Top Funds / Berkshire Hathaway Inc


Warren Buffett

2020Q4 Portfolio

SEC 13F Filing

Position #Shares $Value % # vs. 2020Q3 $ vs. 2020Q3
Apple Inc. 887,135,554 $117,714,016,000 43.61% -57,160,000 +$8,355,148,000
BANK OF AMERICA CORP /DE/ 1,010,100,606 $30,616,150,000 11.34% No Change +$6,282,827,000
COCA COLA CO 400,000,000 $21,935,999,000 8.13% No Change +$2,187,999,000
AMERICAN EXPRESS CO 151,610,700 $18,331,249,000 6.79% No Change +$3,132,278,000
Kraft Heinz Co 325,634,818 $11,286,503,000 4.18% No Change +$1,533,740,000
VERIZON COMMUNICATIONS INC 146,716,496 $8,619,594,000 3.19% New +$8,619,594,000
MOODYS CORP /DE/ 24,669,778 $7,160,156,000 2.65% No Change +$9,621,000
US BANCORP \DE\ 131,137,998 $6,109,721,000 2.26% -823,834 +$1,378,888,000
DAVITA INC. 36,095,570 $4,237,620,000 1.57% No Change +$1,146,034,000
CHEVRON CORP 48,498,965 $4,095,738,000 1.52% New +$4,095,738,000
CHARTER COMMUNICATIONS, INC. /MO/ CL A 5,213,461 $3,448,965,000 1.28% No Change +$193,993,000
Bank of New York Mellon Corp 72,357,453 $3,070,849,000 1.14% No Change +$586,094,000
General Motors Co 72,500,000 $3,018,899,000 1.12% -7,500,000 +$651,698,000
VERISIGN INC/CA 12,815,613 $2,773,299,000 1.03% No Change +$148,020,000
AbbVie Inc. 25,533,082 $2,735,870,000 1.01% +4,268,766 +$873,329,000
Merck & Co., Inc. 28,697,435 $2,347,450,000 0.87% +6,294,333 +$489,113,000
VISA INC. CL A 9,987,460 $2,184,557,000 0.81% No Change +$187,365,000
BRISTOL MYERS SQUIBB CO 33,336,016 $2,067,833,000 0.77% +3,364,822 +$260,870,000
Liberty Media Corp C SIRIUSXM 43,208,291 $1,879,993,000 0.70% No Change +$450,663,000
AMAZON COM INC 533,300 $1,736,921,000 0.64% No Change +$57,704,000
SNOWFLAKE INC CL A 6,125,376 $1,723,681,000 0.64% No Change +$186,212,000
Mastercard Inc CL A 4,564,756 $1,629,344,000 0.60% No Change +$85,680,000
WELLS FARGO & COMPANY/MN 52,423,867 $1,582,152,000 0.59% -74,956,573 -$1,412,564,000
StoneCo Ltd. CL A 14,166,748 $1,188,873,000 0.44% No Change +$439,594,000
KROGER CO 33,534,017 $1,065,040,000 0.39% +8,555,578 +$218,021,000