Earnings ยท 13F ยท About ยท Subscribe

Form 13F manager

Berkshire Hathaway Inc โ€” Warren Buffett

Latest quarter 2026-06-30 ยท filed 2026-08-14 ยท reported total $299,254M ยท filing combined

As filed on Form 13F โ€” long US-listed positions only. No shorts, cash, bonds, or non-13F assets appear here.

Filed up to 45 days after quarter end; holdings may have changed since.

Combined report.

Positions

RowIssuerClassPut/callValue% of totalSH/PRN qty
1AAPL ยท APPLE INCCOMโ€”$65,950M22.0%SH 227,917,808
2AXP ยท AMERICAN EXPRESS COCOMโ€”$51,282M17.1%SH 151,610,700
3KO ยท COCA COLA COCOMโ€”$32,508M10.9%SH 400,000,000
4GOOGL ยท ALPHABET INCCAP STK CL Aโ€”$28,158M9.4%SH 78,791,167
5BAC ยท BANK OF AMER CORPCOMโ€”$27,544M9.2%SH 483,394,015
6CVX ยท CHEVRON CORPORATIONCOMโ€”$13,986M4.7%SH 84,375,856
7OCCIDENTAL PETE CORPCOMโ€”$12,868M4.3%SH 264,941,431
8CB ยท CHUBB LIMITEDCOMโ€”$11,670M3.9%SH 34,249,183
9MCO ยท MOODYS CORPCOMโ€”$11,173M3.7%SH 24,669,778
10GOOG ยท ALPHABET INCCAP STK CL Cโ€”$9,606M3.2%SH 27,188,433
11KHC ยท KRAFT HEINZ COCOMโ€”$7,691M2.6%SH 325,634,818
12DVA ยท DAVITA INCCOMโ€”$6,425M2.1%SH 28,880,209
13DAL ยท DELTA AIR LINES INCCOM NEWโ€”$5,369M1.8%SH 57,320,000
14SIRIUSXM HOLDINGS INCCOMMON STOCKโ€”$3,687M1.2%SH 124,807,117
15VERISIGN INCCOMโ€”$2,261M0.8%SH 8,989,880
16KR ยท KROGER COCOMโ€”$2,166M0.7%SH 39,000,000
17ALLY FINL INCCOMโ€”$1,241M0.4%SH 27,000,000
18LENNAR CORPCL Aโ€”$1,186M0.4%SH 13,111,741
19LIBERTY LIVE HOLDINGS INCCOM SHS SER Cโ€”$1,118M0.4%SH 10,587,143
20NEW YORK TIMES CO MTN BECL Aโ€”$1,099M0.4%SH 15,700,000
21COF ยท CAPITAL ONE FINL CORPCOMโ€”$602M0.2%SH 3,000,000
22LIBERTY LIVE HOLDINGS INCCOM SER Aโ€”$505M0.2%SH 4,986,588
23LOUISIANA PAC CORPCOMโ€”$446M0.1%SH 5,664,793
24NUE ยท NUCOR CORPCOMโ€”$414M0.1%SH 1,857,752
25MACYS INCCOMโ€”$173M<0.1%SH 7,347,426
26NVR ยท NVR INCCOMโ€”$76M<0.1%SH 11,112
27LENNAR CORPCL Bโ€”$26M<0.1%SH 298,117
28JEFFERIES FINANCIAL GROUP INCOMโ€”$22M<0.1%SH 433,558
29D R HORTON INCCOMโ€”$0.6M<0.1%SH 3,564
Filed rows (89) โ€” as filed

The filer reports some securities in multiple rows; rows are shown as filed.

