Peter Schiff's portfolio and holdings - Feb 2026

As per the latest corporate shareholdings filed, Peter Schiff publicly holds 61 stocks with a net worth of over US$ 897.0 M.

These are shares held by Peter Schiff as per the shareholding data filed with the exchanges. The latest quarter tends to have missing data since not all companies may have reported their shareholding data till now.

Stock Name Holders Name Current Price US$ Quantity Held Holding Percent Change from Previous Qtr Holding Value US$ History
Fortuna Silver Mines Inc. Euro Pacific Asset Management, Llc 11.74 4,425,644 1.45% -1.43 52.0 M
Osisko Gold Royalties Ltd Euro Pacific Asset Management, Llc 43.04 1,020,500 0.54% -0.61 43.9 M
Pan American Silver Corp Euro Pacific Asset Management, Llc 59.95 1,330,620 0.32% -0.32 79.8 M
Triple Flag Precious Metals Corp Euro Pacific Asset Management, Llc 38.21 528,376 0.26% NEW 20.2 M
Iamgold Corp. Euro Pacific Asset Management, Llc 21.63 1,473,557 0.25% -0.18 31.9 M
Royal Gold, Inc. Euro Pacific Asset Management, Llc 276.47 160,751 0.19% -0.09 44.4 M
Gold.com Inc. Euro Pacific Asset Management, Llc 54.60 2,168,499 0.13% -0.12 118.4 M
Franco-Nevada Corporation Euro Pacific Asset Management, Llc 255.35 234,129 0.12% -0.12 59.8 M
Vox Royalty Corp Euro Pacific Asset Management, Llc 6.03 58,350 0.12% 0.00 351.9 K
Agnico Eagle Mines Ltd Euro Pacific Asset Management, Llc 221.49 464,823 0.09% -0.10 103.0 M
Blackrock Floating Rate Income Strategies Fund Inc Euro Pacific Asset Management, Llc 11.17 31,965 0.09% -0.07 357.0 K
Kinross Gold Corp. Euro Pacific Asset Management, Llc 32.74 776,378 0.06% -0.09 25.4 M
Wheaton Precious Metals Corp Euro Pacific Asset Management, Llc 147.83 285,701 0.06% -0.07 42.2 M
Algonquin Power & Utilities Corp Euro Pacific Asset Management, Llc 6.88 354,653 0.05% -0.05 2.4 M
Newmont Corp Euro Pacific Asset Management, Llc 116.09 435,678 0.04% -0.04 50.6 M
Telkom Indonesia (Persero) Tbk PT - ADR Euro Pacific Asset Management, Llc 19.52 378,696 0.04% -0.04 7.4 M
India Fund Inc Euro Pacific Asset Management, Llc 12.61 14,100 0.03% -0.03 177.8 K
SK Telecom Co Ltd - ADR Euro Pacific Asset Management, Llc 29.45 122,155 0.03% -0.03 3.6 M
British American Tobacco Plc - ADR Euro Pacific Asset Management, Llc 58.59 660,483 0.03% -0.03 38.7 M
AMTD Digital Inc - ADR Euro Pacific Asset Management, Llc 1.54 71,002 0.02% -0.11 109.3 K
Nutrien Ltd Euro Pacific Asset Management, Llc 74.39 104,172 0.02% -0.02 7.7 M
Ambev S.A. - ADR Euro Pacific Asset Management, Llc 2.92 3,128,370 0.02% -0.02 9.1 M
BCE Inc Euro Pacific Asset Management, Llc 25.98 134,378 0.01% -0.01 3.5 M
Bank Of Nova Scotia Euro Pacific Asset Management, Llc 72.93 175,581 0.01% -0.01 12.8 M
BP plc - ADR Euro Pacific Asset Management, Llc 39.30 364,065 0.01% -0.01 14.3 M
Equinor ASA - ADR Euro Pacific Asset Management, Llc 31.76 319,792 0.01% -0.01 10.2 M
GSK Plc - ADR Euro Pacific Asset Management, Llc 55.27 212,018 0.01% -0.01 11.7 M
Endeavour Silver Corp. Euro Pacific Asset Management, Llc 11.51 27,520 0.01% -0.01 316.8 K
