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Form 13F manager

SEMPER AUGUSTUS INVESTMENTS GROUP LLC

Latest quarter 2026-06-30 ยท filed 2026-08-14 ยท reported total $885M ยท filing โ€”

As filed on Form 13F โ€” long US-listed positions only. No shorts, cash, bonds, or non-13F assets appear here.

Filed up to 45 days after quarter end; holdings may have changed since.

Positions

RowIssuerClassPut/callValue% of totalSH/PRN qty
1BRK-B ยท BERKSHIRE HATHAWAY INC DELCL B NEWโ€”$137M15.5%SH 273,145
2ALK ยท ALASKA AIR GROUP INCCOMโ€”$94M10.6%SH 1,793,627
3BRK-A ยท BERKSHIRE HATHAWAY INC DELCL Aโ€”$90M10.2%SH 120
4DOLLAR GEN CORPCOMโ€”$77M8.7%SH 665,307
5DECK ยท DECKERS OUTDOOR CORPCOMโ€”$67M7.5%SH 670,199
6DLTR ยท DOLLAR TREE INCCOMโ€”$64M7.2%SH 530,113
7BLDR ยท BUILDERS FIRSTSOURCE INCCOMโ€”$50M5.6%SH 553,722
8OLN ยท OLIN CORPCOM PAR $1โ€”$43M4.8%SH 2,153,826
9NEWMONT CORPCOMโ€”$42M4.7%SH 447,228
10KINROSS GOLD CORPCOMโ€”$37M4.1%SH 1,548,995
11PAYX ยท PAYCHEX INCCOMโ€”$21M2.4%SH 211,640
12FIVE ยท FIVE BELOW INCCOMโ€”$19M2.1%SH 105,657
13SPGI ยท S&P GLOBAL INCCOMโ€”$19M2.1%SH 45,989
14DINO ยท HF SINCLAIR CORPCOMโ€”$18M2.0%SH 252,187
15DIS ยท DISNEY WALT COCOMโ€”$15M1.7%SH 160,653
16COGNIZANT TECHNOLOGY SOLUTIOCL Aโ€”$15M1.7%SH 377,991
17VALERO ENERGY CORPCOMโ€”$9.9M1.1%SH 37,893
18CMI ยท CUMMINS INCCOMโ€”$9.3M1.0%SH 12,972
19EXXON MOBIL CORPCOMโ€”$7.8M0.9%SH 57,176
20PSKY ยท PARAMOUNT SKYDANCE CORPCOM CL Bโ€”$6.4M0.7%SH 648,835
21TRV ยท TRAVELERS COMPANIES INCCOMโ€”$6.3M0.7%SH 19,100
22MRK ยท MERCK & CO INCCOMโ€”$5.7M0.6%SH 44,633
23EQUINOR ASASPONSORED ADRโ€”$5.1M0.6%SH 161,175
24SBUX ยท STARBUCKS CORPCOMโ€”$4.7M0.5%SH 45,761
25GE AEROSPACECOM NEWโ€”$3.5M0.4%SH 9,352
26COSTCO WHOLESALE CORPORATIONCOMโ€”$3.1M0.4%SH 3,354
27GEV ยท GE VERNOVA INCCOMโ€”$2.3M0.3%SH 1,994
28NXPI ยท NXP SEMICONDUCTORS N VCOMโ€”$2.2M0.2%SH 7,662
29WORLD GOLD TRSPDR GLD MINISโ€”$1.9M0.2%SH 24,063
30SEACOR MARINE HLDGS INCCOMโ€”$1.6M0.2%SH 208,175
31AAPL ยท APPLE INCCOMโ€”$1.3M0.2%SH 4,640
32KO ยท COCA COLA COCOMโ€”$1.2M0.1%SH 15,328
33AXP ยท AMERICAN EXPRESS COCOMโ€”$1.1M0.1%SH 3,311
34CVX ยท CHEVRON CORPORATIONCOMโ€”$1.0M0.1%SH 6,063
