27.7.11

Funds at Warren Buffett's Berkshire Hathaway were valued at $53.6 billion as of March 31, 2011.

During the quarter Warren Buffett had 26 total positions. Here are the holdings as of March 31.

SOURCE: http://stockpickr.com/pro/portfolio/warren-buffett//

Symbol / CoLast PriceChangeAnalysis
KO
The Coca-Cola Co
$68.69-0.50
(-0.72%)
24.75% of portfolio.
8.72% held.
200 million shares.
Position unchanged.
WFC
Wells Fargo & Co
$28.58-0.39
(-1.35%)
20.27% of portfolio.
6.5% held.
342.62 million shares.
Position unchanged.
AXP
American Express Co
$50.48-1.09
(-2.11%)
12.79% of portfolio.
12.61% held.
151.61 million shares.
Position unchanged.
PG
Procter & Gamble ...
$62.20-0.89
(-1.41%)
8.82% of portfolio.
2.74% held.
76.77 million shares.
Position unchanged.
KFT
Kraft Foods Inc
$34.53-0.38
(-1.09%)
6.16% of portfolio.
6.02% held.
105.21 million shares.
Position unchanged.
JNJ
Johnson & Johnson
$65.23-0.69
(-1.05%)
4.71% of portfolio.
1.56% held.
42.62 million shares.
Position unchanged.
COP
ConocoPhillips
$73.13-0.48
(-0.65%)
4.34% of portfolio.
2.04% held.
29.1 million shares.
Position changed by -8,000 shares.
WSC
Wesco Financial C...
$384.50-0.41
(-0.11%)
4.14% of portfolio.
80.1% held
5.7 million shares.
Position unchanged.
WMT
Wal-Mart Stores Inc.
$53.25-0.34
(-0.63%)
3.79% of portfolio.
1.12% held.
39.04 million shares.
Position unchanged.
USB
U.S. Bancorp
$26.22-0.52
(-1.94%)
3.4% of portfolio.
3.59% held.
69.04 million shares.
Position unchanged.
MCO
Moody's Corporation
$35.45-1.97
(-5.26%)
1.79% of portfolio.
12.39% held.
28.42 million shares.
Position unchanged.
WPO
Washington Post C...
$419.82-6.98
(-1.64%)
1.4% of portfolio.
25.12% held.
1.73 million shares.
Position unchanged.
MTB
M&T Bank Corp
$87.14-1.11
(-1.26%)
0.89% of portfolio.
4.46% held.
5.36 million shares.
Position unchanged.
COST
Costco Wholesale ...
$78.39-2.16
(-2.68%)
0.6% of portfolio.
1% held.
4.33 million shares.
Position unchanged.
USG
USG Corp
$11.49-0.58
(-4.81%)
0.53% of portfolio.
16.6% held.
17.07 million shares.
Position unchanged.
TMK
Torchmark Corpora...
$40.19-0.96
(-2.33%)
0.35% of portfolio.
3.64% held.
2.82 million shares.
Position unchanged.
GE
General Electric Co
$18.11-0.45
(-2.42%)
0.29% of portfolio.
0.07% held.
7.78 million shares.
Position unchanged.
SNY
Sanofi
$38.22-1.52
(-3.82%)
0.27% of portfolio.
0.16% held.
4.06 million shares.
Position unchanged.
UPS
United Parcel Ser...
$70.21-1.38
(-1.93%)
0.2% of portfolio.
0.2% held.
1.43 million shares.
Position unchanged.
GSK
GlaxoSmithKline PLC
$44.30-0.59
(-1.31%)
0.11% of portfolio.
0.06% held.
1.51 million shares.
Position unchanged.
MA
MasterCard Incorp...
$303.09-9.67
(-3.09%)
0.1% of portfolio.
0.18% held.
216,000 shares.
Position new.
BK
Bank of New York ...
$25.10-0.61
(-2.37%)
0.1% of portfolio.
-1.4% held.
1.79 million shares.
Position unchanged.
XOM
Exxon Mobil Corpo...
$83.31-1.06
(-1.26%)
0.07% of portfolio.
0.01% held.
421,800 shares.
Position unchanged.
IR
Ingersoll-Rand PLC
$37.62-1.98
(-5.00%)
0.06% of portfolio.
0.19% held.
636,600 shares.
Position unchanged.
GCI
Gannett Co Inc
$13.11-0.50
(-3.67%)
0.05% of portfolio.
0.73% held.
1.74 million shares.
Position unchanged.
CDCO
Comdisco Holding ...
$6.501.30
(25.00%)
0.03% of portfolio.
38.18% held.
1.54 million shares.
Position unchanged.

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