Grab Holdings Limited - Ordinary Shares - Class A Euro Pacific Asset Management, Llc 4.03 379,745 0.01% NEW 1.5 M
TotalEnergies SE - ADR Euro Pacific Asset Management, Llc 77.03 180,651 0.01% -0.01 13.9 M
First Majestic Silver Corporation Euro Pacific Asset Management, Llc 26.27 35,355 0.01% -0.01 928.8 K
Unilever plc - ADR Euro Pacific Asset Management, Llc 67.39 164,157 0.01% -0.01 11.1 M
Grupo Aeroportuario Del Sureste S.A. - ADR Euro Pacific Asset Management, Llc 337.85 1,979 0.01% 0.00 668.6 K
Novo Nordisk - ADR Euro Pacific Asset Management, Llc 39.07 278,816 0.01% 0.00 10.9 M
Shell Plc - ADR (Representing - Ordinary Shares) Euro Pacific Asset Management, Llc 82.94 164,560 0.01% -0.01 13.6 M
Banco Bradesco S.A. - ADR Euro Pacific Asset Management, Llc 3.74 584,313 0.01% -0.01 2.2 M
AngloGold Ashanti Ltd - ADR Euro Pacific Asset Management, Llc 107.89 21,731 0.01% NEW 2.3 M
Novartis AG - ADR Euro Pacific Asset Management, Llc 161.01 91,767 0.00% 0.00 14.8 M
Nu Holdings Ltd - Ordinary Shares Class A Euro Pacific Asset Management, Llc 14.82 232,910 0.00% NEW 3.5 M
Philip Morris International Inc Euro Pacific Asset Management, Llc 169.70 47,382 0.00% 0.00 8.0 M
Rio Tinto plc - ADR Euro Pacific Asset Management, Llc 93.37 47,733 0.00% 0.00 4.5 M
Alamos Gold Inc. - Ordinary Shares - Class A Euro Pacific Asset Management, Llc 49.38 11,211 0.00% 0.00 553.6 K
BHP Group Limited - ADR Euro Pacific Asset Management, Llc 75.60 58,329 0.00% 0.00 4.4 M
Haleon plc - ADR Euro Pacific Asset Management, Llc 10.33 90,805 0.00% 0.00 938.0 K
Omega Healthcare Investors, Inc. Euro Pacific Asset Management, Llc 47.07 5,800 0.00% 0.00 273.0 K
Vale S.A. - ADR Euro Pacific Asset Management, Llc 15.42 72,379 0.00% 0.00 1.1 M
Infosys Ltd - ADR Euro Pacific Asset Management, Llc 14.40 65,845 0.00% 0.00 948.2 K
Itau Unibanco Holding S.A. - ADR Euro Pacific Asset Management, Llc 8.26 179,293 0.00% 0.00 1.5 M
Gold Fields Ltd - ADR - Level II Euro Pacific Asset Management, Llc 50.10 13,651 0.00% 0.00 683.9 K
Diageo plc - ADR Euro Pacific Asset Management, Llc 82.31 8,183 0.00% 0.00 673.5 K
Cemex S.A.B. De C.V. - ADR Euro Pacific Asset Management, Llc 11.34 11,000 0.00% 0.00 124.7 K
Vodafone Group plc - ADR Euro Pacific Asset Management, Llc 14.62 13,415 0.00% 0.00 196.1 K
MercadoLibre Inc Euro Pacific Asset Management, Llc 1780.36 290 0.00% 0.00 516.3 K
Enbridge Inc Euro Pacific Asset Management, Llc 53.88 10,165 0.00% 0.00 547.7 K
United Micro Electronics - ADR Euro Pacific Asset Management, Llc 9.75 10,016 0.00% NEW 97.7 K
Energy Transfer LP - Unit Euro Pacific Asset Management, Llc 18.67 13,210 0.00% 0.00 246.6 K
Wipro Ltd. - ADR Euro Pacific Asset Management, Llc 2.22 26,294 0.00% 0.00 58.4 K
ASML Holding NV - New York Shares Euro Pacific Asset Management, Llc 1368.36 438 0.00% NEW 599.3 K
International Business Machines Corp. Euro Pacific Asset Management, Llc 256.55 891 0.00% 0.00 228.6 K
Sap SE - ADR Euro Pacific Asset Management, Llc 199.48 823 0.00% 0.00 164.2 K
Taiwan Semiconductor Manufacturing - ADR Euro Pacific Asset Management, Llc 353.86 2,642 0.00% 0.00 934.9 K
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