0001907802-22-000002.txt : 20220419
0001907802-22-000002.hdr.sgml : 20220419
20220419130032
ACCESSION NUMBER: 0001907802-22-000002
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20220331
FILED AS OF DATE: 20220419
DATE AS OF CHANGE: 20220419
EFFECTIVENESS DATE: 20220419
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: Ervin Investment Management, LLC
CENTRAL INDEX KEY: 0001907802
IRS NUMBER: 831858713
STATE OF INCORPORATION: WA
FISCAL YEAR END: 1231
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-21640
FILM NUMBER: 22834134
BUSINESS ADDRESS:
STREET 1: 1037 NE 65TH ST #359
CITY: SEATTLE
STATE: WA
ZIP: 98115
BUSINESS PHONE: 2064959957
MAIL ADDRESS:
STREET 1: 1037 NE 65TH ST #359
CITY: SEATTLE
STATE: WA
ZIP: 98115
13F-HR
1
primary_doc.xml
13F-HR
LIVE
false
false
false
0001907802
XXXXXXXX
03-31-2022
03-31-2022
Ervin Investment Management, LLC
1037 NE 65TH ST #359
SEATTLE
WA
98115
13F HOLDINGS REPORT
028-21640
N
John Ervin
Chief Compliance Officer
206 495-9957
John Ervin
Seattle
WA
04-19-2022
0
38
135575
false
INFORMATION TABLE
2
Ervin13F03312022.xml
ABERDEEN STD GOLD ETF TR
PHYSCL GOLD SHS
00326A104
361
19450
SH
SOLE
0
0
19450
ALLEGHANY CORP MD
COM
017175100
294
348
SH
SOLE
0
0
348
ALPHABET INC
CAP STK CL A
02079K305
6152
2167
SH
SOLE
0
0
2167
ALPHABET INC
CAP STK CL C
02079K107
2046
717
SH
SOLE
0
0
717
ALTRIA GROUP INC
COM
02209S103
341
6548
SH
SOLE
0
0
6548
AMAZON COM INC
COM
023135106
489
147
SH
SOLE
0
0
147
AMERICAN EXPRESS CO
COM
025816109
961
5065
SH
SOLE
0
0
5065
APPLE INC
COM
037833100
15046
84640
SH
SOLE
0
0
84640
BERKSHIRE HATHAWAY INC DEL
CL A
084670108
536
1
SH
SOLE
0
0
1
BERKSHIRE HATHAWAY INC DEL
CL B NEW
084670702
36556
102223
SH
SOLE
0
0
102223
BOEING CO
COM
097023105
282
1445
SH
SOLE
0
0
1445
BROOKFIELD ASSET MGMT INC
CL A LTD VT SH
112585104
9216
159980
SH
SOLE
0
0
159980
BROOKFIELD RENEWABLE PARTNER
PARTNERSHIP UNIT
G16258108
1113
26970
SH
SOLE
0
0
26970
COCA COLA CO
COM
191216100
211
3387
SH
SOLE
0
0
3387
DIAGEO PLC
SPON ADR NEW
25243Q205
1568
7660
SH
SOLE
0
0
7660
FRESHPET INC
COM
358039105
3751
35750
SH
SOLE
0
0
35750
GENERAL ELECTRIC CO
COM NEW
369604301
236
2500
SH
SOLE
0
0
2500
GENERAL MTRS CO
COM
37045V100
2607
57651
SH
SOLE
0
0
57651
ISHARES TRUST
CORE S&P500 ETF
464287200
1285
2789
SH
SOLE
0
0
2789
JEFFERIES FINL GROUP INC
COM
47233W109
3035
91568
SH
SOLE
0
0
91568
LOEWS CORP
COM
540424108
6249
95356
SH
SOLE
0
0
95356
MARKEL CORP
COM
570535104
3779
2531
SH
SOLE
0
0
2531
META PLATFORMS INC
COM CL A
30303M102
396
1736
SH
SOLE
0
0
1736
MICROSOFT CORP
COM
594918104
15223
48503
SH
SOLE
0
0
48503
NEXTERA ENERGY PARTNERS LP
COM UNIT PART IN
65341B106
1185
14077
SH
SOLE
0
0
14077
ORACLE CORP
COM
68389X105
1561
18730
SH
SOLE
0
0
18730
PFIZER INC
COM
717081103
467
8914
SH
SOLE
0
0
8914
PHILIP MORRIS INTL INC
COM
718172109
891
9489
SH
SOLE
0
0
9489
PIONEER NAT RES CO
COM
723787107
2760
10701
SH
SOLE
0
0
10701
PLAINS ALL AMER PIPELINE L
UNIT LTD PARTN
726503105
217
20000
SH
SOLE
0
0
20000
SPDR INDEX SHS FDS
PORTFOLIO DEVLPD
78463X889
2070
59438
SH
SOLE
0
0
59438
SPDR INDEX SHS FDS
PORTFOLIO EMG MK
78463X509
2147
54766
SH
SOLE
0
0
54766
SPDR SER TR
PORTFOLI S&P1500
78464A805
7422
131648
SH
SOLE
0
0
131648
T-MOBILE US INC
COM
872590104
489
3802
SH
SOLE
0
0
3802
VANGUARD WORLD FD
ESG US STK ETF
921910733
691
8391
SH
SOLE
0
0
8391
VANGUARD INDEX FDS
SM CP VAL ETF
922908611
2133
11964
SH
SOLE
0
0
11964
YUM BRANDS INC
COM
988498101
1431
11842
SH
SOLE
0
0
11842
YUM CHINA HLDGS INC
COM
98850P109
378
8657
SH
SOLE
0
0
8657