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Warren Buffett

Warren Buffett

Berkshire Hathaway
Last update 2021-11-15 43 Stocks (2 new)
Value $293.45 Bil Turnover 0 %
Guru Portfolio Report Download

Warren Buffett Latest Trades

Ticker Company Date Action Impact % Price Range Price Price Change from Avrg% Comment Current Shares
CHTR
Charter Communications Inc2021-09-30Reduce
-0.25%
701.37 ($759.13) 821.01
$577.13
-23.97%
Reduce -19.43%
4,200,626
MRK
Merck & Co Inc2021-09-30Sold Out
-0.24%
71.68 ($76.11) 78.83
$78.83
3.57%
Sold Out
0
ABBV
AbbVie Inc2021-09-30Reduce
-0.24%
106.4 ($114.24) 120.78
$132.16
15.69%
Reduce -29.86%
14,398,488
CVX
Chevron Corp2021-09-30Add
+0.19%
94.29 ($99.81) 106.21
$127.18
27.42%
Add 24.13%
28,703,519
RPRX
Royalty Pharma PLC2021-09-30New Buy
+0.16%
36.14 ($38.92) 42.24
$39.47
1.41%
New holding
13,145,902
BMY
Bristol-Myers Squibb Co2021-09-30Reduce
-0.10%
59.17 ($65.87) 69.31
$62.61
-4.95%
Reduce -16.15%
22,046,936
MMC
Marsh & McLennan Companies Inc2021-09-30Reduce
-0.07%
139.04 ($151.24) 160.48
$157.96
4.44%
Reduce -34.67%
2,741,755
USB
U.S. Bancorp2021-09-30Reduce
-0.05%
54.51 ($56.94) 61.1
$56.81
-0.23%
Reduce -1.92%
126,417,887
FND
Floor & Decor Holdings Inc2021-09-30New Buy
+0.03%
103.95 ($119.21) 130.77
$105.14
-11.80%
New holding
816,863
MA
Mastercard Inc2021-09-30Reduce
-0.03%
337.38 ($363.45) 393.26
$349.42
-3.86%
Reduce -6.05%
4,288,648
V
Visa Inc2021-09-30Reduce
-0.03%
220.05 ($234.41) 250.93
$201.85
-13.89%
Reduce -4.26%
9,562,460
LBTYK
Liberty Global PLC2021-09-30Sold Out
-0.02%
25.21 ($27.77) 30.04
$26.63
-4.11%
Sold Out
0
OGN
Organon & Co2021-09-30Sold Out
-0.02%
28.63 ($32.03) 35.64
$30.45
-4.93%
Sold Out
0
MRK
Merck & Co Inc2021-06-30Reduce
-0.25%
70.26 ($74.29) 77.77
$78.83
6.11%
Reduce -48.79%
9,157,192
GM
General Motors Co2021-06-30Reduce
-0.15%
53.76 ($58.75) 63.92
$52.64
-10.40%
Reduce -10.45%
60,000,000
AXTA
Axalta Coating Systems Ltd2021-06-30Sold Out
-0.15%
29.54 ($31.61) 33.71
$30.02
-5.03%
Sold Out
0
KR
The Kroger Co2021-06-30Add
+0.14%
35.89 ($37.58) 39.83
$47.72
26.98%
Add 21.01%
61,787,910
BMY
Bristol-Myers Squibb Company2021-06-30Reduce
-0.11%
61.91 ($65.15) 67.42
$62.61
-3.90%
Reduce -15.27%
26,294,266
ABBV
AbbVie Inc2021-06-30Reduce
-0.09%
105.21 ($112.5) 117.21
$132.16
17.48%
Reduce -10.23%
20,527,861
BIIB
Biogen Inc2021-06-30Sold Out
-0.07%
259 ($301.69) 414.71
$224.69
-25.52%
Sold Out
0
MMC
Marsh & McLennan Companies Inc2021-06-30Reduce
-0.05%
121.8 ($133.79) 140.94
$157.96
18.07%
Reduce -20.63%
4,196,692
LBTYK
Liberty Global PLC2021-06-30Reduce
-0.05%
25.07 ($26.92) 28.33
$26.63
-1.08%
Reduce -74.46%
1,876,522
LBTYA
Liberty Global PLC2021-06-30Sold Out
