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Institutions

Berkshire Hathaway

Conglomerate / value · filed as “BERKSHIRE HATHAWAY INC” · CIK 1067983

The information on this page is market data and educational analysis, not financial advice. Past on-chain activity does not guarantee future results. Always do your own research.

Disclosed portfolio

$263.10B

period 2026-03-31

Positions

29

distinct issuer/class lines

Filed

2026-05-15

13F-HR — up to 45d after quarter end

Top holdings (25 of 29 — % of the full disclosed portfolio)

#IssuerClassValueSharesWeight
1APPLE INCAAPLCOM$57.84B227,917,80822.0%
2AMERICAN EXPRESS COAXPCOM$45.86B151,610,70017.4%
3COCA COLA COKOCOM$30.42B400,000,00011.6%
4BANK AMERICA CORPBACCOM$25.04B513,624,1659.5%
5CHEVRON CORPORATIONCVXCOM$17.46B84,375,8566.6%
6OCCIDENTAL PETE CORPOXYCOM$17.22B264,941,4316.5%
7ALPHABET INCGOOGLCAP STK CL A$15.60B54,249,7985.9%
8CHUBB LTD SWITZCOM$11.16B34,249,1834.2%
9MOODYS CORPMCOCOM$10.76B24,669,7784.1%
10KRAFT HEINZ COKHCCOM$7.32B325,634,8182.8%
11DAVITA INCDVACOM$4.63B30,100,5851.8%
12KROGER COKRCOM$3.62B50,000,0001.4%
13SIRIUSXM HOLDINGS INCSIRICOMMON STOCK$2.88B124,807,1171.1%
14DELTA AIR LINES INCDALCOM NEW$2.65B39,809,4561.0%
15VERISIGN INCVRSNCOM$2.23B8,989,8800.8%
16CAPITAL ONE FINL CORPCOFCOM$1.30B7,150,0000.5%
17NEW YORK TIMES CO MTN BENYTCL A$1.27B15,146,5350.5%
18ALLY FINL INCALLYCOM$1.14B29,000,0000.4%
19ALPHABET INCGOOGCAP STK CL C$1.03B3,585,2150.4%
20LIBERTY LIVE HOLDINGS INCLLYVKCOM SHS SER C$996.4M10,587,1430.4%
21LENNAR CORPLENCL A$877.1M10,099,6420.3%
22NUCOR CORPNUECOM$660.7M3,907,0750.3%
23LIBERTY LIVE HOLDINGS INCLLYVACOM SER A$457.0M4,986,5880.2%
24LOUISIANA PAC CORPLPXCOM$412.1M5,664,7930.2%
25CONSTELLATION BRANDS INCSTZCL A$94.9M632,8900.0%

As filed with the SEC (original filing). 13F discloses long US equity positions only — no shorts, bonds, cash or non-US holdings — and reflects the position at quarter end, not today. Historical observation, not an endorsement, never advice.