DJ CFA SOURCE: SEC 13F-HR
FILER: Berkshire Hathaway, Inc. (Investment Management)
QUARTER ENDED: 09/30/2013
SEC RECEIVED: 11/14/2013
The following sets forth up to 200 of the largest holdings of
Berkshire Hathaway, Inc. (Investment Management) as of Sep. 30,
according to a Form 13F filed with the Securities and Exchange
Commission.
As of Sep. 30, Berkshire Hathaway, Inc. (Investment Management)
held 50 positions valued at $90,179,655,636.
Up to 200 of the largest holdings of Berkshire Hathaway, Inc.
(Investment Management) are listed below in order of dollar value
as of Sep. 30.
Company Name Value Holdings Change
WELLS FARGO & CO COM $19,136.599M 463,131,623 0
COCA COLA CO COM $15,152.000M 400,000,000 0
INTERNATIONAL BUSINESS MACHINE $12,614.829M 68,121,984 0
AMERICAN EXPRESS CO COM $11,449.640M 151,610,700 0
PROCTER & GAMBLE CO COM $3,990,628,766 52,793,078 0
WAL MART STORES INC COM $3,642,325,501 49,247,235 0
EXXON MOBIL CORP COM $3,449,289,481 40,089,371 8,845,261
US BANCORP/DE COM $2,894,118,187 79,117,501 840,200
DIRECTV COM $2,182,848,766 36,514,700 (760,700)
MOODYS CORP COM $1,752,776,779 24,922,178 0
PHILLIPS 66 COM $1,570,617,739 27,163,918 0
GENERAL MOTORS CO COM $1,438,800,000 40,000,000 0
WASHINGTON POST CO CL B $1,056,269,133 1,727,765 0
CONOCOPHILLIPS COM $940,419,558 13,529,270 (10,594,641)
LIBERTY MEDIA CORP CL A $827,327,331 5,622,340 0
BANK OF NEW YORK MELLON CORP $744,269,119 24,652,836 8,807
NATIONAL OILWELL VARCO INC CO $693,616,800 8,880,000 0
CHICAGO BRIDGE & IRON CO NV C $647,254,666 9,550,755 0
SUNCOR ENERGY INC COM $644,396,261 18,009,957 240,500
VIACOM INC CL B $635,809,776 7,607,200 0
M&T BANK CORP COM $602,357,917 5,382,040 0
VERISIGN INC COM $557,831,753 10,961,520 64,100
COSTCO WHOLESALE CORP COM $499,073,417 4,333,363 0
USG CORP COM $487,923,247 17,072,192 0
PRECISION CASTPARTS CORP COM $449,329,833 1,977,336 0
WABCO HOLDINGS INC COM $343,471,145 4,076,325 0
DEERE & CO COM $323,831,846 3,978,767 0
TORCHMARK CORP COM $306,461,432 4,235,818 0
VISA INC CL A $297,248,215 1,555,459 0
MASTERCARD INC CL A $272,475,900 405,000 0
SANOFI AVENTIS ADR $197,754,451 3,905,875 (157,800)
STARZ INC CL A $158,156,424 5,622,340 0
VERISK ANALYTICS INC CL A $101,560,673 1,563,434 0
JOHNSON & JOHNSON COM $28,356,299 327,100 0
DISH NETWORK CORP CL A $24,634,513 547,312 0
MONDELEZ INTERNATIONAL INC CL $18,161,338 578,000 0
GLAXOSMITHKLINE PLC ADR $17,349,739 345,819 (1,130,202)
GENERAL ELECTRIC CO COM $14,068,821 588,900 0
KRAFT FOODS GROUP INC COM $10,111,112 192,666 0
UNITED PARCEL SERVICE INC CL $5,427,378 59,400 0
LEE ENTERPRISES INC COM $234,598 88,863 0
* New holding 13F data provided by: FactSet Research Systems
Inc.; Please send questions to lionsharesinfo@factset.com.
Copyright, FactSet Research Systems, 2013. All Rights Reserved.