The Berkshire Hathaway Portfolio

Explore the Berkshire Hathaway portfolio, a treasure trove of blue-chip stocks with a total of over $351 billion net worth and an 19.8% compound annual growth rate.

Symbol Name Price (After Hoursafter-market) Market Cap Volume % (1D) % (1M) % (6M)
Ally Financial Inc
38.07
11.74B
5.13M
-4.59%
-10.02%
-7.95%
AON
Aon Plc
340.60
72.98B
1.19M
+0.54%
-0.42%
-8.08%
BAC
Bank Of America Corp
48.64
349.07B
46.95M
-2.35%
-13.96%
-2.27%
Charter Communications Inc
232.24
29.41B
1.52M
+1.00%
+0.48%
-11.19%
KO
Coca Cola Co
77.04
331.33B
14.49M
+0.01%
-2.52%
+13.36%
DEO
Diageo Plc Adr
81.80
45.47B
1.43M
-0.62%
-15.57%
-25.80%
HPQ
Hp Inc
19.46
17.80B
14.74M
+0.62%
-0.97%
-33.67%
Amazon Com Inc
213.21
2.29T
51.23M
-2.62%
+1.37%
-8.23%
Apple Inc
257.46
3.78T
40.62M
-1.09%
-7.43%
+7.41%
AXP
American Express Co
301.00
206.67B
5.50M
-2.02%
-16.19%
-7.73%
Atlanta Braves Holdings Inc
43.74
2.80B
272.71K
-0.55%
+11.78%
+3.26%
COF
Capital One Financial Corp
187.71
116.74B
5.68M
-3.38%
-15.75%
-15.27%
BYD Co - Class H
11.87
100.23B
188.40K
+0.00%
-2.14%
-11.81%
CVX
Chevron Corp
189.94
376.31B
13.05M
+0.02%
+5.02%
+23.61%
C
Citigroup Inc
106.53
186.35B
16.58M
-2.22%
-13.17%
+11.67%
DVA
Davita Inc
150.76
10.08B
799.37K
+0.55%
+7.05%
+9.35%
DHI
D R Horton Inc
147.26
42.66B
2.49M
-1.75%
-5.77%
-19.00%
FND
Floor Decor Holdings Inc
60.11
6.48B
2.71M
-4.05%
-13.36%
-31.28%
GL
Globe Life Inc
142.18
11.32B
650.62K
-0.83%
-2.96%
+1.70%
JEF
Jefferies Financial Group Inc
38.29
7.91B
7.45M
-13.53%
-35.04%
-39.70%
KR
Kroger Co
74.11
46.90B
10.64M
+3.55%
+9.79%
+9.39%
Liberty Latin America Ltd
8.04
1.61B
902.78K
-1.47%
-0.50%
-1.59%
KHC
Kraft Heinz Co
24.54
29.05B
18.53M
+1.28%
-0.41%
-10.08%
Liberty Latin America Ltd
7.98
1.60B
433.90K
-1.12%
-0.25%
-0.25%
LEN
Lennar Corp
101.17
24.99B
2.95M
-3.00%
-11.27%
-28.69%
Liberty Media Corp
83.77
20.98B
3.36M
-0.25%
-1.74%
-16.85%
Liberty Media Corp
0
N/A
0
+0.00%
-100.00%
-100.00%
Liberty Media Corp
0
N/A
0
+0.00%
-100.00%
-100.00%
LPX
Louisiana Pacific Corp
77.70
5.43B
1.44M
-3.43%
-19.87%
-21.53%
MCO
Moodys Corp
471.97
83.68B
1.43M
+0.41%
+4.31%
-5.42%
OXY
Occidental Petroleum Corp
54.19
53.45B
30.27M
+1.78%
+17.02%
+18.04%
Snowflake Inc
180.48
61.76B
6.03M
+1.71%
+7.15%
-19.99%
T Mobile Us Inc
221.57
244.14B
3.48M
+0.47%
+12.25%
-12.34%
V
Visa Inc
317.36
610.35B
6.42M
-0.76%
-4.29%
-7.53%
Liberty Live Holdings Inc
93.59
8.60B
118.90K
-2.45%
+16.97%
-0.31%
Liberty Live Holdings Inc
95.84
8.81B
290.15K
-2.62%
+17.65%
-0.87%
MKL
Markel Group Inc
1982.67
24.93B
49,082
-1.84%
-5.68%
+3.69%
MA
Mastercard Incorporated
522.34
465.83B
2.87M
-0.44%
-4.81%
-10.59%
NU
Nu Holdings Ltd
14.58
70.80B
50.92M
-1.62%
-16.21%
-1.09%
NVR
Nvr Inc
6958.83
19.44B
27,278
-1.64%
-13.12%
-18.15%
Paramount Global
0
N/A
0
+0.00%
-100.00%
-100.00%
Sirius Xm Holdings Inc
22.25
7.45B
4.37M
-1.68%
+2.63%
-7.52%
SPY
State Street Spdr S P 500 Etf Trust
672.38
372.57B
100.19M
-1.31%
-2.64%
+3.88%
Stoneco Ltd
13.72
3.60B
5.59M
-0.51%
-19.67%
-20.69%
Verisign Inc
243.78
22.35B
552.62K
+2.13%
+8.75%
-12.96%
VOO
Vanguard S P 500 Etf
618.43
N/A
9.70M
-1.34%
-2.65%
+3.94%