0001033475-20-000003.txt : 20200214
0001033475-20-000003.hdr.sgml : 20200214
20200214162831
ACCESSION NUMBER: 0001033475-20-000003
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20191231
FILED AS OF DATE: 20200214
DATE AS OF CHANGE: 20200214
EFFECTIVENESS DATE: 20200214
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: AVENIR CORP
CENTRAL INDEX KEY: 0001033475
IRS NUMBER: 541146619
STATE OF INCORPORATION: VA
FISCAL YEAR END: 0131
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-06032
FILM NUMBER: 20620643
BUSINESS ADDRESS:
STREET 1: 1775 PENNSYLVANIA AVE NW
STREET 2: SUITE 650
CITY: WASHINGTON
STATE: DC
ZIP: 20006
BUSINESS PHONE: (202) 659-4427
MAIL ADDRESS:
STREET 1: 1775 PENNSYLVANIA AVE NW
STREET 2: SUITE 650
CITY: WASHINGTON
STATE: DC
ZIP: 20006
FORMER COMPANY:
FORMER CONFORMED NAME: AVENIR CORP/DC
DATE OF NAME CHANGE: 19970225
13F-HR
1
primary_doc.xml
13F-HR
LIVE
false
false
false
0001033475
XXXXXXXX
12-31-2019
12-31-2019
AVENIR CORP
1775 PENNSYLVANIA AVE NW
SUITE 650
WASHINGTON
DC
20006
13F HOLDINGS REPORT
028-06032
N
Kenneth S. George, II
CCO
(202) 659-4427
Kenneth S. George, II
Washington
DC
02-14-2020
0
73
983855
false
INFORMATION TABLE
2
13F_2019_4Q.xml
AES CORP
COM
00130H105
44666
2244545
SH
SOLE
0
2244545
0
0
AMAZON COM INC
COM
023135106
25365
13727
SH
SOLE
0
13727
0
0
AMERICAN INTL GROUP INC
*W EXP 01/19/21
026874156
216
21000
SH
SOLE
0
21000
0
0
AMERICAN INTL GROUP INC
COM NEW
026874784
2881
56135
SH
SOLE
0
56135
0
0
AMERICAN TOWER CORP
CL A
03027X100
139920
608826
SH
SOLE
0
608826
0
0
ANTARES PHARMA INC
COM
036642106
1331
283097
SH
SOLE
0
283097
0
0
APPLE INC
COM
037833100
27253
92808
SH
SOLE
0
92808
0
0
ATOMERA INC
COM
04965B100
696
225926
SH
SOLE
0
225926
0
0
AXOS FINL INC
COM
05465C100
985
32540
SH
SOLE
0
32540
0
0
BANK AMER CORP
COM
060505104
45318
1286719
SH
SOLE
0
1286719
0
0
BERKSHIRE HATHAWAY INC DEL
CL A
084670108
2038
6
SH
SOLE
0
6
0
0
BERKSHIRE HATHAWAY INC DEL
CL B
084670702
27162
119922
SH
SOLE
0
119922
0
0
B O K FINL CORP
COM NEW
05561Q201
11866
135764
SH
SOLE
0
135764
0
0
BROOKFIELD INFRAST PARTNERS
LP INT UNIT
G16252101
7916
158348
SH
SOLE
0
158348
0
0
BROOKFIELD PROPERTY REIT INC
CL A
11282X103
669
36250
SH
SOLE
0
36250
0
0
CABLE ONE INC
COM
12685J105
208
140
SH
SOLE
0
140
0
0
CARMAX INC
COM
143130102
59769
681746
SH
SOLE
0
681746
0
0
CEDAR FAIR LP
DEPOSITRY UNIT
150185106
4172
75257
SH
SOLE
0
75257
0
0
CENTURYLINK INC
COM
156700106
513
38815
SH
SOLE
0
38815
0
0
CITIGROUP INC
COM NEW
172967424
22818
285616
SH
SOLE
0
285616
0
0
CITY OFFICE REIT INC
COM
178587101
1583
117109
SH
SOLE
0
117109
0
0
COLONY CAP INC NEW
CL A COM
19626G108
936
197000
SH
SOLE
0
197000
0
0
COPART INC
COM
217204106
24703
271637
SH
SOLE
0
271637
0
0
COVETRUS INC
COM
22304C100
2077
157376
SH
SOLE
0
157376
0
0
CROWN HOLDINGS INC
COM
228368106
5308
73178
SH
SOLE
0
73178
0
0
CYTOSORBENTS CORP
COM NEW
23283X206
580
150600
SH
SOLE
0
150600
0
0
DENNYS CORP
COM
24869P104
59399
2987872
SH
SOLE
0
2987872
0
0
DINE BRANDS GLOBAL INC
COM
254423106
2257
27020
