13F Filings for Berkshire Hathaway Inc (CIK: 1067983)

View the most recent portfolio holdings disclosed by Berkshire Hathaway Inc in their 13F filing.

HoldingSharesValuePortfolio PercentChange StatusChange Amount
AAPL - APPLE INC(Class: COM)300M $66.64B 25.76%Unchanged
AXP - AMERICAN EXPRESS CO(Class: COM)151.61M $40.79B 15.77%Unchanged
KO - COCA COLA CO(Class: COM)400M $28.65B 11.07%Unchanged
BAC - BANK AMER CORP(Class: COM)631.57M $26.36B 10.19%Decreased 48.66M (7.0%, $3.54B)
CVX - CHEVRON CORP NEW(Class: COM)118.61M $19.84B 7.67%Unchanged
OXY - OCCIDENTAL PETE CORP(Class: COM)264.94M $13.08B 5.06%Increased 763.02K (0.0%, $24.45M)
MCO - MOODYS CORP(Class: COM)24.67M $11.49B 4.44%Unchanged
KHC - KRAFT HEINZ CO(Class: COM)325.63M $9.91B 3.83%Unchanged
CB - CHUBB LIMITED(Class: COM)27.03M $8.16B 3.16%Unchanged
DVA - DAVITA INC(Class: COM)35.14M $5.38B 2.08%Decreased 953.09K (2.0%, $22.35M)
KR - KROGER CO(Class: COM)50M $3.38B 1.31%Unchanged
VRSN - VERISIGN INC(Class: COM)13.29M $3.37B 1.30%Increased 18.42K (0.0%, $627.24M)
V - VISA INC(Class: COM CL A)8.30M $2.91B 1.12%Unchanged
SIRI - SIRIUS XM HOLDINGS INC(Class: COMMON STOCK)119.78M $2.70B 1.04%Increased 2.31M (1.0%, $22.08M)
STZ - CONSTELLATION BRANDS INC(Class: CL A)12.01M $2.20B 0.85%Increased 6.38M (113.0%, $960.92M)
MA - MASTERCARD INC(Class: CL A)3.99M $2.19B 0.84%Unchanged
AMZN - AMAZON COM INC(Class: COM)10M $1.90B 0.74%Unchanged
AON - AON PLC(Class: SHS CL A)4.10M $1.64B 0.63%Unchanged
COF - CAPITAL ONE FINL CORP(Class: COM)7.15M $1.28B 0.50%Decreased 300K (4.0%, $46.49M)
DPZ - DOMINOS PIZZA INC(Class: COM)2.62M $1.20B 0.47%Increased 238.61K (10.0%, $204.17M)
ALLY - ALLY FINL INC(Class: COM)29M $1.06B 0.41%Unchanged
TMUS - T-MOBILE US INC(Class: COM)3.88M $1.04B 0.40%Decreased 466.86K (10.0%, $75.50M)
LLYVK - LIBERTY MEDIA CORP DEL(Class: COM LBTY LIV S C)10.92M $743.93M 0.29%Unchanged
CHTR - CHARTER COMMUNICATIONS INC N(Class: CL A)1.98M $731.26M 0.28%Decreased 7.50K (0.0%, $48.54M)
LPX - LOUISIANA PAC CORP(Class: COM)5.66M $521.05M 0.20%Unchanged