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Friday, 11/27/2020 5:36:03 PM

Friday, November 27, 2020 5:36:03 PM

Post# of 195
Berkshire portfolio tracker -


https://www.cnbc.com/berkshire-hathaway-portfolio/


>>> Symbol Holdings Mkt. price Value Stake

AbbVie Inc ABBV 21,264,316 $104.89 $2,230,414,105 1.2%

Amazon.com, Inc. AMZN 533,300 $3,195.34 $1,704,074,822 0.1%

American Express Company AXP 151,610,700 $120.59 $18,282,734,313 18.8%

Apple Inc AAPL 964,719,761 $116.59 $112,476,676,935 5.7%

Axalta Coating Systems Ltd AXTA 23,420,000 $28.91 $677,072,200 9.9%

Bank of America Corp BAC 1,032,852,006 $28.99 $29,942,379,654 11.9%

Bank of New York Mellon Corp BK 74,346,864 $39.95 $2,970,157,217 8.4%

Barrick Gold Corp GOLD 12,000,000 $22.69 $272,280,000 0.7%

Biogen Inc BIIB 643,022 $243.78 $156,755,903 0.4%

Bristol-Myers Squibb Co BMY 29,971,194 $63.05 $1,889,683,782 1.3%

Charter Communications Inc CHTR 5,213,461 $642.80 $3,351,212,731 2.6%

Coca-Cola Co KO 400,000,000 $52.70 $21,080,000,000 9.3%

DaVita Inc DVA 36,095,570 $109.88 $3,966,181,232 32.2%

General Motors Company GM 80,000,000 $45.06 $3,604,800,000 5.6%

Globe Life Inc GL 6,353,727 $96.02 $610,084,867 6.1%

Johnson & Johnson JNJ 327,100 $144.00 $47,102,400 0.0%

JPMorgan Chase & Co. JPM 967,267 $121.22 $117,252,106 0.0%

Kraft Heinz Co KHC 325,634,818 $32.84 $10,693,847,423 26.6%

Kroger Co KR 24,978,439 $32.43 $810,050,777 3.2%

Liberty Global PLC Class A LBTYA 18,010,000 $22.68 $408,466,800 9.9%

Liberty Global PLC Class C LBTYK 7,346,968 $21.82 $160,310,842 1.9%

Liberty Latin America Ltd Class A LILA 2,630,792 $11.79 $31,017,038 5.2%

Liberty Latin America Ltd Class C LILAK 1,430,197 $11.72 $16,761,909 0.8%

Liberty Sirius XM Group Series A LSXMA 14,860,360 $42.06 $625,026,742 14.8%

Liberty Sirius XM Group Series C LSXMK 43,208,291 $42.23 $1,824,686,129 18.8%

M&T Bank Corporation MTB 2,919,613 $120.98 $353,214,781 2.3%

Mastercard Inc MA 4,564,756 $339.07 $1,547,771,817 0.5%

Merck & Co., Inc. MRK 22,403,102 $79.86 $1,789,111,726 0.9%

MONDELEZ INTERNATIONAL INC Common Stock MDLZ 578,000 $57.46
$33,211,880 0.0%

Moody’s Corporation MCO 24,669,778 $277.22 $6,838,955,857 13.1%

Pfizer Inc. PFE 3,711,780 $37.23 $138,189,569 0.1%

PNC Financial Services Group Inc PNC 1,919,827 $139.79 $268,372,616 0.5%

Procter & Gamble Co PG 315,400 $138.61 $43,717,594 0.0%

Restoration Hardware Holdings, Inc common stock RH 1,708,348 $462.92 $790,828,456 8.8%

Sirius XM Holdings Inc SIRI 50,000,000 $6.55 $327,500,000 1.2%

Snowflake Inc SNOW 6,125,376 $328.79 $2,013,962,375 2.2%

SPDR S&P 500 ETF Trust SPY 39,400 $363.67 $14,328,598 0.0%

StoneCo Ltd STNE 14,166,748 $73.28 $1,038,139,293 4.6%

Store Capital Corp STOR 24,415,168 $33.33 $813,757,549 9.3%

Suncor Energy Inc. SU 19,201,525 $17.25 $331,226,306 1.3%

Synchrony Financial SYF 20,128,000 $31.09 $625,779,520 3.4%

Teva Pharmaceutical Industries Ltd TEVA 42,789,295 $9.82 $420,190,877 3.9%

T-Mobile Us Inc TMUS 2,413,156 $131.90 $318,295,276 0.2%

U.S. Bancorp USB 149,590,275 $44.21 $6,613,386,058 9.9%

United Parcel Service, Inc. UPS 59,400 $168.89 $10,032,066 0.0%

Vanguard 500 Index Fund ETF VOO 43,000 $334.14 $14,368,020 0.0%

Verisign, Inc. VRSN 12,815,613 $200.52 $2,569,786,719 11.2%

Visa Inc V 9,987,460 $211.00 $2,107,354,060 0.5%

Wells Fargo & Co WFC 127,380,440 $28.46 $3,625,247,322 3.1%

TOTAL $250,595,758,261

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