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Asset manager

Berkshire Hathaway

Warren Buffett

Berkshire's 13F is required reading for anyone who follows public markets. Buffett-and-Munger-era classics (Coca-Cola, American Express) sit alongside more recent moves into Apple and Japanese trading houses. Updated each quarter, often the largest single signal of "smart money" intent.

Total value
$274.16B
Positions
42
As of
2025-12-31
Filed
2 months ago
Holdings
# Security Class Shares Value (USD) % of port
1 APPLE INC AAPL COM 227,917,808 $61.96B 22.60%
2 AMERICAN EXPRESS CO AXP COM 151,610,700 $56.09B 20.46%
3 BANK AMERICA CORP BAC COM 517,295,934 $28.45B 10.38%
4 COCA COLA CO KO COM 400,000,000 $27.96B 10.20%
5 CHEVRON CORP NEW CVX COM 130,156,362 $19.84B 7.24%
6 MOODYS CORP MCO COM 24,669,778 $12.60B 4.60%
7 OCCIDENTAL PETE CORP OXY COM 264,941,431 $10.89B 3.97%
8 CHUBB LIMITED COM 34,249,183 $10.69B 3.90%
9 KRAFT HEINZ CO KHC COM 325,634,818 $7.90B 2.88%
10 ALPHABET INC GOOGL CAP STK CL A 17,846,142 $5.59B 2.04%
11 DAVITA INC DVA COM 31,759,065 $3.61B 1.32%
12 KROGER CO KR COM 50,000,000 $3.12B 1.14%
13 VISA INC V COM CL A 8,297,460 $2.91B 1.06%
14 SIRIUS XM HOLDINGS INC SIRI COMMON STOCK 124,807,117 $2.50B 0.91%
15 MASTERCARD INCORPORATED MA CL A 3,986,648 $2.28B 0.83%
16 VERISIGN INC VRSN COM 8,989,880 $2.18B 0.80%
17 CONSTELLATION BRANDS INC STZ CL A 13,000,000 $1.79B 0.65%
18 CAPITAL ONE FINL CORP COF COM 7,150,000 $1.73B 0.63%
19 UNITEDHEALTH GROUP INC UNH COM 5,039,564 $1.66B 0.61%
20 DOMINOS PIZZA INC DPZ COM 3,350,000 $1.40B 0.51%
21 ALLY FINL INC ALLY COM 29,000,000 $1.31B 0.48%
22 AON PLC SHS CL A 3,602,995 $1.27B 0.46%
23 NUCOR CORP NUE COM 6,407,749 $1.05B 0.38%
24 LIBERTY LIVE HOLDINGS INC LLYVK COM SHS SER C 10,917,661 $907.9M 0.33%
25 LENNAR CORP LEN CL A 7,050,950 $724.8M 0.26%
26 POOL CORP POOL COM 3,068,885 $702.0M 0.26%
27 AMAZON COM INC AMZN COM 2,276,000 $525.3M 0.19%
28 LOUISIANA PAC CORP LPX COM 5,664,793 $457.5M 0.17%
29 LIBERTY LIVE HOLDINGS INC LLYVA COM SER A 4,986,588 $406.4M 0.15%
30 NEW YORK TIMES CO NYT CL A 5,065,744 $351.7M 0.13%
31 HEICO CORP NEW HEI/A CL A 1,294,612 $326.8M 0.12%
32 LIBERTY MEDIA CORP DEL FWONK COM LBTY ONE S C 3,018,555 $297.4M 0.11%
33 CHARTER COMMUNICATIONS INC N CHTR CL A 1,060,882 $221.5M 0.08%
34 LAMAR ADVERTISING CO NEW LAMR CL A 1,202,410 $152.2M 0.06%
35 ALLEGION PLC ORD SHS 780,133 $124.2M 0.05%
36 NVR INC NVR COM 11,112 $81.0M 0.03%
37 JEFFERIES FINL GROUP INC JEF COM 433,558 $26.9M 0.01%
38 DIAGEO PLC DEO SPON ADR NEW 227,750 $19.6M 0.01%
39 LIBERTY LATIN AMERICA LTD COM CL A 2,396,665 $17.7M 0.01%
40 LENNAR CORP LEN/B CL B 180,980 $17.2M 0.01%
41 LIBERTY LATIN AMERICA LTD COM CL C 1,284,020 $9.6M 0.00%
42 ATLANTA BRAVES HLDGS INC BATRK COM SER C 115,428 $4.6M 0.00%
Source: SEC EDGAR filing · all 13F filings for this filer

Reading this

This is the latest 13F-HR filing — the U.S. quarterly disclosure required of every institutional investment manager with $100M+ AUM, due within 45 days of quarter-end. Sub-positions for the same security (different voting authorities) are aggregated into a single row.

What's missing: short positions, non-equity holdings (bonds, commodities, swaps, FX), and any positions held outside the U.S. reporting framework. Position values are calculated by the filer at quarter-end mark and may diverge from current prices significantly.

v0.1 · 2026 · data via SEC EDGAR