13F Filings/BERKSHIRE HATHAWAY INC (BRK-A, BRK-B)

BERKSHIRE HATHAWAY INC (BRK-A, BRK-B)

Institutional ManagerCIK0001067983LocationOMAHA, NE 68131, United States

Long U.S. equity positions disclosed to the SEC on Form 13F-HR.

Latest filingQ1 2026Quarter ended31 Mar 2026Filed15 May 2026
Portfolio Turnover
7%
Of book traded, QoQ
Positions
90
Long U.S. equities
Top 10 Concentration
68%
Of reported value
QoQ Change
$-11.1B
Value change
Assets under management
Form ADV RAUM · client mix · 13F over time
13F AUM over time
$263.1B
Q1 ’26 · 13F AUM
104%
39 quarters
Sector Breakdown
Latest filing
Financials32.0% · $84.1B
Information Technology22.8% · $60.1B
Consumer Staples15.8% · $41.5B
Energy13.2% · $34.7B
Communication Services8.4% · $22.2B
Unclassified4.2% · $11.2B
Health Care1.8% · $4.6B
Other1.8% · $4.7B
Reported Holdings
Q1 2026 · sign up free for past quarters
★ Position spotlightAXPAMERICAN EXPRESS CO · 17.1% of book
🔒
See how this position changed across every quarter
Multi-quarter 13F position history — shares held, buys & sells, and price over time — is a Pro feature. The latest snapshot below stays free.
SecuritySharesMarket ValueEst. CostLast PxEst. Return% PortfolioΔ SharesAction
AMERICAN EXPRESS CO
AXP· Financials
149.06MSH$45.1B~$302.48$340.3612.5%17.1% 10549.4%Added
COCA COLA CO
KO· Consumer Staples
282.72MSH$21.5B~$76.05$82.638.7%8.2% 29350.3%Added
APPLE INC
AAPL· Information Technology
80.66MSH$20.5B~$253.79$283.7811.8%7.8% 2036.3%Added
OCCIDENTAL PETE CORP
OXY· Energy
264.94MSH$17.2B~$65.00$49.9923.1%6.5%Unchanged
APPLE INC
AAPL· Information Technology
61.54MSH$15.6B~$253.79$283.7811.8%5.9% 1529.8%Added
BANK AMERICA CORP
BAC· Financials
310.80MSH$15.2B~$48.75$57.8818.7%5.8% 3071.4%Added
CHEVRON CORPORATION
CVX· Energy
58.25MSH$12.1B~$206.90$171.0617.3%4.6% 2905.8%Added
ALPHABET INC
GOOGL· Communication Services
41.28MSH$11.9B~$287.56$337.3917.3%4.5% 131.3%Added
CHUBB LTD SWITZ
34.25MSH$11.2B~$325.934.2%Unchanged
APPLE INC
AAPL· Information Technology
34.72MSH$8.8B~$253.79$283.7811.8%3.3% 819.6%Added
KRAFT HEINZ CO
KHC· Consumer Staples
325.63MSH$7.3B~$22.49$23.705.4%2.8%Unchanged
BANK AMERICA CORP
BAC· Financials
125.72MSH$6.1B~$48.75$57.8818.7%2.3% 1182.9%Added
COCA COLA CO
KO· Consumer Staples
80.28MSH$6.1B~$76.05$82.638.7%2.3% 8262.8%Added
MOODYS CORP
MCO· Financials
12.62MSH$5.5B~$436.25$450.013.2%2.1%Unchanged
MOODYS CORP
MCO· Financials
11.97MSH$5.2B~$436.25$450.013.2%2.0% 5.1%Reduced
APPLE INC
AAPL· Information Technology
15.53MSH$3.9B~$253.79$283.7811.8%1.5% 311.3%Added
APPLE INC
AAPL· Information Technology
14.47MSH$3.7B~$253.79$283.7811.8%1.4% 283.3%Added
CHEVRON CORPORATION