35ISHARES TR0-3 MTH TREASURYโ€”$0.9M<0.1%SH 8,570
36GOOG ยท ALPHABET INCCAP STK CL Cโ€”$0.9M<0.1%SH 2,432
37SPROTT ASSET MANAGEMENT LPPHYSICAL GOLD TRโ€”$0.7M<0.1%SH 23,869
38SHELL PLCSPON ADSโ€”<$1M<0.1%SH 4,968
39MA ยท MASTERCARD INCORPORATEDCL Aโ€”<$1M<0.1%SH 658
40SYNCHRONY FINANCIALCOMโ€”<$1M<0.1%SH 4,437
41PM ยท PHILIP MORRIS INTL INCCOMโ€”<$1M<0.1%SH 1,762
42GE HEALTHCARE TECHNOLOGIES ICOMMON STOCKโ€”<$1M<0.1%SH 4,581
43GOOGL ยท ALPHABET INCCAP STK CL Aโ€”<$1M<0.1%SH 700
44PSX ยท PHILLIPS 66COMโ€”<$1M<0.1%SH 1,472
45MSFT ยท MICROSOFT CORPCOMโ€”<$1M<0.1%SH 641
46SIVR ยท ABRDN SILVER ETF TRUSTPHYSCL SILVR SHSโ€”<$1M<0.1%SH 4,245
47MICROCHIP TECHNOLOGY INC.COMโ€”<$1M<0.1%SH 2,418
48NFLX ยท NETFLIX INC.COMโ€”<$1M<0.1%SH 2,980
49SUNB ยท SUNBELT RENTALS HOLDINGS INCSHSโ€”<$1M<0.1%SH 2,774
50JNJ ยท JOHNSON & JOHNSONCOMโ€”<$1M<0.1%SH 794
Filed rows (50) โ€” as filed
RowIssuerClassPut/callValue% of totalSH/PRN qtySource
1BERKSHIRE HATHAWAY INC DELCL B NEWโ€”$137M15.5%SH 273,1450001941040-26-000625
2ALASKA AIR GROUP INCCOMโ€”$94M10.6%SH 1,793,6270001941040-26-000625
3BERKSHIRE HATHAWAY INC DELCL Aโ€”$90M10.2%SH 1200001941040-26-000625
4DOLLAR GEN CORPCOMโ€”$77M8.7%SH 665,3070001941040-26-000625
5DECKERS OUTDOOR CORPCOMโ€”$67M7.5%SH 670,1990001941040-26-000625
6DOLLAR TREE INCCOMโ€”$64M7.2%SH 530,1130001941040-26-000625
7BUILDERS FIRSTSOURCE INCCOMโ€”$50M5.6%SH 553,7220001941040-26-000625
8OLIN CORPCOM PAR $1โ€”$43M4.8%SH 2,153,8260001941040-26-000625
9NEWMONT CORPCOMโ€”$42M4.7%SH 447,2280001941040-26-000625
10KINROSS GOLD CORPCOMโ€”$37M4.1%SH 1,548,9950001941040-26-000625
11PAYCHEX INCCOMโ€”$21M2.4%SH 211,6400001941040-26-000625
12FIVE BELOW INCCOMโ€”$19M2.1%SH 105,6570001941040-26-000625
13S&P GLOBAL INCCOMโ€”$19M2.1%SH 45,9890001941040-26-000625
14HF SINCLAIR CORPCOMโ€”$18M2.0%SH 252,1870001941040-26-000625
15DISNEY WALT COCOMโ€”$15M1.7%SH 160,6530001941040-26-000625
16COGNIZANT TECHNOLOGY SOLUTIOCL Aโ€”$15M1.7%SH 377,9910001941040-26-000625
17VALERO ENERGY CORPCOMโ€”$9.9M1.1%SH 37,8930001941040-26-000625
18CUMMINS INCCOMโ€”$9.3M1.0%SH 12,9720001941040-26-000625
