Featured 13F manager
Berkshire Hathaway Inc. Warren Buffett
Omaha, NE 24 processed 13Fs on this site · 2021 Q3–2026 Q2
- $299.3B
- 29 Positions
- 2026 Q2
- +13.7% QoQ
- Top 5 68.6%
Portfolio
top 5 68.6% · top 10 88.4%
- AAPL - Apple 22.0%
- AXP - American Express 17.1%
- KO - Coca Cola 10.9%
- GOOGL - Alphabet · CL A 9.4%
- BAC - Bank of America 9.2%
- CVX - Chevron 4.7%
- OXY - Occidental 4.3%
- CB - Chubb 3.9%
- MCO - Moodys 3.7%
- GOOG - Alphabet · CL C 3.2%
- KHC - Kraft Heinz 2.6%
- DVA - Davita 2.2%
- Other 6.8%
AUM over time
Book
| AAPL - Apple | 47.60% | Hold | 887,135,554 | $0.1776 | $158M | — | — |
| BAC - Bank of America | 13.58% | Hold | 1,010,100,606 | $0.0445 | $45M | — | — |
| AXP - American Express | 7.49% | Hold | 151,610,700 | $0.1636 | $25M | — | — |
| KO - Coca Cola | 7.16% | Hold | 400,000,000 | $0.0592 | $24M | — | — |
| KHC - Kraft Heinz | 3.53% | Hold | 325,634,818 | $0.0359 | $12M | — | — |
| MCO - Moodys | 2.91% | Hold | 24,669,778 | $0.3906 | $10M | — | — |
| VZ - Verizon Communications | 2.49% | Hold | 158,824,575 | $0.0520 | $8M | — | — |
| USB - US Bancorp Del | 2.15% | Hold | 126,417,887 | $0.0562 | $7M | — | — |
| CVX - Chevron | 1.36% | Add +33.2% | 38,245,036 | $0.1174 | $4M | +9,541,517 | +$2M |
| BK - Bank Of New York Mellon | 1.27% | Hold | 72,357,453 | $0.0581 | $4M | — | — |
| DVA - Davita | 1.24% | Hold | 36,095,570 | $0.1138 | $4M | — | — |
| GM - General Mtrs | 1.06% | Hold | 60,000,000 | $0.0586 | $4M | — | — |
| VRSN - Verisign | 0.98% | Hold | 12,815,613 | $0.2538 | $3M | — | — |
| KR - Kroger | 0.84% | Reduce −0.6% | 61,412,910 | $0.0453 | $3M | −375,000 | +$281K |
| CHTR - Charter Communications · CL A | 0.75% | Reduce −8.8% | 3,828,941 | $0.6520 | $2M | −371,685 | −$560K |
| Liberty Media Delaware | 0.66% | Hold | 43,208,291 | $0.0509 | $2M | — | — |
| SNOW - Snowflake · CL A | 0.63% | Hold | 6,125,376 | $0.3387 | $2M | — | — |
| V - VISA · CL A | 0.54% | Reduce −13.2% | 8,297,460 | $0.2167 | $2M | −1,265,000 | −$332K |
| AMZN - Amazon | 0.54% | Hold | 533,300 | $3.33 | $2M | — | — |
| MA - Mastercard · CL A | 0.43% | Reduce −7.0% | 3,986,648 | $0.3593 | $1M | −302,000 | −$59K |
| AON - AON PLC · CL A | 0.40% | Hold | 4,396,000 | $0.3006 | $1M | — | — |
| Liberty Media Delaware | 0.31% | Add +36.0% | 20,207,680 | $0.0509 | $1M | +5,347,320 | +$327K |
| NU · CL A | 0.30% | New | 107,118,784 | $0.0094 | $1M | +107,118,784 | +$1M |
| Activision Blizzard | 0.29% | New | 14,658,121 | $0.0665 | $975K | +14,658,121 | +$975K |
| RH | 0.29% | Add +1.4% | 1,816,547 | $0.5359 | $974K | +24,580 | −$222K |
| Store Cap | 0.25% | Hold | 24,415,168 | $0.0344 | $840K | — | — |
| TMUS - T-Mobile US | 0.18% | Hold | 5,242,000 | $0.1160 | $608K | — | — |
| GL - Globe Life | 0.18% | Hold | 6,353,727 | $0.0937 | $595K | — | — |
| ABBV - Abbvie | 0.12% | Reduce −78.9% | 3,033,561 | $0.1354 | $411K | −11,364,927 | −$1M |
| RPRX - Royalty Pharma · CLASS A | 0.10% | Reduce −34.2% | 8,648,268 | $0.0398 | $345K | −4,497,634 | −$130K |
| BMY - Bristol-Myers Squibb | 0.10% | Reduce −76.4% | 5,202,674 | $0.0624 | $324K | −16,844,262 | −$980K |
| Stoneco · CL A | 0.05% | Hold | 10,695,448 | $0.0169 | $180K | — | — |
| Liberty Media Del | 0.04% | New | 2,118,746 | $0.0632 | $134K | +2,118,746 | +$134K |
| FND - Floor & Decor · CL A | 0.03% | Add +3.3% | 843,709 | $0.1300 | $110K | +26,846 | +$11K |
