Portfolio
Updated monthly • Allocations shown as % of total portfolio
Position
% of Portfolio
BN — Brookfield Corporation
20.27%
CASH
19.40%
BRK.B — Berkshire Hathaway
19.25%
GOOGL — Alphabet Class A
16.22%
NKE — Nike
5.47%
NVDA — NVIDIA
5.35%
BEPC — Brookfield Renewable
4.75%
ACN — Accenture
4.36%
SNOW — Snowflake
2.40%
KMX — CarMax
1.51%
GRAB — Grab Holdings
1.19%
Totals may not equal exactly 100.00% due to rounding. This is personal disclosure and not investment advice.