Berkshire Hathaway Portfolio

CIK: 0001067983 • Quarter: Q4 2024 • SEC Filing

Based on the latest 13F filing, Berkshire Hathaway manages a portfolio worth $267.18B, consisting of 38 securities. In the latest quarter, they added 1 new positions and exited 3 positions. The portfolio returned 2.82% this quarter and has generated a 17.29% return over the past year, outperforming the S&P 500 by 17.29%. Their average holding period is 19 quarters.

Portfolio Value

$267.18B
$796.57M (0.30%)

Portfolio Activity

38 Securities
+1 Added -3 Removed

Q4 2024 Return

$7.51B
2.82%

Holding Periods

Average 19Q
Top 10 32Q
Top 20 27Q

Historical Performance

1 Year 17.29%
3 Year 18.09%
5 Year 72.73%

vs S&P 500

1 Year 17.29%
3 Year 32.51%
5 Year 46.48%
New Positions
1
Increased
5
Decreased
8
Unchanged
24
Exited
3

Current Holdings

Stock
Holdings (Shares) Holdings (USD) % of Portfolio Share Count Change (Shares) Change (USD) % Change
4.10M $1.47B 0.55% Unchanged - $54.00M 0.00%
223.65K $8.56M 0.00% Unchanged - $-344.42K 0.00%
10.92M $743.06M 0.28% Unchanged - $182.65M 0.00%
118.61M $17.18B 6.43% Unchanged - $-288.22M 0.00%
14.64M $1.03B 0.39% Decreased -40.61M $-2.43B -73.50%
400.00M $24.90B 9.32% Unchanged - $-3.84B 0.00%
1.05M $195.33M 0.07% Unchanged - $-18.56M 0.00%
325.63M $10.00B 3.74% Unchanged - $-1.43B 0.00%
50.00M $3.06B 1.14% Unchanged - $192.50M 0.00%
152.57K $20.16M 0.01% Unchanged - $-6.22M 0.00%
Liberty Media Corp DEL
6.80M $630.21M 0.24% Decreased -921.09K $32.26M -11.93%
5.66M $586.59M 0.22% Decreased -300.00K $-54.39M -5.03%
24.67M $11.68B 4.37% Unchanged - $-30.10M 0.00%
264.18M $13.05B 4.89% Increased 8.90M $-104.15M 3.49%
4.35M $960.18M 0.36% Decreased -322.00K $-3.94M -6.89%
29.00M $1.04B 0.39% Unchanged - $12.18M 0.00%
10.00M $2.19B 0.82% Unchanged - $330.60M 0.00%
151.61M $45.00B 16.84% Unchanged - $3.88B 0.00%
300.00M $75.13B 28.12% Unchanged - $5.23B 0.00%
4.99M $331.91M 0.12% Unchanged - $85.02M 0.00%
117.47M $2.68B 1.00% Increased 12.31M $191.37M 11.71%
680.23M $29.90B 11.19% Decreased -117.45M $-1.76B -14.72%
7.45M $1.33B 0.50% Decreased -1.65M $-34.06M -18.13%
1.99M $682.72M 0.26% Decreased -830.12K $-231.80M -29.42%
5.62M $1.24B 0.47% New 5.62M $1.24B 100.00%
36.10M $5.40B 2.02% Unchanged - $-519.05M 0.00%
227.75K $28.95M 0.01% Unchanged - $-3.01M 0.00%
2.38M $999.87M 0.37% Increased 1.10M $450.47M 86.49%
433.56K $33.99M 0.01% Unchanged - $7.31M 0.00%
3.99M $2.10B 0.79% Unchanged - $130.64M 0.00%
11.11K $90.88M 0.03% Unchanged - $-18.14M 0.00%
598.69K $204.12M 0.08% Increased 194.63K $51.87M 48.17%
13.27M $2.75B 1.03% Increased 455.84K $312.21M 3.56%
8.30M $2.62B 0.98% Unchanged - $340.94M 0.00%
40.18M $416.27M 0.16% Decreased -46.26M $-763.63M -53.52%
2.63M $16.73M 0.01% Unchanged - $-8.47M 0.00%
1.28M $8.14M 0.00% Unchanged - $-4.04M 0.00%
27.03M $7.47B 2.80% Unchanged - $-326.84M 0.00%

Exited Positions

Stock Previous Shares Previous Value
43.00K $22.69M
24.20K $9.42M
39.40K $22.61M