Top Funds / Berkshire Hathaway Inc


Warren Buffett

2021Q1 Portfolio

SEC 13F Filing

Position #Shares $Value % # vs. 2020Q4 $ vs. 2020Q4
Apple Inc. 887,135,554 $108,363,609,000 40.07% No Change -$9,350,407,000
BANK OF AMERICA CORP /DE/ 1,010,100,606 $39,080,793,000 14.45% No Change +$8,464,643,000
AMERICAN EXPRESS CO 151,610,700 $21,443,817,000 7.93% No Change +$3,112,568,000
COCA COLA CO 400,000,000 $21,083,999,000 7.80% No Change -$852,000,000
Kraft Heinz Co 325,634,818 $13,025,393,000 4.82% No Change +$1,738,890,000
VERIZON COMMUNICATIONS INC 158,824,575 $9,235,649,000 3.42% +12,108,079 +$616,055,000
MOODYS CORP /DE/ 24,669,778 $7,366,643,000 2.72% No Change +$206,487,000
US BANCORP \DE\ 129,687,084 $7,172,993,000 2.65% -1,450,914 +$1,063,272,000
DAVITA INC. 36,095,570 $3,890,020,000 1.44% No Change -$347,600,000
General Motors Co 67,000,000 $3,849,820,000 1.42% -5,500,000 +$830,921,000
Bank of New York Mellon Corp 72,357,453 $3,421,785,000 1.27% No Change +$350,936,000
CHARTER COMMUNICATIONS, INC. /MO/ CL A 5,213,461 $3,216,810,000 1.19% No Change -$232,155,000
VERISIGN INC/CA 12,815,613 $2,547,231,000 0.94% No Change -$226,068,000
CHEVRON CORP 23,672,271 $2,480,617,000 0.92% -24,826,694 -$1,615,121,000
AbbVie Inc. 22,868,178 $2,474,794,000 0.92% -2,664,904 -$261,076,000
VISA INC. CL A 9,987,460 $2,114,645,000 0.78% No Change -$69,912,000
BRISTOL MYERS SQUIBB CO 31,032,227 $1,959,064,000 0.72% -2,303,789 -$108,769,000
Liberty Media Corp C SIRIUSXM 43,208,291 $1,905,918,000 0.70% No Change +$25,925,000
KROGER CO 51,060,296 $1,837,660,000 0.68% +17,526,279 +$772,620,000
AMAZON COM INC 533,300 $1,650,073,000 0.61% No Change -$86,848,000
Mastercard Inc CL A 4,564,756 $1,625,281,000 0.60% No Change -$4,063,000
SNOWFLAKE INC CL A 6,125,376 $1,404,426,000 0.52% No Change -$319,255,000
Merck & Co., Inc. 17,882,388 $1,378,553,000 0.51% -10,815,047 -$968,897,000
RH 1,756,448 $1,047,897,000 0.39% +23,900 +$272,547,000
AON PLC CL A 4,096,146 $942,564,000 0.35% New +$942,564,000