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Fund detail

Berkshire Hathaway (Buffett)

holding-company, quality, buffett

Quarters 52
2021-09-30 $293.45B
Positions 43
Showing 30 of 46 rows

Price is the latest implied close from the selected quarter's 13F (value ÷ shares). Est. Cost is a running average that assumes each quarter's trades cleared near the midpoint of consecutive 13F closes (or yfinance VWAP when available). Most accurate for slow accumulators, least accurate for activists who build positions in a few days.

# Issuer Value ↓ Weight Shares Share Δ Share Δ % Prev Weight First Held Price Est. Cost Unrealized % Status
1 APPLE INC AAPL $125.53B 42.78% 887,135,554 +0 +0.00% 41.46% 2016-03-31 $142 ~$36 +293.24%
2 BANK AMER CORP BAC $42.88B 14.61% 1,010,100,606 +0 +0.00% 14.21% 2017-09-30 $42 ~$26 +63.11%
3 AMERICAN EXPRESS CO AXP $25.40B 8.66% 151,610,700 +0 +0.00% 8.55% 2013-06-30 $168 ~$75 +124.09%
4 COCA COLA CO KO $20.99B 7.15% 400,000,000 +0 +0.00% 7.39% 2013-06-30 $52 ~$40 +30.82%
5 KRAFT HEINZ CO KHC $11.99B 4.09% 325,634,818 +0 +0.00% 4.53% 2015-09-30 $37 ~$71 -47.83%
6 MOODYS CORP MCO $8.76B 2.99% 24,669,778 +0 +0.00% 3.05% 2013-06-30 $355 ~$61 +482.82%
7 VERIZON COMMUNICATIONS INC VZ $8.58B 2.92% 158,824,575 +0 +0.00% 3.04% 2014-03-31 $54 ~$57 -6.03%
8 US BANCORP DEL USB $7.51B 2.56% 126,417,887 -2,471,019 -1.92% 2.51% 2013-06-30 $59 ~$42 +42.15%
9 DAVITA INC DVA $4.20B 1.43% 36,095,570 +0 +0.00% 1.48% 2013-06-30 $116 ~$61 +91.18%
10 BANK OF NEW YORK MELLON CORP BK $3.75B 1.28% 72,357,453 +0 +0.00% 1.27% 2013-06-30 $52 ~$45 +15.86%
11 GENERAL MTRS CO GM $3.16B 1.08% 60,000,000 +0 +0.00% 1.21% 2013-06-30 $53 ~$33 +57.86%
12 CHARTER COMMUNICATIONS INC N CHTR $3.06B 1.04% 4,200,626 -1,012,835 -19.43% 1.28% 2016-06-30 $728 ~$229 +217.89%
13 CHEVRON CORP NEW CVX $2.91B 0.99% 28,703,519 +5,579,599 +24.13% 0.83% 2020-12-31 $101 ~$88 +15.19%
14 VERISIGN INC VRSN $2.63B 0.90% 12,815,613 +0 +0.00% 1.00% 2013-06-30 $205 ~$46 +345.43%
15 KROGER CO KR $2.50B 0.85% 61,787,910 +0 +0.00% 0.81% 2019-12-31 $40 ~$33 +23.60%
16 VISA INC V $2.13B 0.73% 9,562,460 -425,000 -4.26% 0.80% 2013-06-30 $223 ~$51 +334.68%
17 LIBERTY MEDIA CORP DELAWARE LSXMKUSD $2.05B 0.70% 43,208,291 +0 +0.00% 0.68% 2016-06-30 $47 ~$33 +41.90%
18 SNOWFLAKE INC SNOW $1.85B 0.63% 6,125,376 +0 +0.00% 0.51% 2020-09-30 $302 ~$251 +20.49%
19 AMAZON COM INC AMZN $1.75B 0.60% 533,300 +0 +0.00% 0.63% 2019-03-31 $3,285 ~$1,786 +83.89%
20 ABBVIE INC ABBV $1.55B 0.53% 14,398,488 -6,129,373 -29.86% 0.79% 2020-09-30 $108 ~$89 +20.90%
21 MASTERCARD INC MA $1.49B 0.51% 4,288,648 -276,108 -6.05% 0.57% 2013-06-30 $348 ~$62 +457.94%
22 BRISTOL-MYERS SQUIBB CO BMY $1.30B 0.44% 22,046,936 -4,247,330 -16.15% 0.60% 2020-09-30 $59 ~$60 -2.00%
23 AON PLC $1.26B 0.43% 4,396,000 +0 +0.00% 0.36% 2021-03-31 $286 ~$230 +24.03%
24 RH RH $1.20B 0.41% 1,791,967 +0 +0.00% 0.42% 2019-09-30 $667 ~$194 +243.72%
25 STORE CAP CORP S76 $782.0M 0.27% 24,415,168 +0 +0.00% 0.29% 2017-06-30 $32 ~$22 +44.95%
26 LIBERTY MEDIA CORP DELAWARE LM03 $701.0M 0.24% 14,860,360 +0 +0.00% 0.24% 2016-06-30 $47 ~$34 +37.70%
27 T-MOBILE US INC TMUS $669.7M 0.23% 5,242,000 +0 +0.00% 0.26% 2020-09-30 $128 ~$120 +6.57%
28 GLOBE LIFE INC GL $565.7M 0.19% 6,353,727 +0 +0.00% 0.21% 2019-09-30 $89 ~$96 -7.03%
29 ROYALTY PHARMA PLC $475.1M 0.16% 13,145,902 +13,145,902 2021-09-30 $36 ~$36 +0.00%
30 TEVA PHARMACEUTICAL INDS LTD TEVA $416.8M 0.14% 42,789,295 +0 +0.00% 0.14% 2017-12-31 $10 ~$19 -47.62%