-0.03%
25.08 ($26.94) 28.42
$26.48
-1.71%
Sold Out
0
CVX
Chevron Corp2021-06-30Reduce
-0.02%
100.95 ($105.53) 110.81
$127.18
20.52%
Reduce -2.32%
23,123,920
OGN
Organon & Co2021-06-30New Buy
+0.02%
28.45 ($33) 38
$30.45
-7.73%
New holding
1,550,481
USB
U.S. Bancorp2021-06-30Reduce
-0.02%
54.74 ($58.61) 62.21
$56.81
-3.07%
Reduce -0.62%
128,888,906
AON
Aon PLC2021-06-30Add
+0.02%
229.52 ($244.12) 258.52
$273.65
12.10%
Add 7.32%
4,396,000
RH
RH2021-06-30Add
+0.01%
587.56 ($647.67) 720.01
$407.16
-37.13%
Add 2.02%
1,791,967
CVX
Chevron Corp2021-03-31Reduce
-0.78%
84.71 ($97.56) 111.56
$127.18
30.36%
Reduce -51.19%
23,672,271
WFC
Wells Fargo & Co2021-03-31Reduce
-0.58%
29.7 ($35.37) 40.81
$53.32
50.75%
Reduce -98.71%
675,054
AON
Aon PLC2021-03-31New Buy
+0.35%
202.13 ($220.25) 233.7
$273.65
24.25%
New holding
4,096,146
MRK
Merck & Co Inc2021-03-31Reduce
-0.33%
72.17 ($77.27) 85
$78.83
2.02%
Reduce -37.69%
17,882,388
VZ
Verizon Communications Inc2021-03-31Add
+0.26%
54.15 ($56.4) 59.29
$52.96
-6.10%
Add 8.25%
158,824,575
SYF
Synchrony Financial2021-03-31Sold Out
-0.26%
33.65 ($38.53) 43.14
$44.93
16.61%
Sold Out
0
KR
The Kroger Co2021-03-31Add
+0.23%
31.52 ($34.16) 38.75
$47.72
39.70%
Add 52.26%
51,060,296
LBTYA
Liberty Global PLC2021-03-31Reduce
-0.13%
23.76 ($25.28) 26.93
$26.48
4.75%
Reduce -81.34%
3,359,831
STNE
StoneCo Ltd2021-03-31Reduce
-0.11%
59.89 ($78.26) 94.09
$14.68
-81.24%
Reduce -24.5%
10,695,448
ABBV
AbbVie Inc2021-03-31Reduce
-0.11%
102.3 ($106.92) 112.62
$132.16
23.61%
Reduce -10.44%
22,868,178
AXTA
Axalta Coating Systems Ltd2021-03-31Reduce
-0.10%
26.71 ($28.62) 31
$30.02
4.89%
Reduce -40.7%
13,887,037
SU
Suncor Energy Inc2021-03-31Sold Out
-0.09%
16.72 ($19.57) 23.53
$26.24
34.08%
Sold Out
0
GM
General Motors Co2021-03-31Reduce
-0.08%
40.51 ($53.11) 60.05
$52.64
-0.88%
Reduce -7.59%
67,000,000
BMY
Bristol-Myers Squibb Company2021-03-31Reduce
-0.05%
59.34 ($62.18) 66.74
$62.61
0.69%
Reduce -6.91%
31,032,227
MMC
Marsh & McLennan Companies Inc2021-03-31Add
+0.05%
107.6 ($115.13) 121.88
$157.96
37.20%
Add 23.89%
5,287,526
USB
U.S. Bancorp2021-03-31Reduce
-0.03%
42.75 ($49.9) 56.27
$56.81
13.85%
Reduce -1.11%
129,687,084
SIRI
Sirius XM Holdings Inc2021-03-31Reduce
-0.02%
5.79 ($6.1) 6.87
$6.05
-0.82%
Reduce -12.68%
43,658,800
RH
RH2021-03-31Add
+0.01%
441.46 ($492.96) 600
$407.16
-17.41%
Add 1.38%
1,756,448
AAPL
Apple Inc2020-12-31Reduce
-2.81%
108.77 ($120.34) 136.69
$161.62
34.30%
Reduce -6.05%
887,135,554
VZ
Verizon Communications Inc2020-12-31Add
+1.92%
56.31 ($59.39) 61.74
$52.96
-10.83%
Add 151.45%
146,716,496
WFC
Wells Fargo & Co2020-12-31Reduce
-0.75%
21.14 ($25.93) 30.35
$53.32
