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Buffett

Berkshire Hathaway Inc

CIK: 0001067983 | AUM: ~$364B

Latest 13F: Q1 2026 Filed May 15, 2026

Warren Buffett's Berkshire Hathaway — legendary value investor

13F filings have a ~45-day lag. Positions may have changed since the filing date.
Positions 29
New Buys 3
Sold 16
Increased 4
Decreased 6
Total Value $263.1B

Sector Allocation

Latest Trades (Quarter-over-Quarter Changes)

ACTION SYMBOL NAME SHARES CHG VALUE WEIGHT %
DECREASED CVX CHEVRON CORPORATION -45,780,506
avg ~$206.90 · ~$9.5B
$17.5B 6.6%
NEW DAL DELTA AIR LINES INC +39,809,456
avg ~$66.48 · ~$2.6B
$2.6B 1.0%
INCREASED GOOGL ALPHABET INC +36,403,656
avg ~$287.56 · ~$10.5B
$15.6B 5.9%
DECREASED STZ CONSTELLATION BRANDS INC -12,367,110
avg ~$150.00 · ~$1.9B
$94.9M 0.0%
INCREASED NYT NEW YORK TIMES CO MTN BE +10,080,791
avg ~$83.73 · ~$844.1M
$1.3B 0.5%
SOLD V -8,297,460 -- --
SOLD UNH -5,039,564 -- --
SOLD MA -3,986,648 -- --
DECREASED BAC BANK AMERICA CORP -3,671,769
avg ~$48.75 · ~$179.0M
$25.0B 9.5%
SOLD AON -3,602,995 -- --
NEW GOOG ALPHABET INC +3,585,215
avg ~$286.86 · ~$1.0B
$1.0B 0.4%
SOLD DPZ -3,350,000 -- --
SOLD POOL -3,068,885 -- --
INCREASED LEN LENNAR CORP +3,048,692
avg ~$86.84 · ~$264.7M
$877.1M 0.3%
NEW M MACYS INC +3,038,355
avg ~$18.09 · ~$55.0M
$55.0M 0.0%
SOLD FWONK -3,018,555 -- --
DECREASED NUE NUCOR CORP -2,500,674
avg ~$169.10 · ~$422.9M
$660.7M 0.3%
SOLD LILA -2,396,665 -- --
SOLD AMZN -2,276,000 -- --
DECREASED DVA DAVITA INC -1,658,480
avg ~$153.69 · ~$254.9M
$4.6B 1.8%
SOLD HEI-A -1,294,612 -- --
SOLD LILAK -1,284,020 -- --
SOLD LAMR -1,202,410 -- --
SOLD CHTR -1,060,882 -- --
SOLD ALLE -780,133 -- --

Full Holdings (29 positions)

SYMBOL NAME SHARES VALUE WEIGHT % ACTION
AAPL APPLE INC 227,917,808
$253.79/sh
cost $170.21 (+49.1%)
$57.8B 22.0% UNCHANGED
AXP AMERICAN EXPRESS CO 151,610,700
$302.48/sh
cost $133.18 (+127.1%)
$45.9B 17.4% UNCHANGED
KO COCA COLA CO 400,000,000
$76.05/sh
cost $51.02 (+49.1%)
$30.4B 11.6% UNCHANGED
BAC BANK AMERICA CORP 513,624,165
$48.75/sh
cost $33.33 (+46.3%)
$25.0B 9.5% DECREASED
CVX CHEVRON CORPORATION 84,375,856
$206.90/sh
cost $150.38 (+37.6%)
$17.5B 6.6% DECREASED
OXY OCCIDENTAL PETE CORP 264,941,431
$65.00/sh
cost $56.00 (+16.1%)
$17.2B 6.5% UNCHANGED
GOOGL ALPHABET INC 54,249,798
$287.56/sh
cost $272.93 (+5.4%)
$15.6B 5.9% INCREASED
CB CHUBB LTD SWITZ 34,249,183
$325.93/sh
cost $272.23 (+19.7%)
$11.2B 4.2% UNCHANGED
MCO MOODYS CORP 24,669,778
$436.25/sh
cost $230.31 (+89.4%)
$10.8B 4.1% UNCHANGED
KHC KRAFT HEINZ CO 325,634,818
$22.49/sh
cost $47.67 (-52.8%)
$7.3B 2.8% UNCHANGED
DVA DAVITA INC 30,100,585
$153.69/sh
cost $87.78 (+75.1%)
$4.6B 1.8% DECREASED
KR KROGER CO 50,000,000
$72.36/sh
cost $48.83 (+48.2%)
$3.6B 1.4% UNCHANGED
SIRI SIRIUSXM HOLDINGS INC 124,807,117
$23.08/sh
cost $8.91 (+159.0%)
$2.9B 1.1% UNCHANGED
DAL DELTA AIR LINES INC 39,809,456
$66.48/sh
cost $51.80 (+28.3%)
$2.6B 1.0% NEW
VRSN VERISIGN INC 8,989,880
$248.36/sh
cost $152.63 (+62.7%)
$2.2B 0.8% UNCHANGED
COF CAPITAL ONE FINL CORP 7,150,000
$182.43/sh
cost $143.03 (+27.5%)
$1.3B 0.5% UNCHANGED
NYT NEW YORK TIMES CO MTN BE 15,146,535
$83.73/sh
cost $78.94 (+6.1%)
$1.3B 0.5% INCREASED
ALLY ALLY FINL INC 29,000,000
$39.23/sh
cost $33.50 (+17.1%)
$1.1B 0.4% UNCHANGED
GOOG ALPHABET INC 3,585,215
$286.86/sh
cost $286.86 (+0.0%)
$1.0B 0.4% NEW
LLYVK LIBERTY LIVE HOLDINGS INC 10,587,143
$94.11/sh
cost $57.34 (+64.1%)
$996.4M 0.4% DECREASED
LEN LENNAR CORP 10,099,642
$86.84/sh
cost $112.94 (-23.1%)
$877.1M 0.3% INCREASED
NUE NUCOR CORP 3,907,075
$169.10/sh
cost $128.73 (+31.4%)
$660.7M 0.3% DECREASED
LLYVA LIBERTY LIVE HOLDINGS INC 4,986,588
$91.64/sh
cost $56.07 (+63.4%)
$457.0M 0.2% UNCHANGED
LPX LOUISIANA PAC CORP 5,664,793
$72.75/sh
cost $76.59 (-5.0%)
$412.1M 0.2% UNCHANGED
STZ CONSTELLATION BRANDS INC 632,890
$150.00/sh
cost $167.25 (-10.3%)
$94.9M 0.0% DECREASED