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Berkshire Hathaway (Warren Buffett) 13F holdings — 2026-06-30
Filed by BERKSHIRE HATHAWAY INC on 2026-08-14 for the quarter ending 2026-06-30, compared with the quarter ending 2026-03-31. Original filing.
29positions
$299.3Breported value
1new positions
1positions sold out
Holdings
| Issuer | Shares | Value | % of 13F | Change |
|---|---|---|---|---|
| APPLE INC | 227,917,808 | $66.0B | 22.04% | No change |
| AMERICAN EXPRESS CO | 151,610,700 | $51.3B | 17.14% | No change |
| COCA COLA CO | 400,000,000 | $32.5B | 10.86% | No change |
| ALPHABET INC | 78,791,167 | $28.2B | 9.41% | Added 45% |
| BANK OF AMER CORP | 483,394,015 | $27.5B | 9.2% | Reduced 6% |
| CHEVRON CORPORATION | 84,375,856 | $14.0B | 4.67% | No change |
| OCCIDENTAL PETE CORP | 264,941,431 | $12.9B | 4.3% | No change |
| CHUBB LIMITED | 34,249,183 | $11.7B | 3.9% | No change |
| MOODYS CORP | 24,669,778 | $11.2B | 3.73% | No change |
| ALPHABET INC | 27,188,433 | $9.6B | 3.21% | Added 658% |
| KRAFT HEINZ CO | 325,634,818 | $7.7B | 2.57% | No change |
| DAVITA INC | 28,880,209 | $6.4B | 2.15% | Reduced 4% |
| DELTA AIR LINES INC | 57,320,000 | $5.4B | 1.79% | Added 44% |
| SIRIUSXM HOLDINGS INC | 124,807,117 | $3.7B | 1.23% | No change |
| VERISIGN INC | 8,989,880 | $2.3B | 0.76% | No change |
| KROGER CO | 39,000,000 | $2.2B | 0.72% | Reduced 22% |
| ALLY FINL INC | 27,000,000 | $1.2B | 0.41% | Reduced 7% |
| LENNAR CORP | 13,111,741 | $1.2B | 0.4% | Added 30% |
| LIBERTY LIVE HOLDINGS INC | 10,587,143 | $1.1B | 0.37% | No change |
| NEW YORK TIMES CO MTN BE | 15,700,000 | $1.1B | 0.37% | Added 4% |
| CAPITAL ONE FINL CORP | 3,000,000 | $601.9M | 0.2% | Reduced 58% |
| LIBERTY LIVE HOLDINGS INC | 4,986,588 | $504.9M | 0.17% | No change |
| LOUISIANA PAC CORP | 5,664,793 | $445.6M | 0.15% | No change |
| NUCOR CORP | 1,857,752 | $413.8M | 0.14% | Reduced 52% |
| MACYS INC | 7,347,426 | $173.0M | 0.06% | Added 142% |
| NVR INC | 11,112 | $75.7M | 0.03% | No change |
| LENNAR CORP | 298,117 | $26.4M | 0.01% | Added 25% |
| JEFFERIES FINANCIAL GROUP IN | 433,558 | $21.7M | 0.01% | No change |
| D R HORTON INC | 3,564 | $580.5K | 0.0% | New position |
Sold out since prior quarter
| Issuer | Shares in prior quarter | Prior value |
|---|---|---|
| CONSTELLATION BRANDS INC | 632,890 | $94.9M |