Berkshire Hathaway
CIK 0001067983 · SEC 13F-HR filings · 50 holdings · Q1 2026
| Issuer | Ticker | Shares | Value (USD) ↓ | Δ Shares | Δ Value | Type |
|---|---|---|---|---|---|---|
| AXP | 149,061,045 | $45.1B | 0 | $-10.1B | Shares | |
| KO | 282,722,729 | $21.5B | +268.3M | $20.5B | Shares | |
| AAPL | 80,664,820 | $20.5B | +78.0M | $19.7B | Shares | |
| OXY | 264,941,431 | $17.2B | 0 | $6.3B | Shares | |
| AAPL | 61,542,988 | $15.6B | +58.8M | $14.9B | Shares | |
| BAC | 310,800,000 | $15.2B | +301.0M | $14.6B | Shares | |
| CVX | 58,251,749 | $12.1B | +46.7M | $10.3B | Shares | |
| GOOGL | 41,283,098 | $11.9B | +23.4M | $6.3B | Shares | |
| CB | 34,249,183 | $11.2B | 0 | $473M | Shares | |
| AAPL | 34,724,000 | $8.8B | +32.0M | $8.1B | Shares | |
| KHC | 325,634,818 | $7.3B | 0 | $-573M | Shares | |
| BAC | 125,720,000 | $6.1B | +115.9M | $5.6B | Shares | |
| KO | 80,283,200 | $6.1B | +65.9M | $5.1B | Shares | |
| MCO | 12,623,750 | $5.5B | +650K | $-610M | Shares | |
| MCO | 11,973,928 | $5.2B | 0 | $-893M | Shares | |
| AAPL | 15,532,000 | $3.9B | +12.8M | $3.2B | Shares | |
| AAPL | 14,472,000 | $3.7B | +11.8M | $2.9B | Shares | |
| CVX | 13,477,678 | $2.8B | +1.9M | $1.0B | Shares | |
| DAL | 39,809,456 | $2.6B | New | $2.6B | NEW POSITIONShares | |
| SIRI | 108,822,227 | $2.5B | 0 | $336M | Shares | |
| DVA | 15,126,977 | $2.3B | 0 | $606M | Shares | |
| DVA | 14,973,608 | $2.3B | -153K | $583M | Shares | |
| VRSN | 8,016,933 | $2.0B | 0 | $43M | Shares | |
| KR | 27,257,260 | $2.0B | +10.7M | $935M | Shares | |
| GOOGL | 6,700,000 | $1.9B | -11.1M | $-3.7B | Shares | |
| CVX | 9,192,171 | $1.9B | -2.4M | $142M | Shares | |
| AAPL | 7,204,000 | $1.8B | +4.5M | $1.1B | Shares | |
| GOOGL | 6,250,000 | $1.8B | -11.6M | $-3.8B | Shares | |
| BAC | 28,238,665 | $1.4B | +18.4M | $838M | Shares | |
| KR | 16,107,090 | $1.2B | -500K | $128M | Shares | |
| NYT | 13,746,535 | $1.2B | New | $1.2B | NEW POSITIONShares | |
| KO | 14,990,400 | $1.1B | +579K | $133M | Shares | |
| KO | 14,411,200 | $1.1B | 0 | $88M | Shares | |
| GOOG | 3,585,215 | $1.0B | New | $1.0B | NEW POSITIONShares | |
| BAC | 21,000,000 | $1.0B | +11.2M | $485M | Shares | |
| AAPL | 3,840,000 | $975M | +1.1M | $237M | Shares | |
| AAPL | 3,776,000 | $958M | +1.1M | $221M | Shares | |
| LEN | 10,099,642 | $877M | +3.0M | $152M | Shares | |
| CVX | 3,454,258 | $715M | -8.1M | $-1.0B | Shares | |
| AAPL | 2,724,000 | $691M | +12K | $-46M | Shares | |
| AAPL | 2,712,000 | $688M | 0 | $-49M | Shares | |
| NUE | 3,907,075 | $661M | -2.5M | $-384M | Shares | |
| BAC | 11,900,000 | $580M | +2.1M | $41M | Shares | |
| COF | 3,073,787 | $561M | 0 | $-184M | Shares | |
| LLYVK | 5,507,583 | $518M | New | $518M | NEW POSITIONShares | |
| ALLY | 12,719,675 | $499M | 0 | $-77M | Shares | |
| BAC | 9,800,000 | $478M | 0 | $-61M | Shares | |
| AXP | 1,399,713 | $423M | -147.7M | $-54.7B | Shares | |
| COF | 2,137,000 | $390M | -937K | $-355M | Shares | |
| KR | 5,367,119 | $388M | -11.2M | $-649M | Shares |