Berkshire Hathaway Q3 2013

Berkshire Hathaway holdings Q3 2013
Name ValueChangeSharesChangeWeightingChange
WELLS FARGO & CO NEW$19,136,598
0.12%
463,131,6230.00%20.79%
-0.08%
COCA COLA CO$15,152,001
-5.56%
400,000,0000.00%16.46%
-5.75%
INTERNATIONAL BUSINESS MACHS$12,614,828
-3.10%
68,121,9840.00%13.71%
-3.29%
AMERICAN EXPRESS CO$11,449,640
1.02%
151,610,7000.00%12.44%
0.82%
PROCTER & GAMBLE CO$3,990,629
-1.82%
52,793,0780.00%4.34%
-2.01%
WAL MART STORES INC$3,642,325
-0.71%
49,247,2350.00%3.96%
-0.91%
EXXON MOBIL CORP$3,449,290
22.19%
40,089,371
28.31%
3.75%
21.95%
US BANCORP DEL$2,894,119
2.28%
79,117,501
1.07%
3.14%
2.07%
DIRECTV$2,182,848
-5.00%
36,514,700
-2.04%
2.37%
-5.18%
DAVITA HEALTHCARE PARTNERS I$1,789,325
-1.08%
31,446,830
110.01%
1.94%
-1.27%
MOODYS CORP$1,752,777
15.43%
24,922,1780.00%1.90%
15.20%
PHILLIPS 66$1,570,618
-1.85%
27,163,9180.00%1.71%
-2.04%
GENERAL MTRS CO$1,438,800
7.99%
40,000,0000.00%1.56%
7.77%
WASHINGTON POST COCL B$1,056,270
26.37%
1,727,7650.00%1.15%
26.12%
CONOCOPHILLIPS$940,419
-35.57%
13,529,270
-43.92%
1.02%
-35.69%
LIBERTY MEDIA CORP DELAWARECL A$827,327
16.09%
5,622,3400.00%0.90%
15.86%
BANK OF NEW YORK MELLON CORP$744,269
7.67%
24,652,836
0.04%
0.81%
7.46%
NATIONAL OILWELL VARCO INC$693,617
13.37%
8,880,0000.00%0.75%
13.14%
CHICAGO BRIDGE & IRON CO N VN Y REGISTRY SH$647,254
13.59%
9,550,7550.00%0.70%
13.37%
SUNCOR ENERGY INC NEW$644,396
22.97%
18,009,957
1.35%
0.70%
22.73%
VIACOM INC NEWCL B$635,809
22.86%
7,607,2000.00%0.69%
22.62%
M & T BK CORP$602,358
0.15%
5,382,0400.00%0.65%
-0.05%
VERISIGN INC$557,832
14.62%
10,961,520
0.59%
0.61%
14.39%
COSTCO WHSL CORP NEW$499,073
4.16%
4,333,3630.00%0.54%
3.96%
U S G CORP$487,923
23.99%
17,072,1920.00%0.53%
23.75%
PRECISION CASTPARTS CORP$449,330
0.54%
1,977,3360.00%0.49%
0.35%
WABCO HLDGS INC$343,471
12.81%
4,076,3250.00%0.37%
12.59%
DEERE & CO$323,832
0.17%
3,978,7670.00%0.35%
-0.02%
TORCHMARK CORP$306,461
11.07%
4,235,8180.00%0.33%
10.85%
VISA INC$297,248
4.57%
1,555,4590.00%0.32%
4.36%
MASTERCARD INCCL A$272,476
17.11%
405,0000.00%0.30%
16.88%
SANOFISPONSORED ADR$197,754
-5.53%
3,905,875
-3.88%
0.21%
-5.71%
STARZ$158,156
27.28%
5,622,3400.00%0.17%
27.03%
VERISK ANALYTICS INCCL A$101,561
8.81%
1,563,4340.00%0.11%
8.60%
MEDIA GEN INCCL A$66,255
29.28%
4,646,2200.00%0.07%
29.03%
JOHNSON & JOHNSON$28,356
0.96%
327,1000.00%0.03%
0.77%
DISH NETWORK CORPCL A$24,635
5.86%
547,3120.00%0.03%
5.65%
MONDELEZ INTL INCCL A$18,161
10.13%
578,0000.00%0.02%
9.92%
GLAXOSMITHKLINE PLCSPONSORED ADR$17,350
-76.48%
345,819
-76.57%
0.02%
-76.52%
GENERAL ELECTRIC CO$14,069
3.02%
588,9000.00%0.02%
2.81%
KRAFT FOODS GROUP INC$10,111
-6.07%
192,6660.00%0.01%
-6.25%
UNITED PARCEL SERVICE INCCL B$5,427
5.65%
59,4000.00%0.01%
5.44%
LEE ENTERPRISES INC$235
29.83%
88,8630.00%0.00%
29.58%
Portfolio Information
QuarterQ3 2013
Total value$92,035,233,000
Holdings43
Managers
Warren Buffett
Quarters
2018-09-30
$221,020,177
2018-06-30
$195,615,793
2018-03-31
$188,943,876
2017-12-31
$191,242,697
2017-09-30
$177,678,767
2017-06-30
$162,143,689
2017-03-31
$161,873,831
2016-12-31
$147,985,198
2016-09-30
$128,787,110
2016-06-30
$129,704,731
2016-03-31
$128,569,639
2015-12-31
$131,855,536
2015-09-30
$127,407,562
2015-06-30
$109,574,892
2015-03-31
$107,133,479
2014-12-31
$109,365,274
2014-09-30
$108,405,828
2014-06-30
$107,580,386
2014-03-31
$105,772,705
2013-12-31
$104,836,593
2013-09-30
$92,035,233
2013-06-30
$91,854,111
SEC Filings