Warren Buffett

Berkshire Hathaway

Portfolio Value
$263095.7T
Positions
90
Quarter
2026-Q1

Portfolio Holdings

CompanyTickerSharesValue% PortfolioChange
AMERICAN EXPRESS CO149.1M$45088.0T0.0%
COCA COLA CO282.7M$21501.1T0.0%
APPLE INC80.7M$20471.9T0.0%
OCCIDENTAL PETE CORP264.9M$17221.2T0.0%
APPLE INC61.5M$15619.0T0.0%
BANK AMERICA CORP310.8M$15151.5T0.0%
CHEVRON CORPORATION58.3M$12052.3T0.0%
ALPHABET INC41.3M$11871.4T0.0%
CHUBB LTD SWITZ34.2M$11162.8T0.0%
APPLE INC34.7M$8812.6T0.0%
KRAFT HEINZ CO325.6M$7323.5T0.0%
BANK AMERICA CORP125.7M$6128.9T0.0%
COCA COLA CO80.3M$6105.5T0.0%
MOODYS CORP12.6M$5507.1T0.0%
MOODYS CORP12.0M$5223.6T0.0%
APPLE INC15.5M$3941.9T0.0%
APPLE INC14.5M$3672.8T0.0%
CHEVRON CORPORATION13.5M$2788.5T0.0%
DELTA AIR LINES INC39.8M$2646.5T0.0%
SIRIUSXM HOLDINGS INC108.8M$2511.6T0.0%
DAVITA INC15.1M$2324.9T0.0%
DAVITA INC15.0M$2301.3T0.0%
VERISIGN INC8.0M$1991.1T0.0%
KROGER CO27.3M$1972.3T0.0%
ALPHABET INC6.7M$1926.7T0.0%
CHEVRON CORPORATION9.2M$1901.9T0.0%
APPLE INC7.2M$1828.3T0.0%
ALPHABET INC6.3M$1797.3T0.0%
BANK AMERICA CORP28.2M$1376.6T0.0%
KROGER CO16.1M$1165.5T0.0%
NEW YORK TIMES CO MTN BE13.7M$1151.0T0.0%
COCA COLA CO15.0M$1140.0T0.0%
COCA COLA CO14.4M$1096.0T0.0%
ALPHABET INC3.6M$1028.5T0.0%
BANK AMERICA CORP21.0M$1023.8T0.0%
APPLE INC3.8M$974.6T0.0%
APPLE INC3.8M$958.3T0.0%
LENNAR CORP10.1M$877.1T0.0%
CHEVRON CORPORATION3.5M$714.7T0.0%
APPLE INC2.7M$691.3T0.0%
APPLE INC2.7M$688.3T0.0%
NUCOR CORP3.9M$660.7T0.0%
BANK AMERICA CORP11.9M$580.1T0.0%
CAPITAL ONE FINL CORP3.1M$560.8T0.0%
LIBERTY LIVE HOLDINGS INC5.5M$518.3T0.0%
ALLY FINL INC12.7M$499.0T0.0%
BANK AMERICA CORP9.8M$477.8T0.0%
AMERICAN EXPRESS CO1.4M$423.4T0.0%
CAPITAL ONE FINL CORP2.1M$389.9T0.0%
KROGER CO5.4M$388.4T0.0%
SIRIUSXM HOLDINGS INC16.0M$368.9T0.0%
CAPITAL ONE FINL CORP1.9M$353.8T0.0%
AMERICAN EXPRESS CO1.1M$347.8T0.0%
LIBERTY LIVE HOLDINGS INC3.5M$327.5T0.0%
LOUISIANA PAC CORP4.3M$316.1T0.0%
LIBERTY LIVE HOLDINGS INC3.3M$301.0T0.0%
COCA COLA CO3.6M$270.1T0.0%
VERISIGN INC973K$241.6T0.0%
BANK AMERICA CORP3.9M$191.1T0.0%
ALLY FINL INC4.8M$189.7T0.0%
APPLE INC692K$175.6T0.0%
ALLY FINL INC4.2M$165.9T0.0%
COCA COLA CO1.8M$138.7T0.0%
LIBERTY LIVE HOLDINGS INC1.4M$135.3T0.0%
ALLY FINL INC3.1M$123.1T0.0%
NEW YORK TIMES CO MTN BE1.4M$117.2T0.0%
ALLY FINL INC2.8M$110.0T0.0%
BANK AMERICA CORP2.1M$102.4T0.0%
LOUISIANA PAC CORP1.3M$96.0T0.0%
CONSTELLATION BRANDS INC633K$94.9T0.0%
LIBERTY LIVE HOLDINGS INC1.0M$92.7T0.0%
NVR INC11K$73.2T0.0%
COCA COLA CO960K$73.0T0.0%
COCA COLA CO800K$60.8T0.0%
KROGER CO769K$55.6T0.0%
ALLY FINL INC1.3M$50.0T0.0%
LIBERTY LIVE HOLDINGS INC457K$41.9T0.0%
KROGER CO500K$36.2T0.0%
MOODYS CORP72K$31.5T0.0%
MACYS INC1.7M$30.1T0.0%
COCA COLA CO371K$28.3T0.0%
MACYS INC1.4M$24.9T0.0%
LIBERTY LIVE HOLDINGS INC233K$21.4T0.0%
LENNAR CORP238K$20.0T0.0%
JEFFERIES FINANCIAL GROUP IN434K$17.9T0.0%
LIBERTY LIVE HOLDINGS INC163K$15.3T0.0%
APPLE INC34K$8.6T0.0%
BANK AMERICA CORP146K$7.1T0.0%
COCA COLA CO85K$6.5T0.0%
ALPHABET INC17K$4.8T0.0%

Holdings from the latest SEC Form 13F filing. Filed quarterly — reflects positions as of quarter end, not real time. Not investment advice.