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Home > Berkshire Hathaway
Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
JPMORGAN CHASE & CO JPMCommon57,714,433-1,800,4995,196,030,000-3,100,352,00003/31/2020
GOLDMAN SACHS GROUP INC GSCommon1,920,180-10,084,571296,841,000-2,463,411,00003/31/2020
General Motors Co GMCommon74,681,000-319,0001,551,872,000-1,193,128,00003/31/2020
SOUTHWEST AIRLINES CO LUVCommon53,642,713-6,5001,910,218,000-985,767,00003/31/2020
American Airlines Group Inc. AALCommon41,909,000-591,000510,871,000-708,029,00003/31/2020
Liberty Media Corp LSXMKCOM C SIRIUSXM30,850,985-240,000975,508,000-521,213,00003/31/2020
Synchrony Financial SYFCOM20,128,000-675,000323,860,000-425,256,00003/31/2020
Axalta Coating Systems Ltd. AXTACOM24,070,000-194,000415,689,000-321,937,00003/31/2020
SIRIUS XM HOLDINGS INC. SIRICOM132,418,729-3,857,000654,149,000-320,223,00003/31/2020
SUNCOR ENERGY INC SUCOM14,949,031-70,000236,195,000-256,429,00003/31/2020
VERISIGN INC/CA VRSNCommon12,815,613-137,1322,307,964,000-187,771,00003/31/2020
Liberty Global plc LBTYACommon19,310,000-481,000318,808,000-131,239,00003/31/2020
TEVA PHARMACEUTICAL INDUSTRIES LTD TEVAADR42,789,295-460,000384,248,000-39,595,00003/31/2020
Liberty Global plc LILACOM CL A2,630,792-84,06227,676,000-24,721,00003/31/2020
DAVITA INC. DVACommon38,095,570-470,0002,897,549,0003,974,00003/31/2020
BIOGEN INC. BIIBCommon643,022-5,425203,440,00011,026,00003/31/2020
AMAZON COM INC AMZNCommon533,300-4,0001,039,786,00046,942,00003/31/2020
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