Warren Buffett's portfolio and holdings - Sep 2025

As per corporate shareholdings filed for , people matching Warren Buffett publicly holds 41 stocks with a net worth of over US$ 289.1 B.

These are shares held by Warren Buffett as per the shareholding data filed with the exchanges. The latest quarter tends to have missing data since not all companies may have reported their shareholding data till now.

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Stock Name Holders Name Current Price US$ Quantity Held Holding Percent Change from Previous Qtr Holding Value US$ History
DaVita Inc Berkshire Hathaway Inc 123.60 33,796,541 47.87% 0.00 4.2 B
Sirius XM Holdings Inc Berkshire Hathaway Inc 21.68 119,776,692 35.59% 0.00 2.6 B
Kraft Heinz Co Berkshire Hathaway Inc 24.75 325,634,818 27.51% 0.00 8.1 B
Occidental Petroleum Corp. Berkshire Hathaway Inc 41.93 264,941,431 26.91% 0.00 11.1 B
American Express Co. Berkshire Hathaway Inc 372.77 151,610,700 22.01% 0.00 56.5 B
Verisign Inc. Berkshire Hathaway Inc 250.49 13,289,880 14.34% 0.00 3.3 B
Moody`s Corp. Berkshire Hathaway Inc 490.84 24,669,778 13.83% 0.00 12.1 B
Liberty Media Corp. - Ordinary Shares (New Liberty Live) Series C Berkshire Hathaway Inc 86.59 10,917,661 11.88% 0.00 945.4 M
Ally Financial Inc Berkshire Hathaway Inc 40.29 29,000,000 9.41% 0.00 1.2 B
Coca-Cola Co Berkshire Hathaway Inc 71.51 400,000,000 9.30% 0.00 28.6 B
Pool Corporation Berkshire Hathaway Inc 250.54 3,458,885 9.29% 0.00 866.6 M
Bank Of America Corp. Berkshire Hathaway Inc 54.11 605,267,375 8.29% 0.00 32.8 B
Louisiana-Pacific Corp. Berkshire Hathaway Inc 77.87 5,664,793 8.13% 0.00 441.1 M
Dominos Pizza Inc Berkshire Hathaway Inc 403.76 2,633,868 7.80% 0.00 1.1 B
Constellation Brands Inc - Ordinary Shares - Class A Berkshire Hathaway Inc 130.38 13,400,000 7.66% 0.00 1.7 B
Kroger Co. Berkshire Hathaway Inc 65.40 50,000,000 7.55% 0.00 3.3 B
Chubb Limited Berkshire Hathaway Inc 294.93 27,033,784 6.87% 0.00 8.0 B
Chevron Corp. Berkshire Hathaway Inc 153.32 122,064,792 6.11% 0.00 18.7 B
Liberty Media Corp. - Ordinary Shares (New Liberty Live) Series A Berkshire Hathaway Inc 83.41 4,986,588 5.43% 0.00 415.9 M
Nucor Corp. Berkshire Hathaway Inc 148.38 6,614,112 2.88% 0.00 981.4 M
Lennar Corp. - Ordinary Shares - Class A Berkshire Hathaway Inc 124.13 7,048,993 2.76% 0.00 875.0 M
Aon plc. - Ordinary Shares - Class A Berkshire Hathaway Inc 350.11 4,100,000 1.91% 0.00 1.4 B
Apple Inc Berkshire Hathaway Inc 273.47 280,000,000 1.89% 0.00 76.6 B
Activision Blizzard Inc Berkshire Hathaway Inc 94.42 14,658,121 1.86% 0.00 1.4 B
Liberty Latin America Ltd - Ordinary Shares - Class A Berkshire Hathaway Inc 8.16 2,630,792 1.31% 0.00 21.5 M
Lamar Advertising Co - Ordinary Shares - Class A Berkshire Hathaway Inc 128.09 1,169,507 1.15% 0.00 149.8 M
Capital One Financial Corp. Berkshire Hathaway Inc 222.13 7,150,000 1.12% 0.00 1.6 B
Heico Corp. - Ordinary Shares - Class A Berkshire Hathaway Inc 253.81 1,294,612 0.93% 0.00 328.6 M
Allegion plc Berkshire Hathaway Inc 168.38 780,133 0.91% 0.00 131.4 M
Charter Communications Inc. - Ordinary Shares - Class A Berkshire Hathaway Inc 213.07 1,060,882 0.82% 0.00 226.0 M
Liberty Latin America Ltd - Ordinary Shares - Class C Berkshire Hathaway Inc 8.25 1,284,020 0.64% 0.00 10.6 M
Unitedhealth Group Inc Berkshire Hathaway Inc 339.06 5,039,564 0.56% 0.00 1.7 B
D.R. Horton Inc. Berkshire Hathaway Inc 146.03 1,485,350 0.50% 0.00 216.9 M
Mastercard Incorporated - Ordinary Shares - Class A Berkshire Hathaway Inc 561.23 3,986,648 0.44% 0.00 2.2 B
Visa Inc - Ordinary Shares - Class A Berkshire Hathaway Inc 338.88 8,297,460 0.43% 0.00 2.8 B
NVR Inc. Berkshire Hathaway Inc 7287.38 11,112 0.40% 0.00 81.0 M
Liberty Media Corp. - Ordinary Shares (Tracking Stock - Braves) Series C Berkshire Hathaway Inc 39.01 223,645 0.36% 0.00 8.7 M
Jefferies Financial Group Inc Berkshire Hathaway Inc 59.41 433,558 0.21% 0.00 25.8 M
Amazon.com Inc. Berkshire Hathaway Inc 244.20 10,000,000 0.09% 0.00 2.4 B
Lennar Corp. - Ordinary Shares - Class B Berkshire Hathaway Inc 116.45 180,930 0.07% 0.00 21.1 M
Diageo plc - ADR Berkshire Hathaway Inc 96.99 227,750 0.04% 0.00 22.1 M
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