CVX· Energy
13.48MSH$2.8B~$206.90$171.0617.3%1.1% 595.4%Added
DELTA AIR LINES INC
DAL· Industrials
39.81MSH$2.6B~$66.48$92.5739.2%1.0%NewNew
SIRIUSXM HOLDINGS INC
SIRI· Communication Services
108.82MSH$2.5B~$23.08$28.3522.8%1.0%Unchanged
AXPAMERICAN EXPRESS COAdded
$45.1B· 17.1%· 149.06M SH· 10549.4%· cost $302.48· last $340.36· 12.5%
Financials · COM · DFND
KOCOCA COLA COAdded
$21.5B· 8.2%· 282.72M SH· 29350.3%· cost $76.05· last $82.63· 8.7%
Consumer Staples · COM · DFND
AAPLAPPLE INCAdded
$20.5B· 7.8%· 80.66M SH· 2036.3%· cost $253.79· last $283.78· 11.8%
Information Technology · COM · DFND
OXYOCCIDENTAL PETE CORPUnchanged
$17.2B· 6.5%· 264.94M SH· · cost $65.00· last $49.99· 23.1%
Energy · COM · DFND
AAPLAPPLE INCAdded
$15.6B· 5.9%· 61.54M SH· 1529.8%· cost $253.79· last $283.78· 11.8%
Information Technology · COM · DFND
BACBANK AMERICA CORPAdded
$15.2B· 5.8%· 310.80M SH· 3071.4%· cost $48.75· last $57.88· 18.7%
Financials · COM · DFND
CVXCHEVRON CORPORATIONAdded
$12.1B· 4.6%· 58.25M SH· 2905.8%· cost $206.90· last $171.06· 17.3%
Energy · COM · DFND
GOOGLALPHABET INCAdded
$11.9B· 4.5%· 41.28M SH· 131.3%· cost $287.56· last $337.39· 17.3%
Communication Services · CAP STK CL A · DFND
CHUBB LTD SWITZUnchanged
$11.2B· 4.2%· 34.25M SH· · cost $325.93
COM · DFND
AAPLAPPLE INCAdded
$8.8B· 3.3%· 34.72M SH· 819.6%· cost $253.79· last $283.78· 11.8%
Information Technology · COM · DFND
KHCKRAFT HEINZ COUnchanged
$7.3B· 2.8%· 325.63M SH· · cost $22.49· last $23.70· 5.4%
Consumer Staples · COM · DFND
BACBANK AMERICA CORPAdded
$6.1B· 2.3%· 125.72M SH· 1182.9%· cost $48.75· last $57.88· 18.7%
Financials · COM · DFND
KOCOCA COLA COAdded
$6.1B· 2.3%· 80.28M SH· 8262.8%· cost $76.05· last $82.63· 8.7%
Consumer Staples · COM · DFND
MCOMOODYS CORPUnchanged
$5.5B· 2.1%· 12.62M SH· · cost $436.25· last $450.01· 3.2%
Financials · COM · DFND
MCOMOODYS CORPReduced
$5.2B· 2.0%· 11.97M SH· 5.1%· cost $436.25· last $450.01· 3.2%
Financials · COM · DFND
AAPLAPPLE INCAdded
$3.9B· 1.5%· 15.53M SH· 311.3%· cost $253.79· last $283.78· 11.8%
Information Technology · COM · DFND
AAPLAPPLE INCAdded
$3.7B· 1.4%· 14.47M SH· 283.3%· cost $253.79· last $283.78· 11.8%
Information Technology · COM · DFND
CVXCHEVRON CORPORATIONAdded
$2.8B· 1.1%· 13.48M SH· 595.4%· cost $206.90· last $171.06· 17.3%
Energy · COM · DFND
DALDELTA AIR LINES INCNew
$2.6B· 1.0%· 39.81M SH· New· cost $66.48· last $92.57· 39.2%
Industrials · COM NEW · DFND
SIRISIRIUSXM HOLDINGS INCUnchanged
$2.5B· 1.0%· 108.82M SH· · cost $23.08· last $28.35· 22.8%
Communication Services · COMMON STOCK · DFND
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