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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
APPLE INC AAPLCommon252,478,779522,90256,994,561,00010,355,008,00009/30/2018
BANK OF AMERICA CORP /DE/ BACCommon877,248,600198,248,60025,843,745,0006,702,736,00009/30/2018
WELLS FARGO & COMPANY/MN WFCCommon442,361,700-9,652,05823,250,531,000-1,809,112,00009/30/2018
COCA COLA CO KOCommon400,000,000018,476,000,000931,999,00009/30/2018
Kraft Heinz Co KHCCOM325,634,818017,945,735,000-2,510,644,00009/30/2018
AMERICAN EXPRESS CO AXPCommon151,610,700016,145,025,0001,287,176,00009/30/2018
US BANCORP \DE\ USBCommon124,923,09224,229,2186,597,189,0001,560,480,00009/30/2018
MOODYS CORP /DE/ MCOCommon24,669,77804,124,787,000-82,890,00009/30/2018
GOLDMAN SACHS GROUP INC GSCommon18,353,6355,099,1454,115,619,0001,192,076,00009/30/2018
JPMORGAN CHASE & CO JPMCommon35,664,76735,664,7674,024,412,0004,024,412,00009/30/2018
Bank of New York Mellon Corp BKCommon77,849,47613,049,1003,969,546,000474,861,00009/30/2018
DELTA AIR LINES INC /DE/ DALCommon65,535,0001,869,1603,789,889,000635,884,00009/30/2018
SOUTHWEST AIRLINES CO LUVCommon56,047,399-500,0003,500,160,000623,028,00009/30/2018
DAVITA INC. DVACommon38,565,57002,762,452,00084,459,00009/30/2018
CHARTER COMMUNICATIONS, INC. /MO/ CHTRCOM7,340,985-163,2002,392,280,000191,977,00009/30/2018
United Continental Holdings, Inc. UALCOM25,984,542-700,0002,314,183,000453,469,00009/30/2018
ORACLE CORP ORCLCommon41,404,79141,404,7912,134,832,0002,134,832,00009/30/2018
VERISIGN INC/CA VRSNCommon12,952,74502,073,994,000294,028,00009/30/2018
American Airlines Group Inc. AALCommon43,700,000-1,000,0001,806,121,000109,309,00009/30/2018
General Motors Co GMCommon52,461,4111,067,8001,766,376,000-258,532,00009/30/2018
Phillips 66 PSXCOM15,433,024-19,296,4901,739,611,000-2,160,860,00009/30/2018
USG CORP USGCommon39,002,01601,689,178,0007,411,00009/30/2018
VISA INC. VCL A10,562,46001,585,320,000186,322,00009/30/2018
Liberty Media Corp LSXMKCOM C SIRIUSXM31,090,98501,350,903,000-59,385,00009/30/2018
Mastercard Inc MACL A4,934,75601,098,526,000128,748,00009/30/2018
COSTCO WHOLESALE CORP /NEW COSTCommon4,333,36301,017,820,000112,234,00009/30/2018
TEVA PHARMACEUTICAL INDUSTRIES LTD TEVAADR43,249,2950931,589,000-120,234,00009/30/2018
M&T BANK CORP MTBCommon5,382,0400885,561,000-30,193,00009/30/2018
SIRIUS XM HOLDINGS INC. SIRICOM137,915,7290871,627,000-62,063,00009/30/2018
PNC FINANCIAL SERVICES GROUP, INC. PNCCommon6,087,3195,372,319829,032,000799,073,00009/30/2018
Axalta Coating Systems Ltd. AXTACOM24,264,0000707,538,000-27,903,00009/30/2018
Synchrony Financial SYFCOM20,803,0000646,557,000-47,847,00009/30/2018
Liberty Media Corp LSXMACommon14,860,3600645,535,000-23,925,00009/30/2018
Liberty Global plc LBTYACommon19,791,0000572,553,00027,509,00009/30/2018
TORCHMARK CORP TMKCommon6,353,7270550,804,00033,547,00009/30/2018
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