| MMC - Marsh & Mclennan Cos | 0.02% | Reduce −85.2% | 404,911 | $0.1738 | $70K | −2,336,844 | −$345K |
| JNJ - Johnson & Johnson | 0.02% | Hold | 327,100 | $0.1711 | $56K | — | — |
| PG - Procter & Gamble | 0.02% | Hold | 315,400 | $0.1636 | $52K | — | — |
| MDLZ - Mondelez Intl · CL A | 0.01% | Hold | 578,000 | $0.0663 | $38K | — | — |
| WFC - Wells Fargo & | 0.01% | Hold | 675,054 | $0.0480 | $32K | — | — |
| Liberty Latin America · CL A | 0.01% | Hold | 2,630,792 | $0.0117 | $31K | — | — |
| VOO - Vanguard Index Fds | 0.01% | Hold | 43,000 | $0.4366 | $19K | — | — |
| SPY - Spdr S&P 500 ETF Tr | 0.01% | Hold | 39,400 | $0.4749 | $19K | — | — |
| LILA - Liberty Latin America · CL C | 0.00% | Hold | 1,284,020 | $0.0114 | $15K | — | — |
| UPS - United Parcel Service · CL B | 0.00% | Hold | 59,400 | $0.2143 | $13K | — | — |
Exits / last held
not current holdings · last reported size, unchanged · gone vs 2021 Q3
| Stock | % of portfolio | Recent activity | Shares | Reported price* | Value | Share change | $ change |
|---|---|---|---|---|---|---|---|
| TEVA - Teva Pharmaceutical Inds | 0.14% | Exit | 0 | $0.0097 | $417K | −42,789,295 | −$417K |
| SIRI - Sirius Xm | 0.09% | Exit | 0 | $0.0061 | $266K | −43,658,800 | −$266K |
Filings history
20 periods · normalized AUM · open a period for holdings
| Period | Holdings | AUM | QoQ | Form | Filed | Filing ID |
|---|---|---|---|---|---|---|
| 2026 Q2 | 29 | $299.3B | +13.7% | 13F-HR | 8/14/2026 | 000119312526352200 |
| 2026 Q1 | 29 | $263.1B | −4.0% | 13F-HR | 5/15/2026 | 000119312526226661 |
| 2025 Q4 | 42 | $274.2B | +2.6% | 13F-HR | 2/17/2026 | 000119312526054580 |
| 2025 Q3 | 41 | $267.3B | +3.8% | 13F-HR | 11/14/2025 | 000119312525282901 |
| 2025 Q2 | 41 | $257.5B | −0.5% | 13F-HR | 8/14/2025 | 000095012325008343 |
| 2025 Q1 | 4 | $1.1B | — | NEW HOLDINGS | 8/14/2025 | 000095012325008361 |
| 2025 Q1 | 36 | $258.7B | −3.2% | 13F-HR | 5/15/2025 | 000095012325005701 |
| 2024 Q4 | 38 | $267.2B | +0.3% | 13F-HR | 2/14/2025 | 000095012325002701 |
| 2024 Q3 | 40 | $266.4B | −4.9% | 13F-HR | 11/14/2024 | 000095012324011775 |
| 2024 Q2 | 41 | $280B | −15.6% | 13F-HR | 8/14/2024 | 000095012324008740 |
| 2024 Q1 | 41 | $331.7B | −4.5% | 13F-HR | 5/15/2024 | 000095012324005622 |
| 2023 Q4 | 1 | $4.5B | — | NEW HOLDINGS | 5/15/2024 | 000095012324005664 |
| 2023 Q4 | 41 | $347.4B | +10.9% | 13F-HR | 2/14/2024 | 000095012324002518 |
| 2023 Q3 | 1 | $1.7B | — | NEW HOLDINGS | 5/15/2024 | 000095012324005653 |
| 2023 Q3 | 45 | $313.3B | — | RESTATEMENT | 11/16/2023 | 000095012323011029 |
| 2023 Q3 | 45 | $313.3B | −10.0% | 13F-HR | 11/14/2023 | 000095012323010898 |
| 2023 Q2 | 48 | $348.2B | +7.1% | 13F-HR | 8/14/2023 | 000095012323008074 |
| 2023 Q1 | 48 | $325.1B | +8.7% | 13F-HR | 5/15/2023 | 000095012323005270 |
| 2022 Q4 | 49 | $299B | +1.0% | 13F-HR | 2/14/2023 | 000095012323002585 |
| 2022 Q3 | 49 | $296.1B | −1.3% | 13F-HR | 11/14/2022 | 000095012322012275 |
| 2022 Q2 | 47 | $300.1B | −17.4% | 13F-HR | 8/15/2022 | 000095012322009450 |
| 2022 Q1 | 49 | $363.6B | +9.9% | 13F-HR | 5/16/2022 | 000095012322006442 |
| 2021 Q4 | 44 | $331B | +12.8% | 13F-HR | 2/14/2022 | 000095012322002973 |
| 2021 Q3 | 43 | $293.4B | — | 13F-HR | 11/15/2021 | 000095012321015518 |
About
BERKSHIRE HATHAWAY INC
24 processed 13Fs on this site · 2021 Q3–2026 Q2