BERKSHIRE HATHAWAY INC

BERKSHIRE HATHAWAY INC is based out of OMAHA, NE. Their last reported 13F filing for 2020-12-31 included $269,927,528,000 in managed 13F securities and a top 10 holdings concentration of 86.53%. BERKSHIRE HATHAWAY INC's largest holding is APPLE INC with shares held of 887,135,554 with total value $117,714,016,000. BERKSHIRE HATHAWAY INC has met the qualifications for inclusion in our system.

Quarter# of InvestmentsPortofolio Value (Million USD)
Current Quarter2020-12-31141269,927
Previous Quarter2020-09-30145228,890

New Buys


TickerNameSharesValueTotal Asset Value %
VZVERIZON COMMUNICATIONS INC 146,716,496$8,619,594,0003.19%
CVXCHEVRON CORP NEW 48,498,965$4,095,738,0001.52%
MMCMARSH & MCLENNAN COS INC 4,267,825$499,336,0000.18%

Top Buys


TickerNameCurrent SharesCurrent ValuePrevious SharesPrevious ValueShares % ChangeValue % ChangePortfolio % Change
TMUST-MOBILE US INC 5,242,000$706,884,0002,413,156$275,968,000117.23%156.15%0.14%
KRKROGER CO 33,534,017$1,065,040,00024,978,439$847,019,00034.25%25.74%0.02%
MRKMERCK & CO. INC 28,697,435$2,347,450,00022,403,102$1,858,337,00028.10%26.32%0.06%
ABBVABBVIE INC 25,533,082$2,735,870,00021,264,316$1,862,541,00020.07%46.89%0.20%
BMYBRISTOL-MYERS SQUIBB CO 33,336,016$2,067,833,00029,971,194$1,806,963,00011.23%14.44%-0.02%
RHRH 1,732,548$775,350,0001,708,348$653,648,0001.42%18.62%0.00%

Sold Out


TickerNamePrevious SharesPrevious Valueprevious Asset Value %
GOLDBARRICK GOLD CORPORATION 12,000,000$337,320,0000.15%
MTBM & T BK CORP 2,919,613$268,867,0000.12%
PNCPNC FINL SVCS GROUP INC 1,919,827$211,008,0000.09%
PFEPFIZER INC 3,711,780$136,222,0000.06%
JPMJPMORGAN CHASE & CO 967,267$93,119,0000.04%

Top Sells


TickerNameCurrent SharesCurrent ValuePrevious SharesPrevious ValueShares % ChangeValue % ChangePortfolio % Change
WFCWELLS FARGO & CO NEW 52,423,867$1,582,152,000127,380,440$2,994,716,000-58.84%-47.17%-0.72%
SUSUNCOR ENERGY INC NEW 13,849,207$232,390,00019,201,525$234,834,000-27.87%-1.04%-0.02%
LILAKLIBERTY LATIN AMERICA LTD 1,284,020$14,240,0001,430,197$11,642,000-10.22%22.32%0.00%
GMGENERAL MTRS CO 72,500,000$3,018,899,00080,000,000$2,367,201,000-9.38%27.53%0.08%
AAPLAPPLE INC 887,135,554$117,714,016,000944,295,554$109,358,868,000-6.05%7.64%-4.17%
USBUS BANCORP DEL 131,137,998$6,109,721,000131,961,832$4,730,833,000-0.62%29.15%0.20%

2020-12-31 13F Holdings Details


Stock Sector Shares Held Market Value % of Portfolio Previous % of Portfolio Rank Change in Shares % Change in Shares
AAPL887,135,554$117,714,016,00043.61%47.78%1-57,160,000-6.05%
BAC1,010,100,606$30,616,150,00011.34%10.63%200.00%
KO400,000,000$21,935,999,0008.13%8.63%300.00%
AXP151,610,700$18,331,249,0006.79%6.64%400.00%
KHC325,634,818$11,286,503,0004.18%4.26%500.00%
VZ146,716,496$8,619,594,0003.19%6146,716,496New
MCO24,669,778$7,160,156,0002.65%3.12%700.00%
USB131,137,998$6,109,721,0002.26%2.07%8-823,834-0.62%
DVA36,095,570$4,237,620,0001.57%1.35%900.00%
CVX48,498,965$4,095,738,0001.52%1048,498,965New
CHTR5,213,461$3,448,965,0001.28%1.42%1100.00%
BK72,357,453$3,070,849,0001.14%1.09%1200.00%
GM72,500,000$3,018,899,0001.12%1.03%13-7,500,000-9.38%
VRSN12,815,613$2,773,299,0001.03%1.15%1400.00%
ABBV25,533,082$2,735,870,0001.01%0.81%154,268,76620.07%
MRK28,697,435$2,347,450,0000.87%0.81%166,294,33328.10%
V9,987,460$2,184,557,0000.81%0.87%1700.00%
BMY33,336,016$2,067,833,0000.77%0.79%183,364,82211.23%
LSXMK43,208,291$1,879,993,0000.70%0.62%1900.00%
AMZN533,300$1,736,921,0000.64%0.73%2000.00%
6,125,376$1,723,681,0000.64%0.67%2100.00%
MA4,564,756$1,629,344,0000.60%0.67%2200.00%
WFC52,423,867$1,582,152,0000.59%1.31%23-74,956,573-58.84%
STNE14,166,748$1,188,873,0000.44%0.33%2400.00%
KR33,534,017$1,065,040,0000.39%0.37%258,555,57834.25%
STOR24,415,168$829,627,0000.31%0.29%2600.00%
RH1,732,548$775,350,0000.29%0.29%2724,2001.42%
TMUS5,242,000$706,884,0000.26%0.12%282,828,844117.23%
SYF20,128,000$698,642,0000.26%0.23%2900.00%
AXTA23,420,000$668,641,0000.25%0.23%3000.00%
LSXMA14,860,360$641,819,0000.24%0.22%3100.00%
GL6,353,727$603,350,0000.22%0.22%3200.00%
MMC4,267,825$499,336,0000.18%334,267,825New
LBTYA18,010,000$436,202,0000.16%0.17%3400.00%
TEVA42,789,295$412,916,0000.15%0.17%3500.00%
SIRI50,000,000$318,500,0000.12%0.12%3600.00%
SU13,849,207$232,390,0000.09%0.10%37-5,352,318-27.87%
LBTYK7,346,968$173,756,0000.06%0.07%3800.00%
BIIB643,022$157,450,0000.06%0.08%3900.00%
JNJ327,100$51,479,0000.02%0.02%4000.00%
PG315,400$43,885,0000.02%0.02%4100.00%
MDLZ578,000$33,796,0000.01%0.01%4200.00%
LILA2,630,792$29,280,0000.01%0.01%4300.00%
VOO43,000$14,779,0000.01%0.01%4400.00%
SPY39,400$14,731,0000.01%0.01%4500.00%
LILAK1,284,020$14,240,0000.01%0.01%46-146,177-10.22%
UPS59,400$10,003,0000.00%0.00%4700.00%
GOLD0.15%Sold All12,000,000-100%
MTB0.12%Sold All2,919,613-100%
PNC0.09%Sold All1,919,827-100%
PFE0.06%Sold All3,711,780-100%
JPM0.04%Sold All967,267-100%