Meixler Investment Management, Ltd.
Annual return '25
+19.2%
SPY '25
+17.7%
Alpha
+1.4ptsvs SPY
Invested
$372M
Holdings
88
Trades YTD
0
Performance · Fund vs SPY
Cumulative return · quarterly snapshotsCoverage 91%. 4 quarters of 2025 measured against SPY adj-close benchmark.
Top holdings · current snapshot
Source: 13F-HR01
$PHYS
SPROTT ASSET MANAGEMENT LP
Q4 2025: Exited (was 610.7k shares)
10.5%
02
$BRK/B
BERKSHIRE HATHAWAY INC DEL
Q4 2025: Exited (was 28.2k shares)
7.4%
03
$NRP
NATURAL RESOURCE PARTNERS LP
Q4 2025: Exited (was 78.0k shares)
6.2%
04
$DMLP
DORCHESTER MINERALS L P
Q4 2025: Exited (was 414.0k shares)
5.8%
05
$SU
SUNCOR ENERGY INC NEW
Q4 2025: Exited (was 4.2k shares)
4.8%
06
$EPD
ENTERPRISE PRODS PARTNERS L
Q4 2025: Exited (was 124.8k shares)
3.2%
07
$CNQ
CANADIAN NAT RES LTD MED TER
Q4 2025: Exited (was 6.6k shares)
3.0%
08
$EXP
EAGLE MATLS INC
Q4 2025: Exited (was 20.1k shares)
2.9%
09
$HON
HONEYWELL INTL INC
Q4 2025: Exited (was 17.9k shares)
2.8%
10
$TYG
TORTOISE ENERGY INFRSTRCTR C
Q4 2025: Exited (was 92.8k shares)
2.6%
Recent trades · Last 90 days
No Form 4 / 13D / 13G trade events on file in the recent window. 13F filers report position snapshots quarterly rather than per-trade events, so this section is most useful for managers who also file Form 4 or 13D/G.
Convergence · Pattern Engine ships in v1.1
30-day windowIn development
Convergence participation lands with the Pattern Engine.
Once the Pattern Engine ships, this section will list every active convergence event this fund is named in — with the other named funds, the Congress members on the same name, and combined position size.
Source data: SEC EDGAR · 13F-HR filings · Performance through 2025-12-31 · Last refreshed 12:15 UTC.