105.63%
Reduce -58.84%
52,423,867
MRK
Merck & Co Inc2020-12-31Add
+0.19%
75.21 ($80.13) 83.47
$78.83
-1.62%
Add 28.1%
28,697,435
ABBV
AbbVie Inc2020-12-31Add
+0.17%
80.49 ($96.24) 108.67
$132.16
37.32%
Add 20.07%
25,533,082
TMUS
T-Mobile US Inc2020-12-31Add
+0.14%
109.51 ($123.66) 134.85
$106.65
-13.76%
Add 117.23%
5,242,000
GOLD
Barrick Gold Corp2020-12-31Sold Out
-0.14%
22.44 ($25.29) 29.32
$19.37
-23.41%
Sold Out
0
CVX
Chevron Corp2020-12-31Add
+0.13%
66.88 ($81.13) 95.62
$127.18
56.76%
Add 9.55%
48,498,965
MTB
M&T Bank Corp2020-12-31Sold Out
-0.11%
93.53 ($114.22) 128.14
$166.63
45.89%
Sold Out
0
KR
The Kroger Co2020-12-31Add
+0.10%
30.58 ($32.39) 34.8
$47.72
47.33%
Add 34.25%
33,534,017
GM
General Motors Co2020-12-31Reduce
-0.09%
30.4 ($39.01) 46.46
$52.64
34.94%
Reduce -9.38%
72,500,000
PNC
PNC Financial Services Group Inc2020-12-31Sold Out
-0.09%
108.72 ($128.03) 149
$204.11
59.42%
Sold Out
0
BMY
Bristol-Myers Squibb Company2020-12-31Add
+0.08%
57.74 ($61.52) 65.43
$62.61
1.77%
Add 11.23%
33,336,016
PFE
Pfizer Inc2020-12-31Sold Out
-0.06%
33.42 ($36.69) 42.56
$51.54
40.47%
Sold Out
0
MMC
Marsh & McLennan Companies Inc2020-12-31Add
+0.04%
102.95 ($113.61) 118.69
$157.96
39.04%
Add 26.77%
4,267,825
JPM
JPMorgan Chase & Co2020-12-31Sold Out
-0.04%
96.54 ($112.01) 127.07
$144.95
29.41%
Sold Out
0
SU
Suncor Energy Inc2020-12-31Reduce
-0.03%
11.28 ($14.74) 18.78
$26.24
78.02%
Reduce -27.87%
13,849,207
USB
U.S. Bancorp2020-12-31Reduce
-0.01%
36.77 ($42.42) 46.73
$56.81
33.92%
Reduce -0.62%
131,137,998
RH
RH2020-12-31Add
0%
335.23 ($412.63) 475.72
$407.16
-1.33%
Add 1.42%
1,732,548
LILAK
Liberty Latin America Ltd2020-12-31Reduce
0%
8.75 ($10.9) 12.52
$10.61
-2.66%
Reduce -10.22%
1,284,020
AAPL
Apple Inc2020-09-30Reduce
-1.64%
91.03 ($109.02) 134.18
$161.62
48.25%
Reduce -3.7%
944,295,554
VZ
Verizon Communications Inc2020-09-30New Buy
+1.47%
53.94 ($58.1) 60.61
$52.96
-8.85%
New holding
58,347,767
WFC
Wells Fargo & Co2020-09-30Reduce
-1.39%
22.83 ($24.66) 26.35
$53.32
116.22%
Reduce -46.38%
127,380,440
CVX
Chevron Corp2020-09-30New Buy
+1.35%
71.8 ($84.1) 91.39
$127.18
51.22%
New holding
44,272,770
JPM
JPMorgan Chase & Co2020-09-30Reduce
-0.99%
91.28 ($98.2) 103.82
$144.95
47.61%
Reduce -95.64%
967,267
BAC
Bank of America Corp2020-09-30Add
+0.87%
22.77 ($24.9) 26.92
$44.55
78.92%
Add 9.2%
1,010,100,606
ABBV
AbbVie Inc2020-09-30New Buy
+0.79%
85.91 ($94.18) 100.83
$132.16
40.33%
New holding
21,264,316
MRK
Merck & Co Inc2020-09-30New Buy
+0.79%
76.69 ($82.09) 86.93
$78.83
-3.97%
New holding
22,403,102
BMY
Bristol-Myers Squibb Company2020-09-30New Buy
+0.77%
57.43 ($60.17) 63.64
$62.61
4.06%
New holding
29,971,194
