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Fund Holdings of BERKSHIRE HATHAWAY INC Filed on 2012-02-14
Link to Original SEC 13F filings sorted on filing date:
2012-02-14 |
2011-11-14 |
2011-08-15 |
2011-05-16 |
2011-02-14 |
2010-11-15 |
2010-08-16 |
2010-05-17 |
2010-02-16 |
2009-11-16 |
2009-08-14 |
2009-05-15 |
2009-02-17 |
2008-11-14 |
2008-08-14 |
2008-05-15 |
1. Fund Information
| Fund Name | BERKSHIRE HATHAWAY INC |  |
| Fund Manager | |
| Address | 3555 FARNAM STREET, OMAHA, NE, 68131 ::Google Map |
| Phone | (402) 346-1400 |
| 13F Asset Last Qtr | $59,127,860,000 |
| 13F Asset This Qtr | $66,151,587,000 |
| Asset Change | 11.88% |
2. Comparison of Holdings by Sectors with Last Quarter
3. Top 20 Holdings (Value) of This Quarter
| No. | Security | Put/Call | Stock | Shares | Value(x$1000) | Activity(Shr) | % Port. |
|---|
| 1.) | COCA-COLA CO (THE) | | KO | 200,000,000 | $13,994,002 | Unchanged | 21.15% |
| 2.) | INTERNATIONAL BUSINESS MACHINES CORP. | | IBM | 63,905,931 | $11,751,023 | Added 11.43% | 17.76% |
| 3.) | WELLS FARGO & CO. | | WFC | 383,703,628 | $10,574,872 | Added 6.18% | 15.99% |
| 4.) | AMERICAN EXPRESS CO. | | AXP | 151,610,700 | $7,151,476 | Unchanged | 10.81% |
| 5.) | PROCTER & GAMBLE CO. | | PG | 76,766,036 | $5,121,062 | Unchanged | 7.74% |
| 6.) | KRAFT FOODS, INC. | | KFT | 87,034,713 | $3,251,616 | Cut -3.02% | 4.92% |
| 7.) | WAL-MART STORES, INC. | | WMT | 39,037,142 | $2,332,860 | Unchanged | 3.53% |
| 8.) | CONOCOPHILLIPS | | COP | 29,100,937 | $2,120,585 | Unchanged | 3.21% |
| 9.) | JOHNSON & JOHNSON | | JNJ | 29,018,127 | $1,903,009 | Cut -22.51% | 2.88% |
| 10.) | U.S. BANCORP (DE) | | USB | 69,039,426 | $1,867,516 | Unchanged | 2.82% |
| 11.) | MOODY CORP. | | MCO | 28,415,250 | $957,025 | Unchanged | 1.45% |
| 12.) | DIRECTV - CMN STK | | DTV | 20,348,400 | $870,098 | Added 378.85% | 1.32% |
| 13.) | WASHINGTON POST CO. | | WPO | 1,727,765 | $651,039 | Unchanged | 0.98% |
| 14.) | M & T BANK CORP | | MTB | 5,382,040 | $410,865 | Unchanged | 0.62% |
| 15.) | COSTCO WHOLESALE CORPORATION | | COST | 4,333,363 | $361,056 | Unchanged | 0.55% |
| 16.) | VISA INC. VISA INC. | | V | 2,865,008 | $290,884 | Added 25.02% | 0.44% |
| 17.) | CVS CAREMARK CORPORATION | | CVS | 7,106,500 | $289,803 | Added 25.53% | 0.44% |
| 18.) | INTEL CORPORATION | | INTC | 11,495,000 | $278,754 | Added 23.17% | 0.42% |
| 19.) | GENERAL DYNAMICS CORP. | | GD | 3,877,122 | $257,480 | Added 26.52% | 0.39% |
| 20.) | DAVITA INC. | | DVA | 2,684,500 | $203,512 | New | 0.31% |
4. Top 20 (Value) Holdings BOUGHT NEW in This Quarter
| No. | Security | Put/Call | Stock | Shares NEW | Value(x$1000) | % Port. |
|---|
| 1.) | DAVITA INC. | | DVA | 2,684,500 | $203,512 | 0.31% |
| 2.) | LIBERTY MEDIA CORPORATION | | LMCA | 1,701,400 | $132,794 | 0.20% |
5. Top 20 (Value) Holdings Totally SOLD OUT in This Quarter
| No. | Security | Put/Call | Stock | Shares SOLD | Value(x$1000) | % Port. Last Qtr |
|---|
| 1.) | EXXON MOBIL CORP. | | XOM | 421,800 | $30,635 | 0.05% |