SEC FORM 13F LEDGER
Berkshire Hathaway Inc reported 13F holdings, quarter ended December 31, 2025
BERKSHIRE HATHAWAY INC reported 42 13(f) positions held on December 31, 2025, as filed with the SEC on February 17, 2026 under accession 0001193125-26-054580.
The filing on record
Reported positions
Where the two quarters cannot be compared honestly, the row says so and names the rule that withheld it. An absent security is not evidence of a sale: it may have left 13(f) scope, been granted confidential treatment, moved to a different reporting manager, or changed CUSIP in a corporate action.
| Issuer as reported | Title of class | CUSIP | Amount reported | Reported value (USD) | Reported change since the prior quarter on record |
|---|---|---|---|---|---|
| APPLE INC | COM | 037833100 | 227,917,808 shares | $61,961,735,283reported value from $60,656,116,097 to $61,961,735,283 | reported share count decreasedfrom 238,212,764 to 227,917,808 |
| AMERICAN EXPRESS CO | COM | 025816109 | 151,610,700 shares | $56,088,378,465reported value from $50,359,010,112 to $56,088,378,465 | reported share count unchanged |
| BANK AMERICA CORP | COM | 060505104 | 517,295,934 shares | $28,451,276,370reported value from $29,306,731,919 to $28,451,276,370 | reported share count decreasedfrom 568,070,012 to 517,295,934 |
| COCA COLA CO | COM | 191216100 | 400,000,000 shares | $27,964,000,000reported value from $26,528,000,000 to $27,964,000,000 | reported share count unchanged |
| CHEVRON CORP NEW | COM | 166764100 | 130,156,362 shares | $19,837,131,131reported value from $18,955,441,549 to $19,837,131,131 | reported share count increasedfrom 122,064,792 to 130,156,362 |
| MOODYS CORP | COM | 615369105 | 24,669,778 shares | $12,602,556,092reported value from $11,754,655,821 to $12,602,556,092 | reported share count unchanged |
| OCCIDENTAL PETE CORP | COM | 674599105 | 264,941,431 shares | $10,894,391,643reported value from $12,518,482,615 to $10,894,391,643 | reported share count unchanged |
| CHUBB LIMITED | COM | H1467J104 | 34,249,183 shares | $10,689,854,998reported value from $8,843,709,614 to $10,689,854,998 | reported share count increasedfrom 31,332,895 to 34,249,183 |
| KRAFT HEINZ CO | COM | 500754106 | 325,634,818 shares | $7,896,644,337reported value from $8,479,530,661 to $7,896,644,337 | reported share count unchanged |
| ALPHABET INC | CAP STK CL A | 02079K305 | 17,846,142 shares | $5,585,842,446 | not comparablecomparability unresolved, rule-7-other-manager-attribution-shift |
| DAVITA INC | COM | 23918K108 | 31,759,065 shares | $3,608,147,375reported value from $4,273,176,132 to $3,608,147,375 | reported share count decreasedfrom 32,160,579 to 31,759,065 |
| KROGER CO | COM | 501044101 | 50,000,000 shares | $3,124,000,000reported value from $3,370,500,001 to $3,124,000,000 | reported share count unchanged |
| VISA INC | COM CL A | 92826C839 | 8,297,460 shares | $2,910,002,197reported value from $2,832,586,895 to $2,910,002,197 | reported share count unchanged |
| SIRIUS XM HOLDINGS INC | COMMON STOCK | 829933100 | 124,807,117 shares | $2,495,518,305 | not comparablecomparability unresolved, rule-7-other-manager-attribution-shift |
| MASTERCARD INCORPORATED | CL A | 57636Q104 | 3,986,648 shares | $2,275,897,610reported value from $2,267,645,249 to $2,275,897,610 | reported share count unchanged |
| VERISIGN INC | COM | 92343E102 | 8,989,880 shares | $2,184,091,346reported value from $2,513,300,752 to $2,184,091,346 | reported share count unchanged |
| CONSTELLATION BRANDS INC | CL A | 21036P108 | 13,000,000 shares | $1,793,480,000reported value from $1,804,578,000 to $1,793,480,000 | reported share count decreasedfrom 13,400,000 to 13,000,000 |
| CAPITAL ONE FINL CORP | COM | 14040H105 | 7,150,000 shares | $1,732,874,000reported value from $1,519,947,000 to $1,732,874,000 | reported share count unchanged |
| UNITEDHEALTH GROUP INC | COM | 91324P102 | 5,039,564 shares | $1,663,610,472reported value from $1,740,161,449 to $1,663,610,472 | reported share count unchanged |
| DOMINOS PIZZA INC | COM | 25754A201 | 3,350,000 shares | $1,396,347,000reported value from $1,287,335,476 to $1,396,347,000 | reported share count increasedfrom 2,981,945 to 3,350,000 |
| ALLY FINL INC | COM | 02005N100 | 29,000,000 shares | $1,313,410,001reported value from $1,136,800,000 to $1,313,410,001 | reported share count unchanged |
| AON PLC | SHS CL A | G0403H108 | 3,602,995 shares | $1,271,424,876reported value from $1,461,978,000 to $1,271,424,876 | reported share count decreasedfrom 4,100,000 to 3,602,995 |