RowIssuerClassPut/callValue% of totalSH/PRN qtySource
1AMERICAN EXPRESS COCOMโ€”$50,420M16.8%SH 149,061,0450001193125-26-352200
2ALPHABET INCCAP STK CL Aโ€”$23,524M7.9%SH 65,824,4670001193125-26-352200
3APPLE INCCOMโ€”$23,341M7.8%SH 80,664,8200001193125-26-352200
4COCA COLA COCOMโ€”$22,977M7.7%SH 282,722,7290001193125-26-352200
5APPLE INCCOMโ€”$17,808M6.0%SH 61,542,9880001193125-26-352200
6BANK OF AMER CORPCOMโ€”$17,596M5.9%SH 308,808,5150001193125-26-352200
7OCCIDENTAL PETE CORPCOMโ€”$12,868M4.3%SH 264,941,4310001193125-26-352200
8CHUBB LIMITEDCOMโ€”$11,670M3.9%SH 34,249,1830001193125-26-352200
9APPLE INCCOMโ€”$10,048M3.4%SH 34,724,0000001193125-26-352200
10CHEVRON CORPORATIONCOMโ€”$9,656M3.2%SH 58,251,7490001193125-26-352200
11ALPHABET INCCAP STK CL Cโ€”$9,606M3.2%SH 27,188,4330001193125-26-352200
12KRAFT HEINZ COCOMโ€”$7,691M2.6%SH 325,634,8180001193125-26-352200
13BANK OF AMER CORPCOMโ€”$7,164M2.4%SH 125,720,0000001193125-26-352200
14COCA COLA COCOMโ€”$6,525M2.2%SH 80,283,2000001193125-26-352200
15MOODYS CORPCOMโ€”$5,718M1.9%SH 12,623,7500001193125-26-352200
16MOODYS CORPCOMโ€”$5,423M1.8%SH 11,973,9280001193125-26-352200
17DELTA AIR LINES INCCOM NEWโ€”$5,369M1.8%SH 57,320,0000001193125-26-352200
18APPLE INCCOMโ€”$4,494M1.5%SH 15,532,0000001193125-26-352200
19APPLE INCCOMโ€”$4,188M1.4%SH 14,472,0000001193125-26-352200
20DAVITA INCCOMโ€”$3,331M1.1%SH 14,973,6080001193125-26-352200
21SIRIUSXM HOLDINGS INCCOMMON STOCKโ€”$3,215M1.1%SH 108,822,2270001193125-26-352200
22DAVITA INCCOMโ€”$3,094M1.0%SH 13,906,6010001193125-26-352200
23ALPHABET INCCAP STK CL Aโ€”$2,394M0.8%SH 6,700,0000001193125-26-352200
24CHEVRON CORPORATIONCOMโ€”$2,234M0.7%SH 13,477,6780001193125-26-352200
25ALPHABET INCCAP STK CL Aโ€”$2,234M0.7%SH 6,250,0000001193125-26-352200
26APPLE INCCOMโ€”$2,085M0.7%SH 7,204,0000001193125-26-352200
27VERISIGN INCCOMโ€”$2,017M0.7%SH 8,016,9330001193125-26-352200
28CHEVRON CORPORATIONCOMโ€”$1,524M0.5%SH 9,192,1710001193125-26-352200
29KROGER COCOMโ€”$1,514M0.5%SH 27,257,2600001193125-26-352200
30COCA COLA COCOMโ€”$1,218M0.4%SH 14,990,4000001193125-26-352200
31BANK OF AMER CORPCOMโ€”$1,197M0.4%SH 21,000,0000001193125-26-352200
32COCA COLA COCOMโ€”$1,171M0.4%SH 14,411,2000001193125-26-352200
33LENNAR CORPCL Aโ€”$1,119M0.4%SH 12,366,3490001193125-26-352200
34APPLE INCCOMโ€”$1,111M0.4%SH 3,840,0000001193125-26-352200
35APPLE INCCOMโ€”$1,093M0.4%SH 3,776,0000001193125-26-352200
36NEW YORK TIMES CO MTN BECL Aโ€”$1,001M0.3%SH 14,300,0000001193125-26-352200
37APPLE INCCOMโ€”$788M0.3%SH 2,724,0000001193125-26-352200
38APPLE INCCOMโ€”$785M0.3%SH 2,712,0000001193125-26-352200
39BANK OF AMER CORPCOMโ€”$678M0.2%SH 11,900,0000001193125-26-352200
40LIBERTY LIVE HOLDINGS INCCOM SHS SER Cโ€”$582M0.2%SH 5,507,5830001193125-26-352200
41ALLY FINL INCCOMโ€”$577M0.2%SH 12,561,7370001193125-26-352200
42CHEVRON CORPORATIONCOMโ€”$573M0.2%SH 3,454,2580001193125-26-352200
43BANK OF AMER CORPCOMโ€”$558M0.2%SH 9,800,0000001193125-26-352200
44AMERICAN EXPRESS COCOMโ€”$473M0.2%SH 1,399,7130001193125-26-352200
45SIRIUSXM HOLDINGS INCCOMMON STOCKโ€”$472M0.2%SH 15,984,8900001193125-26-352200
46NUCOR CORPCOMโ€”$414M0.1%SH 1,857,7520001193125-26-352200
47AMERICAN EXPRESS COCOMโ€”$389M0.1%SH 1,149,9420001193125-26-352200
48CAPITAL ONE FINL CORPCOMโ€”$374M0.1%SH 1,861,8880001193125-26-352200