19EXXON MOBIL CORPCOMโ€”$7.8M0.9%SH 57,1760001941040-26-000625
20PARAMOUNT SKYDANCE CORPCOM CL Bโ€”$6.4M0.7%SH 648,8350001941040-26-000625
21TRAVELERS COMPANIES INCCOMโ€”$6.3M0.7%SH 19,1000001941040-26-000625
22MERCK & CO INCCOMโ€”$5.7M0.6%SH 44,6330001941040-26-000625
23EQUINOR ASASPONSORED ADRโ€”$5.1M0.6%SH 161,1750001941040-26-000625
24STARBUCKS CORPCOMโ€”$4.7M0.5%SH 45,7610001941040-26-000625
25GE AEROSPACECOM NEWโ€”$3.5M0.4%SH 9,3520001941040-26-000625
26COSTCO WHOLESALE CORPORATIONCOMโ€”$3.1M0.4%SH 3,3540001941040-26-000625
27GE VERNOVA INCCOMโ€”$2.3M0.3%SH 1,9940001941040-26-000625
28NXP SEMICONDUCTORS N VCOMโ€”$2.2M0.2%SH 7,6620001941040-26-000625
29WORLD GOLD TRSPDR GLD MINISโ€”$1.9M0.2%SH 24,0630001941040-26-000625
30SEACOR MARINE HLDGS INCCOMโ€”$1.6M0.2%SH 208,1750001941040-26-000625
31APPLE INCCOMโ€”$1.3M0.2%SH 4,6400001941040-26-000625
32COCA COLA COCOMโ€”$1.2M0.1%SH 15,3280001941040-26-000625
33AMERICAN EXPRESS COCOMโ€”$1.1M0.1%SH 3,3110001941040-26-000625
34CHEVRON CORPORATIONCOMโ€”$1.0M0.1%SH 6,0630001941040-26-000625
35ISHARES TR0-3 MTH TREASURYโ€”$0.9M<0.1%SH 8,5700001941040-26-000625
36ALPHABET INCCAP STK CL Cโ€”$0.9M<0.1%SH 2,4320001941040-26-000625
37SPROTT ASSET MANAGEMENT LPPHYSICAL GOLD TRโ€”$0.7M<0.1%SH 23,8690001941040-26-000625
38SHELL PLCSPON ADSโ€”<$1M<0.1%SH 4,9680001941040-26-000625
39MASTERCARD INCORPORATEDCL Aโ€”<$1M<0.1%SH 6580001941040-26-000625
40SYNCHRONY FINANCIALCOMโ€”<$1M<0.1%SH 4,4370001941040-26-000625
41PHILIP MORRIS INTL INCCOMโ€”<$1M<0.1%SH 1,7620001941040-26-000625
42GE HEALTHCARE TECHNOLOGIES ICOMMON STOCKโ€”<$1M<0.1%SH 4,5810001941040-26-000625
43ALPHABET INCCAP STK CL Aโ€”<$1M<0.1%SH 7000001941040-26-000625
44PHILLIPS 66COMโ€”<$1M<0.1%SH 1,4720001941040-26-000625
45MICROSOFT CORPCOMโ€”<$1M<0.1%SH 6410001941040-26-000625
46ABRDN SILVER ETF TRUSTPHYSCL SILVR SHSโ€”<$1M<0.1%SH 4,2450001941040-26-000625
47MICROCHIP TECHNOLOGY INC.COMโ€”<$1M<0.1%SH 2,4180001941040-26-000625
48NETFLIX INC.COMโ€”<$1M<0.1%SH 2,9800001941040-26-000625
49SUNBELT RENTALS HOLDINGS INCSHSโ€”<$1M<0.1%SH 2,7740001941040-26-000625
50JOHNSON & JOHNSONCOMโ€”<$1M<0.1%SH 7940001941040-26-000625

