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Fund Holdings of BERKSHIRE HATHAWAY INC Filed on 2009-11-16

Link to Original SEC 13F filing

Note: Before you proceed, you explicitly understand and agree that 1) All the data provided are for your information only, and is not intended for trading/investment purposes or advice. 2) All the data in this website are derived from institutional investors' quarterly filing with SEC, thus are in the public domain. 3) All the "Reported Assets/Portfolio" used here only represent the reported assets/portfolio in SEC 13F-HR, NOT necessarily the total assets under management. Contact support@fundville.com for any questions and suggestions

1. Fund Information

Fund NameFund ManagerReported Asset Last Qtr($)Reported Asset This Qtr($)Asset Change(%)
BERKSHIRE HATHAWAY INC$48,955,053,000$56,546,051,00015.51%

2. Comparison of Holdings by Sectors with Last Quarter

3. Top 20 Holdings (Value) of This Quarter

No.SecurityPut/CallStockSharesValue(x$1000)Activity(Shr)% Portfolio
1.)COCA COLA CO THEKO200,000,000$10,740,000Unchanged18.99%
2.)WELLS FARGO & CO NEWWFC313,355,657$8,830,362Added 3.55%15.62%
3.)BURLINGTN N SANTE FEBNI76,777,029$6,129,110Unchanged10.84%
4.)PROCTER GAMBLE COPG96,316,010$5,578,624Unchanged9.87%
5.)AMER EXPRESS INCAXP151,610,700$5,139,602Unchanged9.09%
6.)KRAFT FOODS INCKFT138,272,500$3,632,418Unchanged6.42%
7.)CONOCOPHILLIPSCOP57,430,168$2,593,546Cut -10.94%4.59%
8.)JOHNSON AND JOHNS DCJNJ36,914,633$2,247,733Unchanged3.98%
9.)WAL MART STORESWMT37,836,642$1,857,401Added 89.71%3.29%
10.)WESCO FINANCIAL CORPWSC5,703,087$1,856,355Unchanged3.28%
11.)US BANCORPUSB69,039,426$1,509,202Unchanged2.67%
12.)WASHINGTN POST CO BWPO1,727,765$808,732Unchanged1.43%
13.)MOODY CORPMCO39,219,312$802,427Cut -18.29%1.42%
14.)UNION PACIFICUNP9,558,000$557,709Unchanged0.99%
15.)NIKE INC CL BNKE7,641,000$494,373Unchanged0.87%
16.)M&T BANK CORPMTB6,715,060$418,482Unchanged0.74%
17.)COSTCO WHOLESALE CORPORATIONCOST5,254,000$296,221Unchanged0.52%
18.)U S G CPUSG17,072,192$293,300Unchanged0.52%
19.)INGERSOLL-RAND CO. LTD.IR7,782,600$238,673Unchanged0.42%
20.)COMCAST CORPORATIONCMCSK12,000,000$192,960Unchanged0.34%

4. Top 20 (Value) Holdings BOUGHT NEW in This Quarter

No.SecurityPut/CallStockShares NEWValue(x$1000)% Portfolio
1.)NESTLE S.A S/ADRNSRGY3,400,000$144,6970.26%
2.)REPUBLIC SVCS INCRSG3,625,000$96,3160.17%
3.)EXXON MOBIL CPXOM1,276,290$87,5670.16%
4.)THE TRAVELERS COTRV27,336$1,3460.00%

5. Top 20 (Value) Holdings Totally SOLD OUT in This Quarter

No.SecurityPut/CallStockShares SOLDValue(x$1000)% Port. Last Qtr
1.)EATON CPETN2,000,000$89,2200.18%
2.)WABCO HOLDINGSWBC2,700,000$47,7900.10%