 | VANGUARD INDEX FDS | $1M | 1,930 |
| 38 | BLACK STONE MINERALS LP | $1M | 73,900 |
| 39 | ADAPTIVE BIOTECHNOLOGIES COR | $1M | 76,365 |
| 40 | BROOKFIELD CORP | $911k | 22,500 |
| 41 | SPDR GOLD TRUST | $910k | 2,114 |
| 42 | LAMAR ADVERTISING CO NEW | $859k | 6,780 |
| 43 | BROOKFIELD INFRAST PARTNERS | $833k | 23,071 |
| 44 | GLADSTONE COMMERCIAL CORP | $763k | 66,748 |
| 45 | PRIVIA HEALTH GROUP INC | $756k | 36,745 |
| 46 | INTEL CORP | $503k | 11,393 |
| 47 | COSTCO WHSL CORP NEW | $498k | 500 |
| 48 | OPTIMIZERX CORP | $485k | 77,260 |
| 49 | L3HARRIS TECHNOLOGIES INC | $468k | 1,357 |
| 50 | CARMAX INC | $458k | 11,021 |
Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.