Public portfolios
Filing-based profile

Warren Buffett / Berkshire Hathaway

Berkshire Hathaway Inc

Berkshire Hathaway reported public-equity holdings from SEC filings.

Delayed and partial public data. 13F filings do not show a manager's full portfolio, shorts, cash, exact cost basis, current positions, or intent. ClearFlow is not affiliated with or endorsed by this manager, and this page is not investment advice.
$263.1B
Reported value
29
Reported holdings
March 31, 2026
Report period
May 15, 2026
Filed
91%
Top 10 concentration
Latest SEC filing SEC company page

Top reported holdings

Sorted by reported value in the latest filing.

CIK 0001067983
IssuerClassCUSIPReported valueQuantity
APPLE INCCOM037833100$57.8B227,917,808 SH
AMERICAN EXPRESS COCOM025816109$45.9B151,610,700 SH
COCA COLA COCOM191216100$30.4B400,000,000 SH
BANK AMERICA CORPCOM060505104$25.0B513,624,165 SH
CHEVRON CORPORATIONCOM166764100$17.5B84,375,856 SH
OCCIDENTAL PETE CORPCOM674599105$17.2B264,941,431 SH
ALPHABET INCCAP STK CL A02079K305$15.6B54,249,798 SH
CHUBB LTD SWITZCOMH1467J104$11.2B34,249,183 SH
MOODYS CORPCOM615369105$10.8B24,669,778 SH
KRAFT HEINZ COCOM500754106$7.3B325,634,818 SH
DAVITA INCCOM23918K108$4.6B30,100,585 SH
KROGER COCOM501044101$3.6B50,000,000 SH
SIRIUSXM HOLDINGS INCCOMMON STOCK829933100$2.9B124,807,117 SH
DELTA AIR LINES INCCOM NEW247361702$2.6B39,809,456 SH
VERISIGN INCCOM92343E102$2.2B8,989,880 SH
CAPITAL ONE FINL CORPCOM14040H105$1.3B7,150,000 SH
NEW YORK TIMES CO MTN BECL A650111107$1.3B15,146,535 SH
ALLY FINL INCCOM02005N100$1.1B29,000,000 SH
ALPHABET INCCAP STK CL C02079K107$1.0B3,585,215 SH
LIBERTY LIVE HOLDINGS INCCOM SHS SER C530909308$996.4M10,587,143 SH
LENNAR CORPCL A526057104$877.1M10,099,642 SH
NUCOR CORPCOM670346105$660.7M3,907,075 SH
LIBERTY LIVE HOLDINGS INCCOM SER A530909100$457.0M4,986,588 SH
LOUISIANA PAC CORPCOM546347105$412.1M5,664,793 SH
CONSTELLATION BRANDS INCCL A21036P108$94.9M632,890 SH

Changes from prior filing

Compared with December 31, 2025 filed February 17, 2026.

IssuerChangePreviousCurrentValue change
AMERICAN EXPRESS COreduced$56.1B$45.9B-18.2%
ALPHABET INCincreased$5.6B$15.6B+179.3%
OCCIDENTAL PETE CORPincreased$10.9B$17.2B+58.1%
APPLE INCreduced$62.0B$57.8B-6.6%
BANK AMERICA CORPreduced$28.5B$25.0B-12.0%
VISA INCexited$2.9B---100.0%
DELTA AIR LINES INCnew--$2.6BNew
COCA COLA COincreased$28.0B$30.4B+8.8%
CHEVRON CORPORATIONreduced$19.8B$17.5B-12.0%
MASTERCARD INCORPORATEDexited$2.3B---100.0%
MOODYS CORPreduced$12.6B$10.8B-14.6%
CONSTELLATION BRANDS INCreduced$1.8B$94.9M-94.7%
UNITEDHEALTH GROUP INCexited$1.7B---100.0%
DOMINOS PIZZA INCexited$1.4B---100.0%
AON PLCexited$1.3B---100.0%
ALPHABET INCnew--$1.0BNew
DAVITA INCincreased$3.6B$4.6B+28.2%
NEW YORK TIMES CO MTN BEincreased$351.7M$1.3B+260.6%
POOL CORPexited$702.0M---100.0%
KRAFT HEINZ COreduced$7.9B$7.3B-7.3%
AMAZON COM INCexited$525.3M---100.0%
KROGER COincreased$3.1B$3.6B+15.8%
CHUBB LTD SWITZincreased$10.7B$11.2B+4.4%
CAPITAL ONE FINL CORPreduced$1.7B$1.3B-24.7%
SIRIUSXM HOLDINGS INCincreased$2.5B$2.9B+15.4%