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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
Apple Inc. AAPLCommon915,560,38220,424,207177,591,247,296,00061,286,204,078,00006/30/2023
BANK OF AMERICA CORP /DE/ BACCommon1,032,852,00622,751,40029,632,524,052,000-3,822,008,019,00006/30/2023
AMERICAN EXPRESS CO AXPCommon151,610,700026,410,583,940,0004,010,103,014,00006/30/2023
COCA COLA CO KOCommon400,000,000024,088,000,000,000-1,356,000,000,00006/30/2023
CHEVRON CORP CVXCommon123,120,120-39,855,65119,372,950,883,000-9,879,570,254,00006/30/2023
OCCIDENTAL PETROLEUM CORP /DE/ OXYCommon224,129,19229,777,54213,178,796,490,000936,586,056,00006/30/2023
Kraft Heinz Co KHCCOM325,634,818011,560,036,039,000-1,696,557,402,00006/30/2023
MOODYS CORP /DE/ MCOCommon24,669,77808,578,175,206,0001,704,681,660,00006/30/2023
HP INC HPQCOM120,952,81816,476,7833,714,461,041,000907,189,980,00006/30/2023
DAVITA INC. DVACommon36,095,57003,626,521,918,000931,265,706,00006/30/2023
VERISIGN INC/CA VRSNCommon12,815,61302,895,944,070,000263,104,535,00006/30/2023
CITIGROUP INC CCOM55,244,79789,0002,543,470,454,00048,773,755,00006/30/2023
KROGER CO KRCommon50,000,00002,350,000,000,000121,000,000,00006/30/2023
VISA INC. VCL A8,297,46001,970,480,801,000246,600,511,00006/30/2023
Mastercard Inc MACL A3,986,64801,567,948,658,000181,671,549,00006/30/2023
Aon plc AONCommon Stock4,335,000-61,0001,496,442,000,000177,026,560,00006/30/2023
Paramount Global CBSCommon93,730,97593,7861,491,259,813,000-89,335,937,00006/30/2023
Liberty Media Corp LSXMKCOM C SIRIUSXM43,208,29101,414,207,364,000-276,533,062,00006/30/2023
CHARTER COMMUNICATIONS, INC. /MO/ CHTRCOM3,828,94101,406,638,055,000108,244,162,00006/30/2023
AMAZON COM INC AMZNCommon10,551,000-115,0001,375,428,360,000479,484,360,00006/30/2023
CAPITAL ONE FINANCIAL CORP COFCommon12,471,03012,471,0301,363,956,551,0001,363,956,551,00006/30/2023
Activision Blizzard, Inc. ATVISTOCK14,658,121-38,058,9541,235,679,601,000-2,799,812,490,00006/30/2023
Snowflake Inc. SNOWCommon6,125,37601,077,943,668,000198,707,197,00006/30/2023
General Motors Co GMCommon22,000,000-28,000,000848,320,000,000-833,680,000,00006/30/2023
Nu Holdings Ltd. NUCOM107,118,7840845,167,206,000409,193,755,00006/30/2023
Ally Financial Inc. ALLYCommon29,000,000-800,000783,290,001,00054,680,000,00006/30/2023
T-Mobile US, Inc. TMUSCOM5,242,0000728,113,800,000-5,766,200,00006/30/2023
HORTON D R INC /DE/ DHICommon5,969,7145,969,714726,454,496,000726,454,496,00006/30/2023
Liberty Media Corp LSXMACommon20,207,6800663,013,981,000-131,349,919,00006/30/2023
MARKEL GROUP INC. MKLCommon471,6614,050652,392,063,00036,319,245,00006/30/2023
CELANESE AG CECommon5,358,535-4,351,648620,518,352,000-372,250,758,00006/30/2023
Liberty Media Corp FWONKCommon7,722,4510581,346,111,000119,697,990,00006/30/2023
LOUISIANA-PACIFIC CORP LPXCommon7,044,9090528,227,277,000111,168,664,00006/30/2023
Floor & Decor Holdings, Inc. FNDCOM4,780,0000496,928,800,000164,097,400,00006/30/2023
GLOBE LIFE INC. GLCOM2,515,574-3,838,153275,757,222,000-490,184,568,00006/30/2023
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