BISLETT MANAGEMENT, LLC 13F Portfolio

EntityCategoryQoQ AUM ChangeAUM (13F)# of HoldingsPerformance RankEquities Trend
BM
BISLETT MANAGEMENT, LLC
Institutional Filer 1.68%$129.6M18

Current Portfolio Holdings

Showing all 18 reported positions by value

#StockCompany NameSectorShares HeldMarket Value% of Portfolio
1BRKABERKSHIRE HATHAWAY INC35$25.1M19.39%
2WSCWillScot Holdings CorporationIndustrials1.0M$17.4M13.46%
3GOOGAlphabet Inc.Technology50K$14.3M11.06%
4SIRISirius XM Holdings Inc.Communication Services600K$13.8M10.68%
5KOThe Coca-Cola CompanyConsumer Defensive100K$7.6M5.87%
6LBRDALiberty Broadband CorporationCommunication Services140K$7.0M5.42%
7FWONALIBERTY MEDIA CORP DEL70K$5.5M4.22%
8BRKBBERKSHIRE HATHAWAY INC11K$5.3M4.07%
9GLIBKGCI LIBERTY INC138K$5.1M3.96%
10CMCSAComcast CorporationCommunication Services160K$4.6M3.54%
11BATRKAtlanta Braves Holdings, Inc.Communication Services103K$4.4M3.40%
12BATRAAtlanta Braves Holdings, Inc.Communication Services75K$3.5M2.73%
13AMRZAmrize LtdBasic Materials60K$3.4M2.59%
14LLYVKLiberty Live GroupCommunication Services35K$3.3M2.54%
15LLYVALIBERTY LIVE HOLDINGS INC35K$3.2M2.47%
Showing 1 to 15 of 18 holdings
BISLETT MANAGEMENT, LLC 13F Portfolio Holdings & Trades (Q1 2026) | VCP Scanner