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🏛️ Berkshire Hathaway portfolio

Warren Buffett's Picks

Berkshire Hathaway's holdings based on SEC 13F filings. Under the new CEO Greg Abel in 2026, the long-term value-investing principles remain in place.

Automatically applies the top 10 holdings' weights to your portfolio

📖 Buffett & Graham's lessons →
As of: Q1 2026·13F filing date: 2026-05-15·Source: SEC EDGAR (CIK: 0001067983)
iThis page shows filing data as of Q1 2026(filed 2026-05-15). This is not real-time data, and intra-quarter changes are not reflected. The Q2 2026 13F will be published after August 14, 2026. Check the latest filings on SEC EDGAR.

Total portfolio value

$254.0B

Q1 2026

Q4 2025 change

New 2Increased 3Decreased 3Sold 8

Best-performing holding

MCO

+4261.0%

Longest-held holding

KO

1988 ~ (38 yr and counting)

Sort:
#HoldingMarket valueChangeEst. return
1
AAPL

Apple

$57.8BDecreased24%+806.4%

$28.0 → $253.8

2
AXP

American Express

$45.9BIncreased+3458.8%

$8.5 → $302.5

3
KO

Coca-Cola

$30.4BIncreased+3006.1%

$2.5 → $76.1

4
BAC

Bank of America

$25.0BDecreased24%+585.9%

$7.1 → $48.7

5
CVX

Chevron

$17.5BDecreased29%+122.5%

$93.0 → $206.9

6
OXY

Occidental Petroleum

$17.2BIncreased+14.0%

$57.0 → $65.0

7
GOOGL

Alphabet (Class A)

$15.6BIncreased204%+91.3%

$150.0 → $287.0

8
CB

Chubb

$11.2BIncreased27%+76.1%

$185.0 → $325.8

9
MCO

Moody's

$10.8BIncreased+4261.0%

$10.0 → $436.1

10
KHC

Kraft Heinz

$7.3BIncreased-68.8%

$72.0 → $22.5

11
DVA

DaVita

$5.7BIncreased+444.1%

$29.0 → $157.8

12
SIRI

Sirius XM

$2.8BIncreased-52.7%

$4.8 → $2.3

13
DAL

Delta Air Lines

$2.6BNew+21.1%

$55.0 → $66.6

14
COF

Capital One

$2.1BIncreased+111.7%

$100.0 → $211.7

15
GOOG

Alphabet (Class C)

$1.0BNew+79.5%

$160.0 → $287.2

16
VRSN

VeriSign

$965MIncreased+391.7%

$35.0 → $172.1

17
NYT

The New York Times

$99MIncreased200%+57.0%

$30.0 → $47.1

Estimated return by holding (vs. entry point)

MCO
Moody's
+4261.0%
2001 (25 yr)
AXP
American Express
+3458.8%
1994 (32 yr)
KO
Coca-Cola
+3006.1%
1988 (38 yr)
AAPL
Apple
+806.4%
2016 (10 yr)
BAC
Bank of America
+585.9%
2011 (15 yr)
DVA
DaVita
+444.1%
2011 (15 yr)
VRSN
VeriSign
+391.7%
2012 (14 yr)
CVX
Chevron
+122.5%
2020 (6 yr)
COF
Capital One
+111.7%
2023 (3 yr)
GOOGL
Alphabet (Class A)
+91.3%
2024 (2 yr)
GOOG
Alphabet (Class C)
+79.5%
2025 (1 yr)
CB
Chubb
+76.1%
2023 (3 yr)
NYT
The New York Times
+57.0%
2023 (3 yr)
DAL
Delta Air Lines
+21.1%
2025 (1 yr)
OXY
Occidental Petroleum
+14.0%
2022 (4 yr)
SIRI
Sirius XM
-52.7%
2016 (10 yr)
KHC
Kraft Heinz
-68.8%
2015 (11 yr)

※ Cost basis is estimated from public sources and may differ from BRK's actual average price. Returns are for reference only.

Buffett's investing principles (as seen in the portfolio)

Companies you can hold for 10+ years

KO 36 yrs, AXP 30 yrs, MCO 24 yrs. Buffett said, "If you aren't willing to own a stock for 10 years, don't even think about owning it for 10 minutes."

Consumer-monopoly brands

Prefers companies with strong brands and a moat, like Coca-Cola and American Express.

Big bets during crashes

Bought BAC heavily in the aftermath of the 2011 financial crisis and OXY during the 2022 energy environment.

Doesn't sell even at a loss

KHC is at a 60%+ unrealized loss but is still held without selling. The principle: 'if it's a good company, wait.'

📋 Results are based on historical data; past returns do not guarantee future returns.

📋 This service is provided for educational purposes to help you understand investing, not as investment advice.

Data source and disclaimer: SEC EDGAR 13F-HR filings (CIK: 0001067983). 13F filings are due within 45 days of quarter-end, so intra-quarter changes are not reflected. Estimated cost basis is based on media and research sources and may differ from BRK's actual average price. This information is not investment advice.