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General American Investors Company, Inc.

Assets: $1.8B Net: $1.6B Series: CIK40417 EDGAR ↗
+33
New
-26
Exited
92
Positions
Period:
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# Name Ticker Since Shares Shares Δ Value Val Δ% % Port Cat
1 SS Inst. Treas Plus MM Fund TPL 930SJLII0 193,368,420 New $193.4M 12.18%
2 GE Vernova Inc. 36828A101 91,000 New $79.4M 5.01% EC
3 Berkshire Hathaway Inc. - Class A 084670108 Mar 2026 110 $79.0M +35.8% 4.98% EC
4 TJX Companies, Inc./The 872540109 Mar 2026 484,752 -65,340 $77.4M +132.3% 4.88% EC
5 Republic Services, Inc. 760759100 Mar 2026 335,625 -189,270 $73.5M +5.7% 4.63% EC
6 ASML Holding N.V. N07059210 Mar 2026 55,000 -24,600 $72.6M +36.6% 4.58% EC
7 Apple Inc. 037833100 Mar 2026 265,705 -82,295 $67.4M +11.0% 4.25% EC
8 Alphabet Inc. - Class C 02079K107 Mar 2026 209,923 +184,423 $60.2M -15.4% 3.79% EC
9 Amazon.com, Inc. 023135106 Mar 2026 286,000 +271,700 $59.6M +27.8% 3.75% EC
10 Arch Capital Group Ltd. G0450A105 Mar 2026 530,200 -407,259 $50.9M +12.1% 3.21% EC
11 Microsoft Corporation 594918104 Mar 2026 126,400 -108,600 $46.8M -35.4% 2.95% EC
12 Broadcom Inc. 11135F101 Mar 2026 138,000 +108,000 $42.7M +126.1% 2.69% EC
13 Everest Group, Ltd. G3223R108 Mar 2026 129,196 +7,696 $42.2M +15.3% 2.66% EC
14 Agnico Eagle Mines Limited 008474108 Mar 2026 189,272 -110,869 $38.4M +109.0% 2.42% EC
15 Cameco Corporation 13321L108 Mar 2026 339,230 -305,000 $36.8M +96.5% 2.32% EC
16 Costco Wholesale Corporation 22160K105 Mar 2026 33,000 -20,000 $32.9M +7.7% 2.07% EC
17 Nelnet, Inc. - Class A 64031N108 Mar 2026 234,026 -9,389 $30.2M +45.9% 1.90% EC
18 RTX Corporation 75513E101 Mar 2026 150,000 -25,000 $28.9M +66.9% 1.82% EC
19 NVIDIA Corporation 67066G104 160,979 New $28.1M 1.77% EC
20 Nestle S.A. 712387901 275,000 New $27.0M 1.70% EC
21 BAE Systems plc 026349902 874,008 New $25.5M 1.60% EC
22 Solventum Corporation 83444M101 377,350 New $24.6M 1.55% EC
23 Merck & Co., Inc. 58933Y105 Mar 2026 204,326 -35,865 $24.6M +24.7% 1.55% EC
24 Regeneron Pharmaceuticals, Inc. 75886F107 Mar 2026 31,362 +8,286 $24.2M +50.4% 1.53% EC
25 JPMorgan Chase & Co. 46625H100 Mar 2026 80,000 $23.5M +115.8% 1.48% EC
26 L3Harris Technologies, Inc. 502431109 65,785 New $22.7M 1.43% EC
27 AT&T Inc. 00206R102 774,639 New $22.5M 1.41% EC
28 Unilever PLC BLRB26905 396,854 New $22.3M 1.41% EC
29 M&T Bank Corporation 55261F104 Mar 2026 101,100 +1,100 $20.9M +23.3% 1.32% EC
30 PepsiCo, Inc. 713448108 Mar 2026 130,000 -10,000 $20.2M -13.9% 1.27% EC
31 Energy Transfer LP 29273V100 Mar 2026 1,020,030 -300,000 $19.7M +33.3% 1.24% EC
32 Exxon Mobil Corporation 30231G102 115,100 New $19.5M 1.23% EC
33 Meta Platforms, Inc. - Class A 30303M102 Mar 2026 32,000 -37,500 $18.3M +18.5% 1.15% EC
34 Dominion Energy, Inc. 25746U109 290,000 New $17.9M 1.13% EC
35 Chevron Corporation 166764100 Mar 2026 86,391 +24,400 $17.9M +77.1% 1.13% EC
36 Gilead Sciences, Inc. 375558103 Mar 2026 119,900 -21,200 $16.7M +99.2% 1.05% EC
37 Onto Innovation Inc 683344105 80,000 New $16.4M 1.03% EC
38 Tyler Technologies, Inc. 902252105 Mar 2026 46,681 +35,681 $16.0M +226.6% 1.01% EC
