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Warren Buffett

Berkshire Hathaway Inc

$82.48B

Total portfolio value

As of Mar 2026

Share on X

Performance (If You Copied This Portfolio)

1y

+17.8%

-3.5% vs S&P

3y

+11.2%

-35.9% vs S&P

5y

+8.7%

-32.3% vs S&P

10y

+10.8%

-140.0% vs S&P

all

+13.1%

+1763.4% vs S&P

Portfolio Allocation (Top Holdings)

OXY24.5%
CVX17.1%
GOOGL16.9%
CB15.9%
KHC10.4%
MCO7.8%
+2 more

27

New Buys

0

Increased

0

Decreased

0

Sold Out

New Positions This Quarter

OXYOCCIDENTAL PETE CORP

$17.22B

264.94M shares

CVXCHEVRON CORPORATION

$12.05B

58.25M shares

GOOGLALPHABET INC

$11.87B

41.28M shares

CBCHUBB LTD SWITZ

$11.16B

34.25M shares

KHCKRAFT HEINZ CO

$7.32B

325.63M shares

MCOMOODYS CORP

$5.51B

12.62M shares

DALDELTA AIR LINES INC

$2.65B

39.81M shares

SIRISIRIUSXM HOLDINGS INC

$2.51B

108.82M shares

DVADAVITA INC

$2.32B

15.13M shares

VRSNVERISIGN INC

$1.99B

8.02M shares

KRKROGER CO

$1.97B

27.26M shares

NEW YORK TNEW YORK TIMES CO MTN BE

$1.15B

13.75M shares

GOOGALPHABET INC

$1.03B

3.59M shares

AAPLAPPLE INC

$958.3M

3.78M shares

NUENUCOR CORP

$660.7M

3.91M shares

BACBANK AMERICA CORP

$477.8M

9.80M shares

AXPAMERICAN EXPRESS CO

$423.4M

1.40M shares

COFCAPITAL ONE FINL CORP

$389.9M

2.14M shares

LPXLOUISIANA PAC CORP

$316.1M

4.34M shares

LIBERTY LILIBERTY LIVE HOLDINGS INC

$135.3M

1.44M shares

CONSTELLATCONSTELLATION BRANDS INC

$94.9M

633K shares

NVRNVR INC

$73.2M

11K shares

KOCOCA COLA CO

$73.0M

960K shares

ALLY FINLALLY FINL INC

$50.0M

1.27M shares

MACYSMACYS INC

$30.1M

1.66M shares

LENLENNAR CORP

$20.0M

238K shares

JEFJEFFERIES FINANCIAL GROUP IN

$17.9M

434K shares

All Holdings (27)

StockValue% of PortfolioSharesChange
OXYOCCIDENTAL PETE CORPNEW$17.22B6.5%264.94M+%
CVXCHEVRON CORPORATIONNEW$12.05B4.6%58.25M+%
GOOGLALPHABET INCNEW$11.87B4.5%41.28M+%
CBCHUBB LTD SWITZNEW$11.16B4.2%34.25M+%
KHCKRAFT HEINZ CONEW$7.32B2.8%325.63M+%
MCOMOODYS CORPNEW$5.51B2.1%12.62M+%
DALDELTA AIR LINES INCNEW$2.65B1.0%39.81M+%
SIRISIRIUSXM HOLDINGS INCNEW$2.51B1.0%108.82M+%
DVADAVITA INCNEW$2.32B0.9%15.13M+%
VRSNVERISIGN INCNEW$1.99B0.8%8.02M+%
KRKROGER CONEW$1.97B0.8%27.26M+%
NEW YORK TNEW YORK TIMES CO MTN BENEW$1.15B0.4%13.75M+%
GOOGALPHABET INCNEW$1.03B0.4%3.59M+%
AAPLAPPLE INCNEW$958.3M0.4%3.78M+%
NUENUCOR CORPNEW$660.7M0.3%3.91M+%
BACBANK AMERICA CORPNEW$477.8M0.2%9.80M+%
AXPAMERICAN EXPRESS CONEW$423.4M0.2%1.40M+%
COFCAPITAL ONE FINL CORPNEW$389.9M0.1%2.14M+%
LPXLOUISIANA PAC CORPNEW$316.1M0.1%4.34M+%
LIBERTY LILIBERTY LIVE HOLDINGS INCNEW$135.3M0.1%1.44M+%
CONSTELLATCONSTELLATION BRANDS INCNEW$94.9M0.0%633K+%
NVRNVR INCNEW$73.2M0.0%11K+%
KOCOCA COLA CONEW$73.0M0.0%960K+%
ALLY FINLALLY FINL INCNEW$50.0M0.0%1.27M+%
MACYSMACYS INCNEW$30.1M0.0%1.66M+%
LENLENNAR CORPNEW$20.0M0.0%238K+%
JEFJEFFERIES FINANCIAL GROUP INNEW$17.9M0.0%434K+%

Filing History

Q1 2026

$263.10B

90 positions

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Data from SEC 13F filings. Holdings reported with ~45 day delay from quarter-end. Not investment advice.