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Warren Buffett

Berkshire Hathaway

Institutional

Portfolio (13F)

$263.10B

Holdings

29

As of

Mar 31, 2026

Latest moves — news scan (AI)

A daily AI scan of news & filings — beyond the official (lagged) 13F.

Scanning recent news…

AI insight on these moves

New buys

3

Delta Air Lines INC

39.81M shares · 1.01% of port.

$2.65B

New

Alphabet INC

3.59M shares · 0.39% of port.

$1.03B

New

Macys INC

3.04M shares · 0.02% of port.

$54.96M

New

Sold out

15

Visa INC

0 shares

$2.91B

Exited

Mastercard Incorporated

0 shares

$2.28B

Exited

Unitedhealth Group INC

0 shares

$1.66B

Exited

Dominos Pizza INC

0 shares

$1.40B

Exited

Aon PLC

0 shares

$1.27B

Exited

Pool CORP

0 shares

$702.01M

Exited

Amazon COM INC

0 shares

$525.35M

Exited

Heico CORP New

0 shares

$326.80M

Exited

Liberty Media CORP Del

0 shares

$297.36M

Exited

Charter Communications INC N

0 shares

$221.46M

Exited

Lamar Advertising CO New

0 shares

$152.20M

Exited

Allegion PLC

0 shares

$124.21M

Exited

Diageo PLC

0 shares

$19.65M

Exited

Liberty Latin America LTD

0 shares

$17.71M

Exited

Liberty Latin America LTD

0 shares

$9.58M

Exited

Added

4

Alphabet INC

54.25M shares · 5.93% of port.

$15.60B

+203.99%

New York Times CO Mtn Be

15.15M shares · 0.48% of port.

$1.27B

+199.00%

Lennar CORP

10.10M shares · 0.33% of port.

$877.05M

+43.24%

Lennar CORP

237.70K shares · 0.01% of port.

$20.00M

+31.34%

Trimmed

6

Bank America CORP

513.62M shares · 9.52% of port.

$25.04B

-0.71%

Chevron Corporation

84.38M shares · 6.64% of port.

$17.46B

-35.17%

Davita INC

30.10M shares · 1.76% of port.

$4.63B

-5.22%

Liberty Live Holdings INC

10.59M shares · 0.38% of port.

$996.36M

-3.03%

Nucor CORP

3.91M shares · 0.25% of port.

$660.69M

-39.03%

Constellation Brands INC

632.89K shares · 0.04% of port.

$94.93M

-95.13%

Top holdings

25

Apple INC

227.92M shares · 21.99% of port.

$57.84B

0.00%

American Express CO

151.61M shares · 17.43% of port.

$45.86B

0.00%

Coca Cola CO

400.00M shares · 11.56% of port.

$30.42B

0.00%

Bank America CORP

513.62M shares · 9.52% of port.

$25.04B

-0.71%

Chevron Corporation

84.38M shares · 6.64% of port.

$17.46B

-35.17%

Occidental Pete CORP

264.94M shares · 6.55% of port.

$17.22B

0.00%

Alphabet INC

54.25M shares · 5.93% of port.

$15.60B

+203.99%

Chubb LTD Switz

34.25M shares · 4.24% of port.

$11.16B

0.00%

Moodys CORP

24.67M shares · 4.09% of port.

$10.76B

0.00%

Kraft Heinz CO

325.63M shares · 2.78% of port.

$7.32B

0.00%

Davita INC

30.10M shares · 1.76% of port.

$4.63B

-5.22%

Kroger CO

50.00M shares · 1.38% of port.

$3.62B

0.00%

Siriusxm Holdings INC

124.81M shares · 1.09% of port.

$2.88B

0.00%

Delta Air Lines INC

39.81M shares · 1.01% of port.

$2.65B

Verisign INC

8.99M shares · 0.85% of port.

$2.23B

0.00%

Capital One Finl CORP

7.15M shares · 0.50% of port.

$1.30B

0.00%

New York Times CO Mtn Be

15.15M shares · 0.48% of port.

$1.27B

+199.00%

Ally Finl INC

29.00M shares · 0.43% of port.

$1.14B

0.00%

Alphabet INC

3.59M shares · 0.39% of port.

$1.03B

Liberty Live Holdings INC

10.59M shares · 0.38% of port.

$996.36M

-3.03%

Lennar CORP

10.10M shares · 0.33% of port.

$877.05M

+43.24%

Nucor CORP

3.91M shares · 0.25% of port.

$660.69M

-39.03%

Liberty Live Holdings INC

4.99M shares · 0.17% of port.

$456.97M

0.00%

Louisiana Pac CORP

5.66M shares · 0.16% of port.

$412.11M

0.00%

Constellation Brands INC

632.89K shares · 0.04% of port.

$94.93M

-95.13%

13F data from SEC EDGAR: a snapshot of US long equity positions, lagged up to ~45 days after quarter-end. Excludes shorts, cash, bonds and non-US holdings. For research only — not investment advice.