Berkshire Hathaway
Managed by Warren Buffett
- Portfolio value
- $263.10B
- Holdings
- 26
- Top 5 weight
- 67.13%
- Latest filing
Portfolio
Reported 13F holdings, largest positions first
26holdings
AAPL 21.99%AXP 17.43%KO 11.56%BAC 9.52%CVX 6.64%OXY 6.55%Other 26.32%
Company% PortfolioSharesValue
AAPLAPPLE INC21.99%227,918,000$57.84BAXPAMERICAN EXPRESS CO17.43%151,611,000$45.86BKOCOCA COLA CO11.56%400,000,000$30.42BBACBANK OF AMERICA CORP9.52%513,624,000$25.04BCVXCHEVRON CORP6.64%84,376,000$17.46BOXYOCCIDENTAL PETROLEUM CORP6.55%264,941,000$17.22BGOOGLALPHABET INC6.32%57,835,000$16.63BCBCHUBB LTD4.24%34,249,000$11.16BMCOMOODYS CORP4.09%24,670,000$10.76BKHCKRAFT HEINZ CO2.78%325,635,000$7.32BDVADAVITA INC1.76%30,101,000$4.63BKRKROGER CO1.38%50,000,000$3.62BSIRISIRIUS XM HOLDINGS INC1.09%124,807,000$2.88BDALDELTA AIR LINES INC1.01%39,809,000$2.65BVRSNVERISIGN INC0.85%8,990,000$2.23BLLYVALIBERTY LIVE HOLDINGS INC0.55%15,574,000$1.45BCOFCAPITAL ONE FINANCIAL CORP0.5%7,150,000$1.30BNYTNEW YORK TIMES CO0.48%15,147,000$1.27BALLYALLY FINANCIAL INC0.43%29,000,000$1.14BLENLENNAR CORP0.34%10,337,000$897.00MNUENUCOR CORP0.25%3,907,000$660.70MLPXLOUISIANA-PACIFIC CORP0.16%5,665,000$412.10MSTZCONSTELLATION BRANDS INC0.04%633,000$94.90MNVRNVR INC0.03%11,000$73.20MMMACY'S INC0.02%3,038,000$55.00MJEFJEFFERIES FINANCIAL GROUP INC0.01%434,000$17.90M
From the fund's Q1 '26 13F filingWhat is a 13F?
Activity
Buys and sells, quarter by quarter
filing - 26 moves · 5 buy-side · 21 sell-side
CompanyChangeValue
BACBANK OF AMERICA CORP0.7%$25.04BCVXCHEVRON CORP35.2%$17.46BGOOGLALPHABET INC224.1%$16.63BDVADAVITA INC5.2%$4.63BVVISA INCSold$2.91BDALDELTA AIR LINES INCNew$2.65BMAMASTERCARD INCSold$2.28BUNHUNITEDHEALTH GROUP INCSold$1.66BLLYVALIBERTY LIVE HOLDINGS INC2.1%$1.45BDPZDOMINOS PIZZA INCSold$1.40BAONAON PLCSold$1.27BNYTNEW YORK TIMES CO199.0%$1.27BLENLENNAR CORP42.9%$897.00MPOOLPOOL CORPSold$702.00MNUENUCOR CORP39.0%$660.70MAMZNAMAZON COM INCSold$525.30MHEIHEICO CORPSold$326.80MFWONALIBERTY MEDIA CORPSold$297.40MCHTRCHARTER COMMUNICATIONS INCSold$221.50MLAMRLAMAR ADVERTISING COSold$152.20MALLEALLEGION PLCSold$124.20MSTZCONSTELLATION BRANDS INC95.1%$94.90MMMACY'S INCNew$55.00MLILALIBERTY LATIN AMERICA LTDSold$27.30MDEODIAGEO PLCSold$19.60MBATRAATLANTA BRAVES HOLDINGS INCSold$4.60M
Changes are share-count changes vs. the prior quarter








