| NUCOR CORP | COM | 670346105 | 6,407,749 shares | $1,045,167,939reported value from $867,801,447 to $1,045,167,939 | reported share count unchanged |
| LIBERTY LIVE HOLDINGS INC | COM SHS SER C | 530909308 | 10,917,661 shares | $907,912,688 | newly reported this quarter |
| LENNAR CORP | CL A | 526057104 | 7,050,950 shares | $724,837,660reported value from $888,701,738 to $724,837,660 | reported share count unchanged |
| POOL CORP | COM | 73278L105 | 3,068,885 shares | $702,007,444reported value from $1,072,496,472 to $702,007,444 | reported share count decreasedfrom 3,458,885 to 3,068,885 |
| AMAZON COM INC | COM | 023135106 | 2,276,000 shares | $525,346,320reported value from $2,195,700,000 to $525,346,320 | reported share count decreasedfrom 10,000,000 to 2,276,000 |
| LOUISIANA PAC CORP | COM | 546347105 | 5,664,793 shares | $457,488,683reported value from $503,260,211 to $457,488,683 | reported share count unchanged |
| LIBERTY LIVE HOLDINGS INC | COM SER A | 530909100 | 4,986,588 shares | $406,406,923 | newly reported this quarter |
| NEW YORK TIMES CO | CL A | 650111107 | 5,065,744 shares | $351,663,948 | newly reported this quarter |
| HEICO CORP NEW | CL A | 422806208 | 1,294,612 shares | $326,798,907reported value from $328,947,963 to $326,798,907 | reported share count unchanged |
| LIBERTY MEDIA CORP DEL | COM LBTY ONE S C | 531229755 | 3,018,555 shares | $297,357,853 | not comparablecomparability unresolved, rule-6-cusip-discontinuity |
| CHARTER COMMUNICATIONS INC N | CL A | 16119P108 | 1,060,882 shares | $221,459,118reported value from $291,853,943 to $221,459,118 | reported share count unchanged |
| LAMAR ADVERTISING CO NEW | CL A | 512816109 | 1,202,410 shares | $152,201,058reported value from $147,162,306 to $152,201,058 | reported share count increasedfrom 1,202,110 to 1,202,410 |
| ALLEGION PLC | ORD SHS | G0176J109 | 780,133 shares | $124,212,776reported value from $138,356,588 to $124,212,776 | reported share count unchanged |
| NVR INC | COM | 62944T105 | 11,112 shares | $81,037,260reported value from $89,281,142 to $81,037,260 | reported share count unchanged |
| JEFFERIES FINL GROUP INC | COM | 47233W109 | 433,558 shares | $26,867,589reported value from $28,363,364 to $26,867,589 | reported share count unchanged |
| DIAGEO PLC | SPON ADR NEW | 25243Q205 | 227,750 shares | $19,647,993reported value from $21,734,183 to $19,647,993 | reported share count unchanged |
| LIBERTY LATIN AMERICA LTD | COM CL A | G9001E102 | 2,396,665 shares | $17,711,354reported value from $21,809,266 to $17,711,354 | reported share count decreasedfrom 2,630,792 to 2,396,665 |
| LENNAR CORP | CL B | 526057302 | 180,980 shares | $17,214,818reported value from $21,715,790 to $17,214,818 | reported share count unchanged |
| LIBERTY LATIN AMERICA LTD | COM CL C | G9001E128 | 1,284,020 shares | $9,578,789reported value from $10,837,129 to $9,578,789 | reported share count unchanged |
| ATLANTA BRAVES HLDGS INC | COM SER C | 047726302 | 115,428 shares | $4,553,634reported value from $9,301,396 to $4,553,634 | reported share count decreasedfrom 223,645 to 115,428 |
Revision history
| Revision | Basis | Form type | Filing date | Accession | Positions reported |
|---|---|---|---|---|---|
| 1 current | original | 13F-HR | 2026-02-17 | 0001193125-26-054580 | 42 |
Form 13F reports long positions in 13(f) securities held on the last day of the quarter. It excludes short positions, cash, and assets outside 13(f) scope. An absent security is not evidence of a sale.
Ledger last ingested 2026-09-15T16:14:17+00:00 (32 filings ingested, 8 quarantined). Form 13F is filed within 45 days of quarter end, so every figure here is at least that old, and amendments can change a closed quarter months later.
How to read this
A Form 13F is filed within 45 days of the quarter end it describes, so every figure on these pages was already at least that old the day it published. The quarter end and the filing date are labelled separately on every row and neither of them is today.
Form 13F is two quarter-end snapshots. It states no transaction, no transaction date and no transaction price, so a difference between two quarters is a difference between two reports and nothing more.
The filer is the entity named on the cover page. Where a filing lists other managers, that is an attribution of reporting responsibility, not an attribution of a decision to any individual.
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