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Focused investors/Steven Check

Steven Check - Check Capital Management

As of Q2 2026, Steven Check reported 16 long-equity positions worth $1.74B in aggregate.

It also disclosed $2.01B of call notional. Notional is the contracts’ face value, not the premium paid, so it is reported separately from the equity above — see the Options section below.

Copy-investor backtest

Latest quarter
+5.84%
1-year
+13.99%
3-year
+79.29%
5-year
+57.77%
3-year vs S&P 500
-26.05%
5-year vs S&P 500
-16.34%
5-year top 5
+86.77%

Return from mechanically copying the disclosed 13F equity portfolio after each filing and rebalancing at the next. The vs S&P 500 figures subtract SPY over that manager's own rebalance dates, so both sides cover the same days; both are price return, excluding dividends. Method & limitations.

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Updated 2026-09-12 from SEC 13F data.

Live quotes available for 43 of 54 rows. Rows without a quote are marked unavailable.

1BRK-BBerkshire Hathaway30.40%Add +1.2%2,016,191$262.91M$130.40No quote
2WFCWells Fargo10.26%Reduce -2.2%1,727,906$88.73M$51.35No quote
3IBMIBM6.68%Add +0.1%398,564$57.78M$144.97No quote
4VZVerizon6.03%Add +2.6%1,197,840$52.12M$43.51No quote
5AFLAflac4.96%Add +2.8%738,581$42.93M$58.13No quote
6PCPPrecision Castparts4.28%Add +4.9%161,035$36.99MNo quoteNo quote
7AXPAmerican Express3.95%Add +2.8%460,410$34.13M$74.13No quote
8ESRXExpress Scripts3.65%Add +5.3%390,140$31.59MNo quoteNo quote
9QCOMQualcomm3.58%Add +5.5%575,541$30.92M$53.73No quote
10SUSuncor3.36%Add +2.8%1,089,144$29.1M$26.72No quote
11INGRIngredion3.28%Add +5.4%324,728$28.35M$87.31No quote
12ORCLOracle Systems3.16%Reduce -0.2%757,655$27.37M$36.12No quote
13MKLMarkel2.72%Add +2.8%29,337$23.52M$801.85No quote
14MCDMcDonald's2.13%Reduce -9.3%187,143$18.44M$98.53No quote
15ACNAccenture2.12%Reduce -12.8%186,300$18.31M$98.26No quote
16USBUS Bancorp1.72%Reduce -0.8%362,715$14.88M$41.01No quote
17JNJJohnson & Johnson1.48%Add +80.9%136,653$12.76M$93.35No quote
18EMREmerson Electric1.39%Reduce -3.1%271,456$11.99M$44.17No quote
19BRK-ABerkshire Hathaway1.17%Reduce -1.9%52$10.15M$195230.77No quote
20WMTWal-Mart1.11%Add +23.1%148,053$9.6M$64.84No quote
21HOGHarley-Davidson0.73%Reduce -5.1%114,289$6.27M$54.90No quote
22MSFTMicrosoft0.45%Add +95.3%87,312$3.86M$44.26No quote
23ABTAbbott Labs0.27%Reduce -31.6%58,282$2.34M$40.22No quote
24AAPLApple0.20%Reduce -21.7%15,618$1.72M$110.32No quote
25MEIMethode Electronics0.08%Add +88.3%22,600$721KNo quoteNo quote
26CSXC S X0.07%Add +23.8%23,431$630K$26.89No quote
27CVXChevron0.06%Add +9.2%6,510$514K$78.96No quote
28ESVEnsco0.05%Reduce -0.9%32,850$463KNo quoteNo quote
29UNHUnitedHealth0.05%Reduce -27.8%3,900$452K$115.90No quote
30HALHalliburton0.05%Reduce -2.4%12,151$430K$35.39No quote
31COPConocophillips0.04%Add +6.6%8,048$386K$47.96No quote
32TAT&T0.04%Reduce -2.9%11,750$383K$32.60No quote
33AMGNAmgen0.04%Reduce -14.6%2,350$325K$138.30No quote
34SHProshares Short S&P 5000.04%-13,500$304KNo quoteNo quote
35GLWCorning0.04%Reduce -14.1%17,718$303K$17.10No quote
36COFCapital One Fin'l0.03%Reduce -21.6%4,000$290K$72.50No quote
37PMPhilip Morris Intl0.03%-3,412$271K$79.43No quote
38GOOGLAlphabet Class A0.03%Add +8.4%402$257K$639.30No quote
39FASTFastenal0.03%Reduce -7.9%7,000$256K$36.57No quote
40MSMMsc Indl Direct Cl A0.03%New3,865$236K$61.06No quote
41OXYOccidental Petroleum0.03%-3,557$235K$66.07No quote
42LUKLeucadia National0.03%-11,430$232KNo quoteNo quote
43GEGeneral Electric0.03%Add +4.7%8,843$223K$25.22No quote
44VVisa0.03%New3,144$219K$69.66No quote
45BRCMBroadcom Cl A Class A0.02%-4,100$211KNo quoteNo quote
46CCitigroup0.02%-4,100$203K$49.51No quote
47DUKDuke Power & Light0.02%New2,799$201KNo quoteNo quote
48BACBank of America0.02%Add +0.0%12,297$192K$15.61No quote
49SMSISmith Micro Software0.02%-179,500$156KNo quoteNo quote
51TGITriumph Group-Sold0$0No quoteNo quote
50SYNASynaptics-Sold0$0No quoteNo quote

Options positions

Put = right to sell at strike (a bearish bet). Call = right to buy at strike (bullish via leverage). The notional column shows the underlying market value reported to the SEC, not the option premium paid - these don't add to the long-equity % portfolio above.

1BRK-BBerkshire HathawayCOMCALLReduce -0.7%1,200,500$156.54M
2IBMIBMCOMCALLReduce -14.3%12,000$1.74M
3WFCWells FargoCOMCALL-2,400$123K