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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
Apple Inc. AAPLCommon895,136,175333,856116,305,043,218,000116,181,381,539,00012/31/2022
BANK OF AMERICA CORP /DE/ BACCommon1,010,100,606033,454,532,071,00033,424,027,032,00012/31/2022
CHEVRON CORP CVXCommon162,975,771-2,383,54729,252,521,137,00029,228,763,964,00012/31/2022
COCA COLA CO KOCommon400,000,000025,444,000,000,00025,421,592,001,00012/31/2022
AMERICAN EXPRESS CO AXPCommon151,610,700022,400,480,926,00022,380,027,126,00012/31/2022
Kraft Heinz Co KHCCOM325,634,818013,256,593,441,00013,245,733,520,00012/31/2022
OCCIDENTAL PETROLEUM CORP /DE/ OXYCommon194,351,650012,242,210,434,00012,230,267,525,00012/31/2022
MOODYS CORP /DE/ MCOCommon24,669,77806,873,493,546,0006,867,496,076,00012/31/2022
Activision Blizzard, Inc. ATVISTOCK52,717,075-7,424,7914,035,492,091,0004,031,021,145,00012/31/2022
HP INC HPQCOM104,476,03502,807,271,061,0002,804,667,519,00012/31/2022
DAVITA INC. DVACommon36,095,57002,695,256,212,0002,692,268,582,00012/31/2022
VERISIGN INC/CA VRSNCommon12,815,61302,632,839,535,0002,630,613,463,00012/31/2022
CITIGROUP INC CCOM55,155,79702,494,696,699,0002,492,398,358,00012/31/2022
KROGER CO KRCommon50,000,000-268,8232,229,000,000,0002,226,800,740,00012/31/2022
VISA INC. VCL A8,297,46001,723,880,290,0001,722,406,246,00012/31/2022
Liberty Media Corp LSXMKCOM C SIRIUSXM43,208,29101,690,740,426,0001,689,111,040,00012/31/2022
General Motors Co GMCommon50,000,00001,682,000,000,0001,680,395,500,00012/31/2022
Paramount Global CBSCommon93,637,1892,420,6791,580,595,750,0001,578,858,987,00012/31/2022
Mastercard Inc MACL A3,986,64801,386,277,109,0001,385,143,546,00012/31/2022
Aon plc AONCommon Stock4,396,00001,319,415,440,0001,318,237,884,00012/31/2022
CHARTER COMMUNICATIONS, INC. /MO/ CHTRCOM3,828,94101,298,393,893,0001,297,232,384,00012/31/2022
Bank of New York Mellon Corp BKCommon25,069,867-37,141,0111,141,180,346,0001,138,783,982,00012/31/2022
MCKESSON CORP MCKCommon2,855,514-342,8301,071,160,412,0001,070,073,391,00012/31/2022
CELANESE AG CECommon9,710,1830992,769,110,000991,891,891,00012/31/2022
AMAZON COM INC AMZNCommon10,666,0000895,944,000,000894,738,742,00012/31/2022
Snowflake Inc. SNOWCommon6,125,3760879,236,471,000878,195,402,00012/31/2022
Liberty Media Corp LSXMACommon20,207,6800794,363,900,000793,594,593,00012/31/2022
GLOBE LIFE INC. GLCOM6,353,7270765,941,790,000765,308,323,00012/31/2022
T-Mobile US, Inc. TMUSCOM5,242,0000733,880,000,000733,176,681,00012/31/2022
Ally Financial Inc. ALLYCommon29,800,000-200,000728,610,001,000727,775,100,00012/31/2022
RH RHCommon Stock2,360,0000630,568,400,000629,987,676,00012/31/2022
TAIWAN SEMICONDUCTOR MANUFACTURING CO LTD TSMSPONSORED ADS8,292,724-51,768,156617,725,010,000613,607,236,00012/31/2022
MARKEL GROUP INC. MKLCommon467,6110616,072,818,000615,565,825,00012/31/2022
Liberty Media Corp FWONKCommon7,722,4510461,648,121,000461,196,357,00012/31/2022
Nu Holdings Ltd. NUCOM107,118,784107,118,784435,973,451,000435,973,451,00012/31/2022
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