BERKSHIRE HATHAWAY INC 13F Holdings

Holdings from the most recent 13F from BERKSHIRE HATHAWAY INC

Filed: 2024-11-14 (Q3 2024) | Holdings: 121 | Value: $266.4B | 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 25% $(23.3B)
26.18%
$69.7B
-12.90%
+8.10%
AXP - AMERICAN EXPRESS CO
15.18%
$40.4B
-12.24%
+8.88%
BAC - BANK AMER CORP
Reduce 23% $(9.0B)
11.40%
$30.4B
-17.02%
+2.56%
KO - COCA COLA CO
10.59%
$28.2B
+18.57%
+11.34%
CVX - CHEVRON CORP NEW
6.17%
$16.4B
-12.82%
-1.25%
OXY - OCCIDENTAL PETE CORP
4.94%
$13.2B
-20.56%
-2.79%
MCO - MOODYS CORP
4.38%
$11.7B
-10.98%
+8.67%
KHC - KRAFT HEINZ CO
4.29%
$11.4B
-5.06%
-6.72%
CB - CHUBB LIMITED
2.93%
$7.8B
+0.19%
-6.76%
DVA - DAVITA INC
2.22%
$5.9B
-9.81%
-0.14%
C - CITIGROUP INC
1.01%
$2.7B
-6.34%
+25.32%
KR - KROGER CO
0.94%
$2.5B
+21.57%
+11.40%
VRSN - VERISIGN INC
0.91%
$2.4B
+33.83%
+25.42%
V - VISA INC
0.86%
$2.3B
+7.35%
+16.18%
MA - MASTERCARD INC
0.74%
$2.0B
+0.08%
+9.82%
SIRI - SIRIUS XM HOLDINGS INC
New Purchase
0.72%
$1.9B
-23.41%
-0.04%
AMZN - AMAZON COM INC
0.54%
$1.4B
-16.52%
+9.62%
AON - AON PLC
0.53%
$1.4B
-2.26%
+4.04%
NU - NU HLDGS LTD
Reduce 19% $(282.3M)
0.44%
$1.2B
-26.54%
-9.58%
TMUS - T-MOBILE US INC
0.36%
$964.1M
+10.81%
+10.94%
CHTR - CHARTER COMMUNICATIONS INC N
Reduce 26% $(326.4M)
0.34%
$914.5M
-14.12%
-8.35%
COF - CAPITAL ONE FINL CORP
0.22%
$587.0M
-10.96%
+10.94%
DPZ - DOMINOS PIZZA INC
New Purchase
0.21%
$549.4M
+2.53%
+4.48%
LPX - LOUISIANA PAC CORP
New Purchase
0.18%
$466.9M
-24.87%
+0.49%
LSXMK - LIBERTY MEDIA CORP DEL
Reduce 100%
0.00%
$0.00
LSXMA - LIBERTY MEDIA CORP DEL
Reduce 100%
0.00%
$0.00