39 Arista Networks, Inc. 040413205 125,142 New $15.4M 0.97% EC
40 Uber Technologies, Inc. 90353T100 210,583 New $15.1M 0.95% EC
41 Marvell Technology, Inc. 573874104 152,000 New $15.1M 0.95% EC
42 Applied Materials, Inc. 038222105 Mar 2026 41,652 -80,000 $14.2M -11.2% 0.90% EC
43 Pfizer Inc. 717081103 Mar 2026 505,808 +160,000 $14.2M -20.7% 0.89% EC
44 American Electric Power Company, Inc. 025537101 100,000 New $13.1M 0.83% EC
45 Amgen Inc. 031162100 30,000 New $10.6M 0.67% EC
46 Boeing Company/The 097023105 52,054 New $10.4M 0.65% EC
47 Veeva Systems Inc. - Class A 922475108 58,006 New $10.2M 0.64% EC
48 NextNav Inc. 65345N106 620,210 New $9.9M 0.63% EC
49 Alamos Gold Inc. - Class A 011532108 Mar 2026 211,219 -1,571,823 $9.4M -37.5% 0.59% EC
50 IDEAYA Biosciences, Inc. 45166A102 280,261 New $9.3M 0.59% EC
51 Arcos Dorados Holdings Inc. - Class A G0457F107 950,178 New $7.8M 0.49% EC
52 MetLife, Inc. 59156R108 Mar 2026 90,327 -226,600 $6.4M -71.3% 0.40% EC
53 ServiceNow Inc 81762P102 60,000 New $6.3M 0.40% EC
54 Uranium Energy Corp. 916896103 454,890 New $6.1M 0.39% EC
55 Revolution Medicines Inc 76155X100 62,545 New $6.1M 0.38% EC
56 indie Semiconductor, Inc. - Class A 45569U101 1,854,849 New $6.0M 0.38% EC
57 Universal Display Corporation 91347P105 Mar 2026 65,009 -3,000 $6.0M -47.5% 0.38% EC
58 NCR Voyix Corporation 62886E108 669,912 New $4.2M 0.27% EC
59 Valneva SE B03KGM907 1,152,180 New $3.8M 0.24% EC
60 Ferroglobe PLC G33856108 907,591 New $3.7M 0.24% EC
61 i-80 Gold Corp. 44955L106 1,500,000 New $2.3M 0.14% EC
62 Valneva SE - ADR 92025Y103 354,361 New $2.2M 0.14% EC
63 Expedia Group, Inc. 30212P303 Mar 2026 5,000 -84,065 $1.2M -93.4% 0.07% EC
64 Cleveland-Cliffs Inc. 185899101 Mar 2026 100,593 +100,593 $850K 0.05% EC
65 Uber Technologies, Inc. 90353T100 1,000 New $250K 0.02% DE
66 Celestica Inc. 15101Q207 -350 New $-486500 0.03% DE
SS Inst. Treas Plus MM Fund TPL 85749Q448 124,524,911 Exited $124.5M
T-Mobile US Inc 872590104 257,950 Exited $33.1M
Cisco Systems Inc 17275R102 543,000 Exited $30.3M
Target Corp 87612E106 130,951 Exited $27.8M
Eaton Corp PLC G29183103 146,131 Exited $22.2M
Unilever PLC N/A 435,000 Exited $19.7M
Intra-Cellular Therapies Inc 46116X101 283,439 Exited $17.3M
Axis Capital Holdings Ltd G0692U109 250,000 Exited $15.1M
Walmart Inc 931142103 95,140 Exited $14.2M
Adobe Inc. 00724F101 30,000 Exited $13.7M
Walt Disney Co/The 254687106 91,478 Exited $12.5M
Advance Auto Parts Inc 00751Y106 57,761 Exited $12.0M
Booking Holdings Inc 09857L108 4,000 Exited $9.4M
GXO Logistics Inc 36262G101 117,300 Exited $8.4M
Fiserv Inc 337738108 82,500 Exited $8.4M
Berkshire Hathaway Inc 084670702 21,549 Exited $7.6M
Abbott Laboratories 002824100 62,000 Exited $7.3M
Valneva SE F9635C101 403,201 Exited $7.0M
Liberty Broadband Corp 530307305 50,768 Exited $6.9M
Angi Inc 00183L102 1,186,414 Exited $6.7M
Hess Corporation 42809H107 60,000 Exited $6.4M
Paratek Pharmaceuticals Inc 699374302 1,448,170 Exited $4.3M
VBI Vaccines Inc 91822J103 1,877,497 Exited $3.1M
Venator Materials PLC G9329Z100 874,076 Exited $1.6M
Dufry AG - ADR 26433T108 127,584 Exited $0.5M
Gulf Coast Ultra Deep Royalty Trust 40222T104 2,060,603 Exited $0.1M