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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
APPLE INC AAPLCommon251,955,87712,388,24446,639,553,0006,444,895,00006/30/2018
WELLS FARGO & COMPANY/MN WFCCommon452,013,758-4,499,48625,059,643,0001,133,785,00006/30/2018
Kraft Heinz Co KHCCOM325,634,818020,456,379,000172,586,00006/30/2018
BANK OF AMERICA CORP /DE/ BACCommon679,000,000019,141,009,000-1,222,200,00006/30/2018
COCA COLA CO KOCommon400,000,000017,544,001,000172,002,00006/30/2018
AMERICAN EXPRESS CO AXPCommon151,610,700014,857,849,000715,604,00006/30/2018
US BANCORP \DE\ USBCommon100,693,8749,846,1535,036,709,000448,898,00006/30/2018
MOODYS CORP /DE/ MCOCommon24,669,77804,207,677,000228,441,00006/30/2018
Bank of New York Mellon Corp BKCommon64,800,3762,608,9283,494,685,000289,961,00006/30/2018
DELTA AIR LINES INC /DE/ DALCommon63,665,84010,066,4833,154,005,000216,224,00006/30/2018
GOLDMAN SACHS GROUP INC GSCommon13,254,4902,294,9712,923,543,000163,279,00006/30/2018
SOUTHWEST AIRLINES CO LUVCommon56,547,3998,887,9432,877,132,000147,198,00006/30/2018
DAVITA INC. DVACommon38,565,57002,677,993,000134,979,00006/30/2018
Phillips 66 PSXCOM22,186,384-12,543,1302,629,308,368-1,271,162,63208/31/2018
CHARTER COMMUNICATIONS, INC. /MO/ CHTRCOM7,504,185-718,6882,200,303,000-358,819,00006/30/2018
General Motors Co GMCommon51,393,6111,393,6112,024,908,000207,909,00006/30/2018
United Continental Holdings, Inc. UALCOM26,684,542-1,021,4211,860,714,000-64,019,00006/30/2018
VERISIGN INC/CA VRSNCommon12,952,74501,779,966,000244,288,00006/30/2018
American Airlines Group Inc. AALCommon44,700,000-1,300,0001,696,812,000-693,347,00006/30/2018
USG CORP USGCommon39,002,01601,681,767,000105,306,00006/30/2018
Liberty Media Corp LSXMKCOM C SIRIUSXM31,090,98501,410,288,000140,221,00006/30/2018
VISA INC. VCL A10,562,46001,398,998,000135,517,00006/30/2018
TEVA PHARMACEUTICAL INDUSTRIES LTD TEVAADR43,249,2952,709,5851,051,823,000358,999,00006/30/2018
Mastercard Inc MACL A4,934,7560969,778,000105,406,00006/30/2018
SIRIUS XM HOLDINGS INC. SIRICOM137,915,7290933,690,00073,096,00006/30/2018
M&T BANK CORP MTBCommon5,382,0400915,754,000-76,480,00006/30/2018
COSTCO WHOLESALE CORP /NEW COSTCommon4,333,3630905,586,00089,050,00006/30/2018
Axalta Coating Systems Ltd. AXTACOM24,264,0000736,655,0401,214,04007/26/2018
Synchrony Financial SYFCOM20,803,0000694,404,000-3,120,00006/30/2018
Liberty Media Corp LSXMACommon14,860,3600669,460,00058,699,00006/30/2018
Liberty Global plc LBTYACommon19,791,0001,584,592545,044,000-24,998,00006/30/2018
TORCHMARK CORP TMKCommon6,353,7270517,257,000-17,537,00006/30/2018
STORE CAPITAL Corp STORCOM18,621,6740510,234,00048,044,00006/30/2018
Restaurant Brands International Inc. QSRCOM8,438,2250508,825,00028,521,00006/30/2018
Liberty Global plc LBTYKCommon7,346,9680195,503,000-28,065,00006/30/2018
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