Berkshire Hathaway Q1 2020

Berkshire Hathaway holdings Q1 2020
Name ValueChangeSharesChangeWeightingChange
APPLE INC$62,340,609
-13.40%
245,155,5660.00%35.52%
19.42%
BANK AMER CORP$19,637,932
-39.72%
925,008,6000.00%11.19%
-16.88%
COCA COLA CO$17,700,001
-20.05%
400,000,0000.00%10.08%
10.24%
AMERICAN EXPRESS CO$12,979,391
-31.23%
151,610,7000.00%7.39%
-5.17%
WELLS FARGO & CO NEW$9,276,210
-46.65%
323,212,9180.00%5.28%
-26.44%
KRAFT HEINZ CO$8,056,205
-23.00%
325,634,8180.00%4.59%
6.18%
MOODYS CORP$5,217,658
-10.91%
24,669,7780.00%2.97%
22.85%
JPMORGAN CHASE & CO$5,196,030
-37.37%
57,714,433
-3.03%
2.96%
-13.63%
US BANCORP DEL$4,563,233
-41.90%
132,459,6180.00%2.60%
-19.87%
DAVITA HEALTHCARE PARTNERS I$2,897,549
0.14%
38,095,570
-1.22%
1.65%
38.09%
BANK OF NEW YORK MELLON CORP$2,686,487
-33.08%
79,765,0570.00%1.53%
-7.72%
CHARTER COMMUNICATIONS INC Ncl a$2,367,684
-10.05%
5,426,6090.00%1.35%
24.04%
VERISIGN INC$2,307,964
-7.52%
12,815,613
-1.06%
1.31%
27.52%
DELTA AIR LINES INC DEL$2,050,935
-50.54%
71,886,963
1.38%
1.17%
-31.80%
SOUTHWEST AIRLS CO$1,910,218
-34.04%
53,642,713
-0.01%
1.09%
-9.04%
VISA INC$1,701,823
-14.25%
10,562,4600.00%0.97%
18.25%
GENERAL MTRS CO$1,551,872
-43.47%
74,681,000
-0.43%
0.88%
-22.04%
COSTCO WHSL CORP NEW$1,235,572
-2.99%
4,333,3630.00%0.70%
33.78%
MASTERCARD INCcl a$1,192,040
-19.10%
4,934,7560.00%0.68%
11.56%
AMAZON COM INC$1,039,786
4.73%
533,300
-0.74%
0.59%
44.42%
LIBERTY MEDIA CORP DELAWARE$975,508
-34.82%
30,850,985
-0.77%
0.56%
-10.12%
PNC FINL SVCS GROUP INC$880,431
-36.39%
9,197,984
6.08%
0.50%
-12.29%
UNITED CONTL HLDGS INC$699,073
-63.83%
22,157,608
1.00%
0.40%
-50.12%
SIRIUS XM HLDGS INC$654,149
-32.86%
132,418,729
-2.83%
0.37%
-7.42%
KROGER CO$570,475
3.90%
18,940,0790.00%0.33%
43.27%
M & T BK CORP$556,665
-39.07%
5,382,0400.00%0.32%
-15.98%
AMERICAN AIRLS GROUP INC$510,871
-58.09%
41,909,000
-1.39%
0.29%
-42.20%
LIBERTY MEDIA CORP DELAWARE$470,925
-34.44%
14,860,3600.00%0.27%
-9.60%
GLOBE LIFE INC$457,278
-31.62%
6,353,7270.00%0.26%
-5.70%
AXALTA COATING SYS LTD$415,689
-43.65%
24,070,000
-0.80%
0.24%
-22.29%
TEVA PHARMACEUTICAL INDS LTDsponsored adr$384,248
-9.34%
42,789,295
-1.06%
0.22%
25.02%
RESTAURANT BRANDS INTL INC$337,782
-37.23%
8,438,2250.00%0.19%
-13.44%
STORE CAP CORP$337,425
-51.34%
18,621,6740.00%0.19%
-32.90%
SYNCHRONY FINL$323,860
-56.77%
20,128,000
-3.24%
0.18%
-40.38%
LIBERTY GLOBAL PLC$318,808
-29.16%
19,310,000
-2.43%
0.18%
-2.31%
STONECO LTD$308,410
-45.42%
14,166,7480.00%0.18%
-24.74%
GOLDMAN SACHS GROUP INC$296,841
-89.25%
1,920,180
-84.00%
0.17%
-85.17%
SUNCOR ENERGY INC NEW$236,195
-52.05%
14,949,031
-0.47%
0.13%
-33.88%
OCCIDENTAL PETE CORP$219,245
-71.90%
18,933,0540.00%0.12%
-61.25%
BIOGEN INC$203,440
5.73%
643,022
-0.84%
0.12%
45.80%
RH$171,638
-52.94%
1,708,3480.00%0.10%
-35.11%
LIBERTY GLOBAL PLC$115,421
-27.92%
7,346,9680.00%0.07%
-0.60%
JOHNSON & JOHNSON$42,893
-10.10%
327,1000.00%0.02%
23.97%
PROCTER & GAMBLE CO$34,694
-11.93%
315,4000.00%0.02%
21.45%
MONDELEZ INTL INCcl a$28,946
-9.08%
578,0000.00%0.02%
25.38%
LIBERTY LATIN AMERICA LTD$27,676
-47.18%
2,630,792
-3.10%
0.02%
-27.16%
LIBERTY LATIN AMERICA LTD$13,174
-47.28%
1,284,0200.00%0.01%
-27.29%
VANGUARD INDEX FDS$10,183
-19.94%
43,0000.00%0.01%
10.40%
SPDR S&P 500 ETF TRtr unit$10,155
-19.92%
39,4000.00%0.01%
10.43%
UNITED PARCEL SERVICE INCcl b$5,549
-20.19%
59,4000.00%0.00%
10.05%
PHILLIPS 66Sold $0-227,436-0.01%
TRAVELERS COMPANIES INCSold $0-312,379-0.02%
Portfolio Information
QuarterQ1 2020
Total value$175,526,846,000
Holdings50
Managers
Warren Buffett
Quarters
2020-03-31
$175,526,846
2019-12-31
$242,050,717
2019-09-30
$214,673,311
2019-06-30
$208,101,077
2019-03-31
$199,483,708
2018-12-31
$183,066,067
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