SH
SOLE
0
27020
0
0
DOLLAR TREE INC
COM
256746108
44787
476205
SH
SOLE
0
476205
0
0
ENERGY RECOVERY INC
COM
29270J100
9989
1020317
SH
SOLE
0
1020317
0
0
ENERGY TRANSFER LP
COM UT LTD PTN
29273V100
6281
489553
SH
SOLE
0
489553
0
0
ENTERPRISE PRODS PARTNERS LP
COM
293792107
3813
135403
SH
SOLE
0
135403
0
0
ENVIVA PARTNERS LP
COM UNIT
29414J107
3287
88112
SH
SOLE
0
88112
0
0
EQUINIX
COM NEW
29444U700
1934
3313
SH
SOLE
0
3313
0
0
EXTENDED STAY AMER INC
UNIT
302249200
840
56515
SH
SOLE
0
56515
0
0
EXXON MOBIL CORP
COM
30231G102
202
2895
SH
SOLE
0
2895
0
0
FAUQUIER BANKSHARES INC VA
COM
312059108
340
16000
SH
SOLE
0
16000
0
0
FIVE BELOW INC
COM
33829M101
239
1870
SH
SOLE
0
1870
0
0
GENERAL ELECTRIC CO
COM
369604103
138
12350
SH
SOLE
0
12350
0
0
GLADSTONE COML CORP
COM
376536108
2049
93727
SH
SOLE
0
93727
0
0
GOOSEHEAD INS INC
COM CL A
38267D109
2277
53700
SH
SOLE
0
53700
0
0
SCHEIN HENRY INC
COM
806407102
20282
303983
SH
SOLE
0
303983
0
0
INTERNAP CORP
COM PAR
45885A409
447
406328
SH
SOLE
0
406328
0
0
JPMORGAN CHASE & CO
COM
46625H100
427
3064
SH
SOLE
0
3064
0
0
KINDER MORGAN INC
COM
49456B101
3649
172368
SH
SOLE
0
172368
0
0
LANDMARK INFRASTRUCTURE LP
COM UNIT LTD
51508J108
1209
73712
SH
SOLE
0
73712
0
0
MACQUARIE INFRASTR CO LLC
MEMBERSHIP INT
55608B105
6685
156041
SH
SOLE
0
156041
0
0
MARKEL CORP
COM
570535104
78323
68513
SH
SOLE
0
68513
0
0
MASTERCARD INC
CL A
57636Q104
10923
36581
SH
SOLE
0
36581
0
0
MICROSOFT CORP
COM
594918104
93223
591139
SH
SOLE
0
591139
0
0
MPLX LP
COM UNIT REP LTD
55336V100
6094
239357
SH
SOLE
0
239357
0
0
NEW RESIDENTIAL INVT CORP
COM NEW
64828T201
1751
108715
SH
SOLE
0
108715
0
0
NORTHERN OIL & GAS INC NEV
COM
665531109
23
10000
SH
SOLE
0
10000
0
0
NOVAVAX INC
COM
670002104
420
105465
SH
SOLE
0
105465
0
0
OPTIMIZERX CORP
COM NEW
68401U204
6043
588402
SH
SOLE
0
588402
0
0
O REILLY AUTOMOTIVE INC NEW
COM
67103H107
33802
77127
SH
SOLE
0
77127
0
0
PATTERN ENERGY GROUP INC
CL A
70338P100
1075
40195
SH
SOLE
0
40195
0
0
PIONEER NAT RES CO
COM
723787107
41037
271104
SH
SOLE
0
271104
0
0
PNC FINL SVCS GROUP INC
COM
693475105
202
1266
SH
SOLE
0
1266
0
0
PROCTER AND GAMBLE CO
COM
742718109
277
2221
SH
SOLE
0
2221
0
0
SBA COMMUNICATIONS CORP
COM
78410G104
1542
6398
SH
SOLE
0
6398
0
0
SIX FLAGS ENTMT CORP NEW
COM
83001A102
394
8745
SH
SOLE
0
8745
0
0
SPDR GOLD TRUST
GOLD SHS
78463V107
424
2969
SH
SOLE
0
2969
0
0
SPROTT PHYSICAL GOLD TRUST
UNIT
85207H104
473
38860
SH
SOLE
0
38860
0
0
STARWOOD PPTY TR INC
COM
85571B105
1083
43568
SH
SOLE
0
43568
0
0
STORE CAP CORP
COM
862121100
372
9990
SH
SOLE
0
9990
0
0
TRUPANION INC
COM
898202106
15120
403633
SH
SOLE
0
403633
0
0
UNIVERSAL DISPLAY CORP
COM
91347P105
45129
219000
SH
SOLE
0
219000
0
0
VANGUARD INDEX FDS
S&P 500 ETF SHS
922908363
571
1930
SH
SOLE
0
1930
0
0
VISA INC
COM CL A
92826C839
9796
52137
SH
SOLE
0
52137
0
0
DISNEY WALT CO
COM DISNEY
254687106
205
1420
SH
SOLE
0
1420
0
0
WELLS FARGO & CO NEW
COM
949746101
1431
26604
SH
SOLE
0
26604
0
0
ZAYO GROUP HLDGS INC
COM
98919V105
2642
76252
SH
SOLE
0
76252
0
0