Instuitional Investor - Asset Management Advisors, Llc

Fund Profile
Filing Period:
Fund Name: Asset Management Advisors, Llc
Portfolio Value $163,855,342
Filing Period:
No. Security Ticker Shares Value % Port
1. BRK.A 112,623 $56,620,087 34.55%
2. BN 342,079.5 $15,639,875 9.54%
3. WMB 174,709 $11,067,815 6.75%
4.
Brookfield Renewable Corp
302,840 $10,423,753 6.36%
5. NEE 115,721 $8,735,778 5.33%