People / Warren Buffett

Warren Buffett

Chair & CEO, Berkshire Hathaway · billionaire

$274,160,086,701disclosed portfolio (13F)
39holdings
0disclosed trades
Portfolio allocation · all 39 holdings
fund/company 13F holdings they manage — not personal net worth

All holdings (39)

top 10 = 88% of disclosed value · scroll for the full list ↓

#HoldingValue% of portfolioShares
1 Apple Inc $61,961,735,283 22.6% 227,917,808
2 American Express Co $56,088,378,465 20.5% 151,610,700
3 Bank America Corp $28,451,276,370 10.4% 517,295,934
4 Coca Cola Co $27,964,000,000 10.2% 400,000,000
5 Chevron Corp New $19,837,131,131 7.2% 130,156,362
6 Moodys Corp $12,602,556,092 4.6% 24,669,778
7 Occidental Pete Corp $10,894,391,643 4.0% 264,941,431
8 Chubb Limited $10,689,854,998 3.9% 34,249,183
9 Kraft Heinz Co $7,896,644,337 2.9% 325,634,818
10 Alphabet Inc $5,585,842,446 2.0% 17,846,142
11 Davita Inc $3,608,147,375 1.3% 31,759,065
12 Kroger Co $3,124,000,000 1.1% 50,000,000
13 Visa Inc $2,910,002,197 1.1% 8,297,460
14 Sirius Xm Holdings Inc $2,495,518,305 0.9% 124,807,117
15 Mastercard Incorporated $2,275,897,610 0.8% 3,986,648
16 Verisign Inc $2,184,091,346 0.8% 8,989,880
17 Constellation Brands Inc $1,793,480,000 0.7% 13,000,000
18 Capital One Finl Corp $1,732,874,000 0.6% 7,150,000
19 Unitedhealth Group Inc $1,663,610,472 0.6% 5,039,564
20 Dominos Pizza Inc $1,396,347,000 0.5% 3,350,000
21 Liberty Live Holdings Inc $1,314,319,611 0.5% 15,904,249
22 Ally Finl Inc $1,313,410,001 0.5% 29,000,000
23 Aon Plc $1,271,424,876 0.5% 3,602,995
24 Nucor Corp $1,045,167,939 0.4% 6,407,749
25 Lennar Corp $742,052,478 0.3% 7,231,930
26 Pool Corp $702,007,444 0.3% 3,068,885
27 Amazon Com Inc $525,346,320 0.2% 2,276,000
28 Louisiana Pac Corp $457,488,683 0.2% 5,664,793
29 New York Times Co $351,663,948 0.1% 5,065,744
30 Heico Corp New $326,798,907 0.1% 1,294,612
31 Liberty Media Corp Del $297,357,853 0.1% 3,018,555
32 Charter Communications Inc N $221,459,118 0.1% 1,060,882
33 Lamar Advertising Co New $152,201,058 0.1% 1,202,410
34 Allegion Plc $124,212,776 0.0% 780,133
35 Nvr Inc $81,037,260 0.0% 11,112
36 Liberty Latin America Ltd $27,290,143 0.0% 3,680,685
37 Jefferies Finl Group Inc $26,867,589 0.0% 433,558
38 Diageo Plc $19,647,993 0.0% 227,750
39 Atlanta Braves Hldgs Inc $4,553,634 0.0% 115,428

Balance sheet — verifiable public data only; disclosures report value ranges

CategoryItemValueYearSource
asset13F equity portfolio (disclosed long positions) $274,160,086,701 2026 sec-13f ↗

⚠️ Built strictly from verifiable public data (SEC filings, official financial disclosures). Values shown as ranges reflect disclosure rules, not estimates. Net-worth figures, where shown, are third-party estimates — see the linked source.