Changes from 2026-03-31 (rows of a security combined)

Reported change, not a confirmed trade: this compares quarter-end reports filed up to 45 days later, and the position may since have changed. Amendments, corporate actions, and changes in reporting scope can also move these rows. Value change compares period-end reported values; for continuing rows it includes market price movement.

7 new ยท โ–ฒ 12 up ยท โ–ผ 13 down ยท 1 exited ยท 18 unchanged โ€” by reported quantity, largest value change first

RowChangeIssuerClassPut/callValue changeQty change
1โ–ฒ upALASKA AIR GROUP INCCOMโ€”+$31MSH +98,565 (+5.8%)
2โ–ฒ upBUILDERS FIRSTSOURCE INCCOMโ€”+$31MSH +325,512 (+142.6%)
3โ–ผ downFIVE BELOW INCCOMโ€”โˆ’$25MSH โˆ’87,009 (โˆ’45.2%)
4newPAYCHEX INCCOMโ€”+$21MSH +211,640
5newS&P GLOBAL INCCOMโ€”+$19MSH +45,989
6โ–ผ downSTARBUCKS CORPCOMโ€”โˆ’$18MSH โˆ’205,539 (โˆ’81.8%)
7โ–ฒ upOLIN CORPCOM PAR $1โ€”โˆ’$18MSH +124,507 (+6.1%)
8โ–ฒ upBERKSHIRE HATHAWAY INC DELCL B NEWโ€”+$15MSH +20,120 (+8.0%)
9newCOGNIZANT TECHNOLOGY SOLUTIOCL Aโ€”+$15MSH +377,991
10โ–ผ downCUMMINS INCCOMโ€”โˆ’$12MSH โˆ’26,558 (โˆ’67.2%)
11โ–ผ downNEWMONT CORPCOMโ€”โˆ’$10MSH โˆ’31,910 (โˆ’6.7%)
12โ–ฒ upKINROSS GOLD CORPCOMโ€”โˆ’$9.5MSH +40,054 (+2.7%)
13โ–ฒ upDOLLAR TREE INCCOMโ€”+$7.9MSH +16,628 (+3.2%)
14โ–ฒ upBERKSHIRE HATHAWAY INC DELCL Aโ€”+$6.6MSH +4 (+3.4%)
15โ–ผ downHF SINCLAIR CORPCOMโ€”โˆ’$4.9MSH โˆ’108,491 (โˆ’30.1%)
16โ–ผ downEQUINOR ASASPONSORED ADRโ€”โˆ’$2.4MSH โˆ’14,779 (โˆ’8.4%)
17โ–ผ downEXXON MOBIL CORPCOMโ€”โˆ’$1.9MSH โˆ’341 (โˆ’0.6%)
18โ–ผ downVALERO ENERGY CORPCOMโ€”โˆ’$1.0MSH โˆ’6,163 (โˆ’14.0%)
19โ–ฒ upDISNEY WALT COCOMโ€”+$0.8MSH +8,070 (+5.3%)
20โ–ผ downPARAMOUNT SKYDANCE CORPCOM CL Bโ€”+$0.5MSH โˆ’3,872 (โˆ’0.6%)
Remaining 13 reported changes
RowChangeIssuerClassPut/callValue changeQty change
21โ–ผ downNXP SEMICONDUCTORS N VCOMโ€”โˆ’<$1MSH โˆ’5,334 (โˆ’41.0%)
22โ–ฒ upDECKERS OUTDOOR CORPCOMโ€”+<$1MSH +9,170 (+1.4%)
23โ–ฒ upDOLLAR GEN CORPCOMโ€”โˆ’<$1MSH +17,080 (+2.6%)
24โ–ฒ upWORLD GOLD TRSPDR GLD MINISโ€”โˆ’<$1MSH +84 (+0.4%)
25exitedFLEXTRONICS INTL LTDORDโ€”โˆ’<$1MSH โˆ’4,485
26โ–ฒ upAPPLE INCCOMโ€”+<$1MSH +500 (+12.1%)
27newMICROSOFT CORPCOMโ€”+<$1MSH +641
28newMICROCHIP TECHNOLOGY INC.COMโ€”+<$1MSH +2,418
29โ–ผ downCOSTCO WHOLESALE CORPORATIONCOMโ€”โˆ’<$1MSH โˆ’13 (โˆ’0.4%)
30newSUNBELT RENTALS HOLDINGS INCSHSโ€”+<$1MSH +2,774
31newJOHNSON & JOHNSONCOMโ€”+<$1MSH +794
32โ–ผ downISHARES TR0-3 MNTH TREASRY / 0-3 MTH TREASURYโ€”โˆ’<$1MSH โˆ’1,346 (โˆ’13.6%)
33โ–ผ downAMERICAN EXPRESS COCOMโ€”+<$1MSH โˆ’125 (โˆ’3.6%)

Changes appear only where the prior quarter's validated report exists.

Filing details

CIK set: 0001115373

Filing history

2026-06-3013F-HR