Instuitional Investor - Asset Management Advisors, Llc

Fund Profile
Filing Period:
Fund Name: Asset Management Advisors, Llc
Portfolio Value $148,906,202
Filing Period:
No. Security Ticker Shares Value % Port
1. BRK.A 112,216 $54,511,166 36.61%
2. BN 342,604.5 $14,126,726 9.49%
3. WMB 176,189 $11,066,431 7.43%
4.
Brookfield Renewable Corp
304,440 $9,979,543 6.7%
5. NEE 116,366 $8,078,128 5.42%