HoldingsChannel.com
AMI Investment Management Inc. Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
Berkshire Hathaway CL B      $17,089
     BRK.B93,471+711$17,089
Schwab US Lcap ETF (SCHX) 136,067 -87,295 $8,334
     SCHX136,067-87,295$8,334
Vanguard Info Tech (VGT) 37,739 -1,282 $7,997
     VGT37,739-1,282$7,997
JP Morgan Chase & Co 70,998 -1,772 $6,392
     JPM70,998-1,772$6,392
Liberty Broadband Co 47,285 -4,065 $5,059
     LBRDA47,285-4,065$5,059
SPDR Tr Unit Ser 1 (SPY) 19,335 -19,097 $4,984
     SPY19,335-19,097$4,984
Vanguard ST Corp (VCSH) 60,835 +1,009 $4,812
     VCSH60,835+1,009$4,812
Google Inc. Cl A 4,041 -94 $4,699
     GOOGL4,041-94$4,699
Vanguard 500 Fund (VOO) 19,563 +19,563 $4,633
     VOO19,563+19,563$4,633
Facebook 27,086 -419 $4,518
     FB27,086-419$4,518
Vanguard Consumer (VCR) 30,737 +30,737 $4,468
     VCR30,737+30,737$4,468
Microsoft 27,018 -1,300 $4,261
     MSFT27,018-1,300$4,261
Vanguard Value ETF (VTV) 42,723 -2,279 $3,805
     VTV42,723-2,279$3,805
Vanguard Intermediate Corp (VCIT) 41,917 -11,122 $3,651
     VCIT41,917-11,122$3,651
Wells Fargo & Co. 123,379 -42,223 $3,541
     WFC123,379-42,223$3,541
Graham Hldgs Company 10,213 +662 $3,484
     GHM10,213+662$3,484
Equity Commonwealth 109,816 +109,816 $3,482
     EQC109,816+109,816$3,482
Allison Transmission 101,828 -13,975 $3,321
     ALSN101,828-13,975$3,321
Comcast Corp Class A 89,330 +89,330 $3,071
     CMCSA89,330+89,330$3,071
Bank of NY Mellon Corp 88,521 -26,452 $2,981
     BK88,521-26,452$2,981
Schwab Intl Eq ETF (SCHF) 105,341 -25,468 $2,722
     SCHF105,341-25,468$2,722
Schwab Emg Mkt Eq ETF (SCHE) 128,968 -6,832 $2,668
     SCHE128,968-6,832$2,668
Lowes Companies 29,447 +27,447 $2,602
     LOW29,447+27,447$2,602
Disney Walt Co Holding Co 25,709 -232 $2,483
     DIS25,709-232$2,483
Schw US Brd Mkt ETF (SCHB) 40,475 +105 $2,446
     SCHB40,475+105$2,446
Johnson & Johnson 18,193 -1,235 $2,386
     JNJ18,193-1,235$2,386
Sector SPDR Fin Select (XLF) 114,094 +9,573 $2,375
     XLF114,094+9,573$2,375
Vanguard Mortgage Backed (VMBS) 43,236 +2,396 $2,356
     VMBS43,236+2,396$2,356
Fiserv 24,656 -6,105 $2,342
     FISV24,656-6,105$2,342
Pepsico Incorporated 19,491 -1,020 $2,341
     PEP19,491-1,020$2,341
Schwab US Agg Bnd ETF (SCHZ) 42,057 -160 $2,282
     SCHZ42,057-160$2,282
Store Capital Corp 115,111 -17,359 $2,086
     STOR115,111-17,359$2,086
Vanguard Short Term Bond (BSV) 24,322 +543 $1,999
     BSV24,322+543$1,999
Simon Property Group Inc 33,530 +113 $1,839
     SPG33,530+113$1,839
Schwab Short Term US 34,622 -55 $1,791
     SCHO34,622-55$1,791
Source Capital CEF 56,966 +1,553 $1,748
     SOR56,966+1,553$1,748
Invesco Bulletshares (BSCK) 82,505 +1,490 $1,733
     BSCK82,505+1,490$1,733
Ishares Tr Russell (IWF) 12,085 -2,500 $1,710
     IWF12,085-2,500$1,710
Axalta Coating Syste 97,640 -1,082 $1,686
     AXTA97,640-1,082$1,686
Vanguard Total Bond (BND) 19,725 -800 $1,684
     BND19,725-800$1,684
Sector SPDR Engy Select (XLE) 54,011 -1,305 $1,570
     XLE54,011-1,305$1,570
Wal Mart Stores 12,102 -703 $1,375
     WMT12,102-703$1,375
Trimas Corporation 56,364 -59,006 $1,302
     TRS56,364-59,006$1,302
Oracle Corp. 25,878 -4,305 $1,251
     ORCL25,878-4,305$1,251
United Health Group 4,952 UNCH $1,235
     UNH4,952UNCH$1,235
Howard Hughes Corp 23,669 -17,823 $1,196
     HHC23,669-17,823$1,196
United Technologies Corp. 12,582 -1,408 $1,187
     UTX12,582-1,408$1,187
Bank of America Corp. 54,438 +54,438 $1,156
     BAC54,438+54,438$1,156
Marriott Intl Inc 14,838 +458 $1,110
     MAR14,838+458$1,110
Apple Computer 3,588 -935 $912
     AAPL3,588-935$912

See Full List: All Stocks Held By AMI Investment Management Inc.
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By AMI Investment Management Inc.

Size ($ in 1000's)
At 03/31/2020: $168,727
At 12/31/2019: $233,480

AMI Investment Management Inc. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from AMI Investment Management Inc. 13F filings. Link to 13F filings: SEC filings

AMI Investment Management Inc. Top Holdings 13F Filings | www.HoldingsChannel.com

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