SNOW
Snowflake Inc2020-09-30New Buy
+0.65%
217.39 ($238.1) 259.13
$277.50
16.55%
New holding
6,125,376
COST
Costco Wholesale Corp2020-09-30Sold Out
-0.65%
304.75 ($336.06) 358.86
$488.90
45.48%
Sold Out
0
PNC
PNC Financial Services Group Inc2020-09-30Reduce
-0.18%
98.85 ($107.55) 114.18
$204.11
89.78%
Reduce -64.12%
1,919,827
MMC
Marsh & McLennan Companies Inc2020-09-30New Buy
+0.16%
107.35 ($114.59) 118.91
$157.96
37.85%
New holding
3,366,507
GOLD
Barrick Gold Corp2020-09-30Reduce
-0.12%
26.13 ($28.46) 30.46
$19.37
-31.94%
Reduce -42.64%
12,000,000
TMUS
T-Mobile US Inc2020-09-30New Buy
+0.12%
104.49 ($110.82) 118.88
$106.65
-3.76%
New holding
2,413,156
DVA
DaVita Inc2020-09-30Reduce
-0.08%
79.57 ($85.39) 91.84
$110.73
29.68%
Reduce -5.25%
36,095,570
MTB
M&T Bank Corp2020-09-30Reduce
-0.08%
90.06 ($102.25) 111.35
$166.63
62.96%
Reduce -35.64%
2,919,613
GM
General Motors Co2020-09-30Add
+0.07%
23.42 ($28.08) 32.38
$52.64
87.46%
Add 7.12%
80,000,000
PFE
Pfizer Inc2020-09-30New Buy
+0.06%
33.46 ($36.91) 39.26
$51.54
39.64%
New holding
3,711,780
KR
The Kroger Co2020-09-30Add
+0.04%
32.02 ($34.54) 36.6
$47.72
38.16%
Add 13.85%
24,978,439
AXTA
Axalta Coating Systems Ltd2020-09-30Reduce
-0.01%
21.63 ($23.16) 24.69
$30.02
29.62%
Reduce -2.7%
23,420,000
LBTYA
Liberty Global PLC2020-09-30Reduce
-0.01%
20.47 ($22.47) 23.96
$26.48
17.85%
Reduce -6.73%
18,010,000
LILAK
Liberty Latin America Ltd2020-09-30Add
0%
7.52 ($8.88) 9.95
$10.61
19.48%
Add 11.38%
1,430,197
JPM
JPMorgan Chase & Co2020-06-30Reduce
-1.82%
84.03 ($94.84) 113.45
$144.95
52.84%
Reduce -61.52%
22,208,427
WFC
Wells Fargo & Co2020-06-30Reduce
-1.40%
22.53 ($27.42) 33.32
$53.32
94.46%
Reduce -26.49%
237,582,705
DAL
Delta Air Lines Inc2020-06-30Sold Out
-1.17%
19.19 ($25.43) 36.97
$37.91
49.08%
Sold Out
0
LUV
Southwest Airlines Co2020-06-30Sold Out
-1.09%
23.87 ($31.86) 40.59
$43.87
37.70%
Sold Out
0
UAL
United Airlines Holdings Inc2020-06-30Sold Out
-0.40%
19.92 ($29.96) 48.69
$41.39
38.15%
Sold Out
0
AAL
American Airlines Group Inc2020-06-30Sold Out
-0.29%
9.04 ($12.1) 20.31
$16.41
35.62%
Sold Out
0
GOLD
Barrick Gold Corp2020-06-30New Buy
+0.28%
18.32 ($24.86) 28.19
$19.37
-22.08%
New holding
20,918,701
SIRI
Sirius XM Holdings Inc2020-06-30Reduce
-0.23%
4.48 ($5.58) 6.52
$6.05
8.42%
Reduce -62.24%
50,000,000
LSXMK
Liberty SiriusXM Group2020-06-30Add
+0.21%
27.25 ($33.42) 39.82
$45.99
37.61%
Add 40.05%
43,208,291
PNC
PNC Financial Services Group Inc2020-06-30Reduce
-0.21%
85.19 ($105.21) 131.13
$204.11
94%
Reduce -41.83%
5,350,586
QSR
Restaurant Brands International Inc2020-06-30Sold Out
-0.19%
33.27 ($50.21) 59.73
$55.75
11.03%
Sold Out
0
100/Page
Total 710