Francis Chou's Chou Associates Management Stock Picks, Berkshire Hathaway's Portfolio, New Investments, & Sold Out Holdings as of June 30, 2013

Company Name Symbol 6/30/13 Mrkt Value ('000) Portfolio Weight 6/30 #Shares 6/30 Price 3/31/13 #Shares 3/31 Price Change in investment Pct Change of #Shares
ACTAVIS INC ACT 23,401 6.31% 185,400 126.22 335,400 92.11 Reduce -44.72%
BANK OF AMERICA CORPORATION BAC.WS.A 4,569 1.23% 836,825 5.46 836,825 5.70 No change 0.00%
BERKSHIRE HATHAWAY INC NEW BRK.A 50,580 13.64% 300 168,600.00 300 156,280.00 No change 0.00%
BP PLC BP 417 0.11% 10,000 41.70 10,000 42.40 No change 0.00%
CHINA YUCHAI INTERNATIONAL LTD CYD 450 0.12% 25,537 17.62 25,537 15.98 No change 0.00%
CHUNGHWA TELECOM CO LTD CHT 4,241 1.14% 132,088 32.11 132,088 31.10 No change 0.00%
CITIGROUP INC C 19,668 5.30% 410,000 47.97 410,000 44.24 No change 0.00%
COMPUCREDIT HLDGS CORP c20478Nad2 4,982 1.34% 12,300,000 0.41 12,300,000 0.40 No change 0.00%
DELL INC DELL 33,375 9.00% 2,500,000 13.35 2,500,000 14.33 No change 0.00%
GOLDMAN SACHS GROUP INC GS 11,344 3.06% 75,000 151.25 115,000 147.15 Reduce -34.78%
JPMORGAN CHASE & CO JPM.WS 17,571 4.74% 1,126,347 15.60 1,126,347 14.25 No change 0.00%
LEVEL 3 COMMUNICATIONS INC c52729Nbr0 1,993 0.54% 1,470,000 1.36 1,470,000 1.32 No change 0.00%
MANNKIND CORP c56400Paa0 6,917 1.87% 7,300,000 0.95 8,300,000 0.88 Reduce -12.05%
MBIA INC MBI 14,385 3.88% 1,080,797 13.31 1,080,797 10.27 No change 0.00%
NOKIA CORP NOK 18,700 5.04% 5,000,000 3.74 5,000,000 3.28 No change 0.00%
ORCHARD SUPPLY HARDWARE STORES CORPORATION OSH 0 0.00% 0 0.00 21,845 3.98 Sold out -100.00%
OVERSTOCK COM INC OSTK 30,646 8.26% 1,086,725 28.20 2,310,209 12.32 Reduce -52.96%
PRIMUS TELECOMMUNICATIONS GROUP INC PTGI 5,385 1.45% 451,022 11.94 451,022 11.05 No change 0.00%
RADIOSHACK CORP RSH 2,509 0.68% 794,071 3.16 1,294,071 3.36 Reduce -38.64%
RESEARCH IN MOTION LTD BBRY 1,935 0.52% 185,000 10.46 185,000 15.09 No change 0.00%
Resolute Forest Products, Inc. RFP 49,326 13.30% 3,745,350 13.17 2,759,620 16.18 Add 35.72%
RYANAIR HOLDINGS PLC RYAAY 1,391 0.38% 27,000 51.52 27,000 41.78 No change 0.00%
SANOFI SNY 21,119 5.69% 410,000 51.51 410,000 51.08 No change 0.00%
SEARS HOLDINGS CORPORATION SHLD 28,770 7.76% 683,700 42.08 683,700 49.97 No change 0.00%
SPRINT NEXTEL CORPORATION S 2,971 0.80% 423,200 7.02 1,623,200 6.21 Reduce -73.93%
UTSTARCOM HOLDINGS CORPORATION UTSI 302 0.08% 113,627 2.66 113,627 2.80 No change 0.00%
VODAFONE GROUP VOD 287 0.08% 10,000 28.70 10,000 28.40 No change 0.00%
WELLS FARGO & CO NEW WFC.WS 13,636 3.68% 997,500 13.67 997,500 11.96 No change 0.00%
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