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Berkshire Hathaway Inc
81%held throughout
1–25 of 46, sorted by portfolio weight, high to low
| AAPLAPPLE INCInformation Technology | 40.1%-3.5% | Unchanged | 887,135,554 | $122.15 | $108.4B |
| BACBANK OF AMERICA CORPFinancials | 14.5%+3.1% | Unchanged | 1,010,100,606 | $38.69 | $39.1B |
| AXPAMERICAN EXPRESS COFinancials | 7.9%+1.1% | Unchanged | 151,610,700 | $141.44 | $21.4B |
| KOCOCA-COLA CO/THEConsumer Staples | 7.8%-0.3% | Unchanged | 400,000,000 | $52.71 | $21.1B |
| KHCKRAFT HEINZ CO/THEConsumer Staples | 4.8%+0.6% | Unchanged | 325,634,818 | $40.00 | $13.0B |
| VZVERIZON COMMUNICATIONS INCCommunication Services | 3.4%+0.2% | Increased8.3% | 158,824,575 | $58.15 | $9.24B |
| MCOMOODY'S CORPConsumer Discretionary | 2.7%+0.1% | Unchanged | 24,669,778 | $298.61 | $7.37B |
| USBUS BANCORPFinancials | 2.7%+0.4% | Reduced1.1% | 129,687,084 | $55.31 | $7.17B |
| DVADAVITA INCHealth Care | 1.4%-0.1% | Unchanged | 36,095,570 | $107.77 | $3.89B |
| GMGENERAL MOTORS COConsumer Discretionary | 1.4%+0.3% | Reduced7.6% | 67,000,000 | $57.46 | $3.85B |
| BNYBANK OF NEW YORK MELLON CORPFinancials | 1.3%+0.1% | Unchanged | 72,357,453 | $47.29 | $3.42B |
| CHTRCHARTER COMMUNICATIONS INC-ACommunication Services | 1.2%-0.1% | Unchanged | 5,213,461 | $617.02 | $3.22B |
| VRSNVERISIGN INCInformation Technology | 0.9%-0.1% | Unchanged | 12,815,613 | $198.76 | $2.55B |
| CVXCHEVRON CORPEnergy | 0.9%-0.6% | Reduced51.2% | 23,672,271 | $104.79 | $2.48B |
| ABBVABBVIE INCHealth Care | 0.9%-0.1% | Reduced10.4% | 22,868,178 | $108.22 | $2.47B |
| VVISA INC-CLASS A SHARESFinancials | 0.8% | Unchanged | 9,987,460 | $211.73 | $2.11B |
| BMYBRISTOL-MYERS SQUIBB COHealth Care | 0.7% | Reduced6.9% | 31,032,227 | $63.13 | $1.96B |
| LSXMKUSDLIBERTY MEDIA COR-SIRIUSXM CUnclassified | 0.7% | Unchanged | 43,208,291 | $44.11 | $1.91B |
| KRKROGER COConsumer Staples | 0.7%+0.3% | Increased52.3% | 51,060,296 | $35.99 | $1.84B |
| AMZNAMAZON.COM INCConsumer DiscretionarySupply chain (as of Q2 2026) | 0.6% | Unchanged | 533,300 | $3094.08 | $1.65B |
| MAMASTERCARD INC - AFinancials | 0.6% | Unchanged | 4,564,756 | $356.05 | $1.63B |
| SNOWSNOWFLAKE INCInformation Technology | 0.5%-0.1% | Unchanged | 6,125,376 | $229.28 | $1.40B |
| MRKMERCK & CO. INC.Health Care | 0.5%-0.4% | Reduced37.7% | 17,882,388 | $77.09 | $1.38B |
| RHRHConsumer Discretionary | 0.4%+0.1% | Increased1.4% | 1,756,448 | $596.60 | $1.05B |
| Ticker unavailableNEWAON PLCUnclassified | 0.3%+0.3% | New | 4,096,146 | $230.11 | $942.6M |