Prem Watsa

Fairfax Financial

Prem Watsa (Fairfax Financial) is tracked through public portfolio filings, disclosed holdings, and institutional investment activity. This Prem Watsa (Fairfax Financial) portfolio page tracks Fairfax Financial holdings, stock picks, latest portfolio moves, and historical 13F filing changes so readers can see which public companies Fairfax Financial owns and how disclosed positions change over time. Prem Watsa (Fairfax Financial)'s public portfolio can help investors study position sizing, sector exposure, concentration, new buys, trims, exits, and the market themes behind reported capital allocation decisions. Top disclosed holdings and portfolio changes shown on this page include Occidental Petroleum Corp (OXY), Under Armour, Inc. Class C Common Stock (UA), Orla Mining Ltd. (ORLA), Cleveland-Cliffs Inc. (CLF), and Under Armour Inc (UAA). Investors use Fairfax Financial 13F filings to study portfolio concentration, new buys, trims, exits, sector exposure, and the market evidence behind the latest disclosed holdings.

Latest Trades

CompanyValueActionChangePriceCurrent Price
Occidental Petroleum CorpOXY$-248.7MExitQ1 2026 13F$249M$50.29$49.99
Under Armour, Inc. Class C Common StockUA$127M22M sharesAddQ1 2026 13F$82M$5.77$5.64
Orla Mining Ltd.ORLA$502M31.8M sharesAddQ1 2026 13F$78M$15.76$12.17
Cleveland-Cliffs Inc.CLF$126M14.9M sharesTrimQ1 2026 13F$72M$8.44$10.57
Under Armour IncUAA$254M43M sharesAddQ1 2026 13F$45M$5.90$5.78
Vanguard S&P 500 ETFVOO$-36.5MExitQ1 2026 13F$37M$626.14$689.96
The Wendy's CompanyWEN$23M3.3M sharesOtherQ1 2026 13F$23M$6.96$7.49
CVS Health CorpCVS$195M2.7M sharesTrimQ1 2026 13F$20M$77.03$97.08
BlackBerry LimitedBB$113M35M sharesTrimQ1 2026 13F$19M$3.24$8.67
Kennedy-Wilson Holdings IncKW$144M13.3M sharesAddQ1 2026 13F$15M$10.83$11.01
Helmerich & Payne, Inc.HP$42M1.2M sharesAddQ1 2026 13F$8.6M$36.03$38.49
The Kraft Heinz CoKHC$118M5.3M sharesTrimQ1 2026 13F$5.7M$23.52$23.70
Pfizer IncPFE$28M990.9k sharesAddQ1 2026 13F$5.6M$27.12$25.62
Taiwan Semiconductor Manufacturing Co LtdTSM$32M93.7k sharesAddQ1 2026 13F$3.2M$344.13$440.83
Johnson & JohnsonJNJ$18M73.4k sharesAddQ1 2026 13F$2.7M$241.49$232.16
Merck & Co IncMRK$21M172.9k sharesAddQ1 2026 13F$2.6M$118.42$119.52
General Motors CoGM$28M376k sharesTrimQ1 2026 13F$2.6M$77.34$83.77
Bank Nova Scotia Halifax pfd 3 ordinary shares - 125 sharesBNS$25M359.1k sharesTrimQ1 2026 13F$1.7M$72.75$80.93
Warner Bros. Discovery, Inc. - Series A Common StockWBD$1.6M57.9k sharesOtherQ1 2026 13F$1.6M$28.00$27.20
Garrett Motion Inc.GTX$3.4M184.5k sharesTrimQ1 2026 13F$1.2M$18.17$33.66
ATS CorporationATS$69M2.5M sharesAddQ1 2026 13F$1.1M$27.89$35.27
Lululemon Athletica IncLULU$1.9M12.5k sharesTrimQ1 2026 13F$685k$152.97$131.04
Colliers International Group Inc.CIGI$2.6M25k sharesTrimQ1 2026 13F$585k$104.26$96.22
Canadian National Railway Co (2)CNI$2.5M24.8k sharesAddQ1 2026 13F$573k$106.04$120.81
Molson Coors Beverage Company Class BTAP$62M1.4M sharesTrimQ1 2026 13F$553k$43.06$41.87
Capri Holdings LimitedCPRI$1.4M78.1k sharesTrimQ1 2026 13F$528k$19.17$19.73
International Game Technology PLCIGT$875k68.7k sharesAddQ1 2026 13F$308k$12.73$16.29
Priority Technology Holdings, Inc.PRTH$333k70.5k sharesTrimQ1 2026 13F$51k$4.72$6.23
Berkshire Hathaway Inc.BRK-A$718k1 sharesTrimQ1 2026 13F$35k$736,358.82$746,597.94
Magnachip Semiconductor CorporationMX$349k125k sharesAddQ1 2026 13F$33k$2.79$5.95
Penn National Gaming, Inc.PENN$825k54.9k sharesAddQ1 2026 13F$16k$15.03$19.09