49LIBERTY LIVE HOLDINGS INCCOM SHS SER Cโ€”$368M0.1%SH 3,479,6510001193125-26-352200
50LOUISIANA PAC CORPCOMโ€”$342M0.1%SH 4,344,9090001193125-26-352200
51LIBERTY LIVE HOLDINGS INCCOM SER Aโ€”$333M0.1%SH 3,284,7750001193125-26-352200
52KROGER COCOMโ€”$311M0.1%SH 5,607,0900001193125-26-352200
53KROGER COCOMโ€”$298M<0.1%SH 5,367,1190001193125-26-352200
54COCA COLA COCOMโ€”$289M<0.1%SH 3,552,0000001193125-26-352200
55VERISIGN INCCOMโ€”$245M<0.1%SH 972,9470001193125-26-352200
56CAPITAL ONE FINL CORPCOMโ€”$228M<0.1%SH 1,138,1120001193125-26-352200
57BANK OF AMER CORPCOMโ€”$223M<0.1%SH 3,920,0000001193125-26-352200
58ALLY FINL INCCOMโ€”$203M<0.1%SH 4,423,6080001193125-26-352200
59APPLE INCCOMโ€”$200M<0.1%SH 692,0000001193125-26-352200
60ALLY FINL INCCOMโ€”$194M<0.1%SH 4,228,2000001193125-26-352200
61LIBERTY LIVE HOLDINGS INCCOM SHS SER Cโ€”$152M<0.1%SH 1,437,2890001193125-26-352200
62COCA COLA COCOMโ€”$148M<0.1%SH 1,824,0000001193125-26-352200
63MACYS INCCOMโ€”$130M<0.1%SH 5,527,4010001193125-26-352200
64ALLY FINL INCCOMโ€”$129M<0.1%SH 2,803,8750001193125-26-352200
65BANK OF AMER CORPCOMโ€”$120M<0.1%SH 2,100,0000001193125-26-352200
66LOUISIANA PAC CORPCOMโ€”$104M<0.1%SH 1,319,8840001193125-26-352200
67LIBERTY LIVE HOLDINGS INCCOM SER Aโ€”$102M<0.1%SH 1,011,6980001193125-26-352200
68NEW YORK TIMES CO MTN BECL Aโ€”$98M<0.1%SH 1,400,0000001193125-26-352200
69ALLY FINL INCCOMโ€”$78M<0.1%SH 1,707,5800001193125-26-352200
70COCA COLA COCOMโ€”$78M<0.1%SH 960,0000001193125-26-352200
71NVR INCCOMโ€”$76M<0.1%SH 11,1120001193125-26-352200
72LENNAR CORPCL Aโ€”$67M<0.1%SH 745,3920001193125-26-352200
73COCA COLA COCOMโ€”$65M<0.1%SH 800,0000001193125-26-352200
74ALLY FINL INCCOMโ€”$59M<0.1%SH 1,275,0000001193125-26-352200
75LIBERTY LIVE HOLDINGS INCCOM SER Aโ€”$46M<0.1%SH 456,7680001193125-26-352200
76KROGER COCOMโ€”$43M<0.1%SH 768,5310001193125-26-352200
77MOODYS CORPCOMโ€”$33M<0.1%SH 72,1000001193125-26-352200
78MACYS INCCOMโ€”$32M<0.1%SH 1,376,2260001193125-26-352200
79COCA COLA COCOMโ€”$30M<0.1%SH 371,4710001193125-26-352200
80LENNAR CORPCL Bโ€”$26M<0.1%SH 298,1170001193125-26-352200
81LIBERTY LIVE HOLDINGS INCCOM SER Aโ€”$24M<0.1%SH 233,3470001193125-26-352200
82JEFFERIES FINANCIAL GROUP INCOMโ€”$22M<0.1%SH 433,5580001193125-26-352200
83LIBERTY LIVE HOLDINGS INCCOM SHS SER Cโ€”$17M<0.1%SH 162,6200001193125-26-352200
84MACYS INCCOMโ€”$10M<0.1%SH 443,7990001193125-26-352200
85APPLE INCCOMโ€”$9.8M<0.1%SH 34,0000001193125-26-352200
86BANK OF AMER CORPCOMโ€”$8.3M<0.1%SH 145,5000001193125-26-352200
87COCA COLA COCOMโ€”$6.9M<0.1%SH 85,0000001193125-26-352200
88ALPHABET INCCAP STK CL Aโ€”$6.0M<0.1%SH 16,7000001193125-26-352200
89D R HORTON INCCOMโ€”$0.6M<0.1%SH 3,5640001193125-26-352200

Quarter-to-quarter changes

โ€”

Changes appear only where the prior quarter's validated report exists.

Filing details

CIK set: 0001067983

Filing history

2026-06-3013F-HR
2026-03-3113F-HRNot validated by us โ€” excluded from every total
2025-12-3113F-HR
2025-09-3013F-HRNot validated by us โ€” excluded from every total
2025-06-3013F-HRNot validated by us โ€” excluded from every total
2025-03-3113F-HR / 13F-HR/ANot validated by us โ€” excluded from every total / Not validated by us โ€” excluded from every total
2024-12-3113F-HR
2024-09-3013F-HR