0001078841-24-000001.txt : 20240205
0001078841-24-000001.hdr.sgml : 20240205
20240205124923
ACCESSION NUMBER: 0001078841-24-000001
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20231231
FILED AS OF DATE: 20240205
DATE AS OF CHANGE: 20240205
EFFECTIVENESS DATE: 20240205
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: BRUNI J V & CO /CO
CENTRAL INDEX KEY: 0001078841
ORGANIZATION NAME:
IRS NUMBER: 841203870
STATE OF INCORPORATION: CO
FISCAL YEAR END: 1231
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-03841
FILM NUMBER: 24594860
BUSINESS ADDRESS:
STREET 1: 1528 N TEJON ST
CITY: COLORADO SPRINGS
STATE: CO
ZIP: 80907
BUSINESS PHONE: 7195759880
MAIL ADDRESS:
STREET 1: 1528 N. TEJON ST
CITY: COLORADO SPRINGS
STATE: CO
ZIP: 80907
13F-HR
1
primary_doc.xml
X0202
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0001078841
XXXXXXXX
12-31-2023
12-31-2023
BRUNI J V & CO /CO
1528 N. TEJON ST
COLORADO SPRINGS
CO
80907
13F HOLDINGS REPORT
028-03841
000106644
801-42242
N
Jerome V. Bruni
President
719-575-9880
Jerome V. Bruni
Colorado Springs
CO
02-05-2024
0
29
805635761
false
INFORMATION TABLE
2
Form13FQ42023upload.xml
FORM 13F Q4 2023
AES Corp
Com
00130H105
31637953
1643530
SH
SOLE
N/A
1529824
0
113706
Affiliated Managers Group Inc
Com
008252108
47283621
312268
SH
SOLE
N/A
290364
0
21904
Ally Finl Inc
Com
02005N100
32507028
930900
SH
SOLE
N/A
865546
0
65354
Altice USA Inc
Cl A
02156K103
2392488
736150
SH
SOLE
N/A
678789
0
57361
Ares Capital Corp
Com
04010L103
28006006
1398203
SH
SOLE
N/A
1311691
0
86512
Ballard Pwr Sys Inc New
Com
058586108
2300098
621648
SH
SOLE
N/A
580369
0
41279
Berkshire Hathaway Inc Del
Cl B New
084670702
1245100
3491
SH
SOLE
N/A
3331
0
160
Brookfield Asset Managmt Ltd
Cl A Lmt Vtg Shs
113004105
15571258
387634
SH
SOLE
N/A
360477
0
27157
Brookfield Corp
Cl A Ltd Vt Sh
11271J107
60621561
1511006
SH
SOLE
N/A
1408758
0
102248
Brookfield Reins Ltd
Cl A Exch Lt Vtg
G16250105
439912
10897
SH
SOLE
N/A
10145
0
752
The Cigna Group
Com
125523100
32446905
108355
SH
SOLE
N/A
100439
0
7916
Citizens Finl Group Inc
Com
174610105
32755013
988383
SH
SOLE
N/A
920311
0
68072
Discover Finl Svcs
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254709108
43440352
386480
SH
SOLE
N/A
360613
0
25867
Intel Corp
Com
458140100
33283238
662353
SH
SOLE
N/A
615889
0
46464
Kinder Morgan Inc Del
Com
49456B101
20640864
1170117
SH
SOLE
N/A
1097770
0
72347
LKQ Corp
Com
501889208
26840632
561637
SH
SOLE
N/A
522289
0
39348
MasTec Inc
Com
576323109
18019467
237975
SH
SOLE
N/A
221945
0
16030
Nexstar Media Group Inc
Common Stock
65336K103
30634280
195434
SH
SOLE
N/A
181967
0
13467
Oaktree Specialty Lending Co
Com
67401P405
31172110
1526548
SH
SOLE
N/A
1415856
0
110692
Penske Automotive Grp Inc
Com
70959W103
35011244
218125
SH
SOLE
N/A
202687
0
15438
Primoris Svcs Corp
Com
74164F103
19428149
585009
SH
SOLE
N/A
543837
0
41172
Quanta Svcs Inc
Com
74762E102
27512558
127491
SH
SOLE
N/A
118707
0
8784
Radian Group Inc
Com
750236101
47785077
1673733
SH
SOLE
N/A
1559531
0
114202
Range Res Corp
Com
75281A109
22625352
743277
SH
SOLE
N/A
690271
0
53006
Rocket Cos Inc
Com Cl A
77311W101
24119843
1665735
SH
SOLE
N/A
1547336
0
118399
Ryman Hospitality Pptys Inc
Com
78377T107
57103310
518838
SH
SOLE
N/A
483813
0
35025
Simon Ppty Group Inc New
Com
828806109
20328340
142515
SH
SOLE
N/A
133087
0
9428
Taylor Morrison Home Corp
Com
87724P106
47472804
889837
SH
SOLE
N/A
829933
0
59904
Warner Bros Discovery Inc
Com Ser A
934423104
13011198
1143339
SH
SOLE
N/A
1065450
0
77889