Warren BuffettBerkshire Hathaway Portfolio

13F Holdings — Q1 2026

Performance Summary

Q1 2026

AUM

$263.10B

Portfolio Size

29 positions

Turnover

65.5%

Avg Holding Period

19 quarters

1Y Return

+11.39%

3Y Return

+45.90%

5Y Return

+63.18%

vs S&P 500 (1Y)

-4.95%

Top Holdings

29 positions
#SymbolNameSharesValueWeight
1AAPLAPPLE INC227,917,808$57.84B21.99%
2AXPAMERICAN EXPRESS CO151,610,700$45.86B17.43%
3KOCOCA COLA CO400,000,000$30.42B11.56%
4BACBANK AMERICA CORP513,624,165$25.04B9.52%
5CVXCHEVRON CORPORATION84,375,856$17.46B6.64%
6OXYOCCIDENTAL PETE CORP264,941,431$17.22B6.55%
7GOOGLALPHABET INC54,249,798$15.60B5.93%
8CBCHUBB LTD SWITZ34,249,183$11.16B4.24%
9MCOMOODYS CORP24,669,778$10.76B4.09%
10KHCKRAFT HEINZ CO325,634,818$7.32B2.78%
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Top Holdings by Value

Portfolio Weight Distribution

AAPL
AXP
KO
BAC
CVX
OXY
GOOGL
CB
MCO
KHC
Other

Portfolio Concentration

Cumulative weight of top N holdings

Top 5: 67.1%Top 10: 90.7%Top 20: 99.0%

Holdings by Security Type

Breakdown across 29 positions

Common Stock (23)
Class A (4)
Class C (1)
Class B (1)

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Amsflow Portfolio Data — License Note

Portfolio data sourced from SEC 13F filings. Filings are reported quarterly with a 45-day delay.

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