BERKSHIRE HATHAWAY INC 13F Holdings

Holdings from the most recent 13F from BERKSHIRE HATHAWAY INC

Filed: 2019-02-14 (Q4 2018) | Holdings: 164 | Value: $183.1B | Filing Link

PREMIUM

Author Returns

Returns are calculated from when the filing is published and are weighted by the size of the holding.

Filing Returns

Returns are calculated from when the filing is published and are weighted by the size of the holding.

Holding Returns
StockPut/Call
Change
Holding Pct
Value
Current Return
3M Return
1Y Return
AAPL - APPLE INC
Reduce 1% $(567.8M)
20.90%
$38.3B
+392.76%
+11.92%
+88.72%
BAC - BANK AMER CORP
Add 2% ($466.2M)
11.15%
$20.4B
+53.95%
-1.13%
+21.87%
KO - COCA COLA CO
Add 4% ($682.4M)
10.16%
$18.6B
+89.99%
+8.08%
+33.80%
WFC - WELLS FARGO & CO NEW
Reduce 7% $(1.3B)
9.58%
$17.5B
+55.58%
-5.72%
-0.28%
KHC - KRAFT HEINZ CO
7.66%
$14.0B
-17.41%
-31.41%
-39.67%
AXP - AMERICAN EXPRESS CO
7.57%
$13.9B
+161.54%
+10.01%
+28.11%
USB - US BANCORP DEL
Add 5% ($200.4M)
2.41%
$4.4B
-1.97%
+0.46%
+10.01%
JPM - JPMORGAN CHASE & CO
Add 50% ($1.4B)
2.30%
$4.2B
+168.22%
+6.58%
+34.40%
MCO - MOODYS CORP
1.89%
$3.5B
+170.25%
+10.12%
+66.80%
GS - GOLDMAN SACHS GROUP INC
1.67%
$3.1B
+204.72%
+2.06%
+23.19%
DAL - DELTA AIR LINES INC DEL
1.60%
$2.9B
-15.51%
+9.59%
+18.52%
LUV - SOUTHWEST AIRLS CO
Reduce 2% $(44.6M)
1.19%
$2.2B
-52.50%
-10.83%
-0.19%
BK - BANK OF NEW YORK MELLON CORP
Add 7% ($145.3M)
1.18%
$2.2B
+78.51%
-10.25%
-10.84%
DVA - DAVITA HEALTHCARE PARTNERS I
1.08%
$2.0B
+150.27%
-14.08%
+46.11%
CHTR - CHARTER COMMUNICATIONS INC N
1.06%
$1.9B
-0.44%
+9.43%
+55.97%
VRSN - VERISIGN INC
1.05%
$1.9B
+41.71%
+9.80%
+19.20%
GM - GENERAL MTRS CO
Add 108% ($902.9M)
0.95%
$1.7B
+23.70%
-3.38%
-8.20%
AAL - AMERICAN AIRLS GROUP INC
0.76%
$1.4B
-72.46%
-11.00%
-19.94%
UAL - UNITED CONTL HLDGS INC
Reduce 13% $(205.5M)
0.74%
$1.4B
-25.01%
-7.83%
-10.20%
V - VISA INC
0.74%
$1.4B
+142.20%
+12.62%
+47.00%
USG - U S G CORP
0.58%
$1.1B
MA - MASTERCARD INC
0.51%
$930.9M
+141.11%
+12.29%
+54.37%
COST - COSTCO WHSL CORP NEW
0.48%
$882.7M
+398.13%
+14.03%
+51.07%
PSX - PHILLIPS 66
Reduce 22% $(217.2M)
0.41%
$755.8M
+28.26%
-9.06%
-4.88%
RHT - RED HAT INC
New Purchase
0.40%
$733.4M
+2.56%
LSXMK - LIBERTY MEDIA CORP DELAWARE
0.39%
$715.9M
-5.56%
+22.27%
MTB - M & T BK CORP
0.37%
$668.6M
+14.09%
-4.91%
+0.28%
ORCL - ORACLE CORP
Reduce 100%
0.00%
$0.00
+295.60%
+7.19%
+10.35%