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Berkshire Hathaway 13F holdings, Q2 2000

Holdings as of June 30, 2000 · filings on SEC EDGAR · latest filing →

Berkshire Hathaway disclosed 35 US equity positions worth $34.1bn in its Q2 2000 13F filing. The largest position was KO at 33.7% of the reported book, followed by AXP and The Gillette Co. Against the Q1 2000 filing, it opened 9 new positions, added to 4 and reduced 6 among the top 35 holdings.

← Q1 2000 · Q3 2000 →

What did Berkshire Hathaway own in Q2 2000? Top 35 positions

#StockSectorWeightValueSharesΔ sharesvs Q1 2000
1 KO Coca Cola Consumer Defensive 33.7%$11.5bn200,000,000 0% held
2 AXP American Express Co Financial Services 23.2%$7.9bn151,610,700 200% added
3 The Gillette Co 9.8%$3.4bn96,000,000 0% held
4 WFC & Co. Del Financial Services 6.6%$2.3bn58,464,898 -1% reduced
5 Federal Home 3.9%$1.3bn32,514,246 -43% reduced
6 Wesco Finl Corp 3.4%$1.2bn5,703,087 0% held
7 Washington Post Co 2.4%$825.9m1,727,765 0% held
8 COST Corp Consumer Defensive 2.1%$709.7m21,505,000 new
9 Dun & Bradstreet Corp 2.0%$687.0m24,000,000 0% held
10 First Data Corporation 1.4%$481.1m9,694,000 -0% held
11 US Bancorp 1.2%$413.8m26,551,659 21% added
12 Jones Apparel Group Inc 1.1%$370.1m15,750,000 0% held
13 Shaw Communications Inc. C1 B 1.0%$340.4m13,788,100 new
14 Sun Trusts Banks Inc 0.9%$303.4m6,641,400 0% held
15 MTB Corporation Financial Services 0.9%$301.5m669,925 8% added
16 GD Corp Industrials 0.8%$259.9m4,973,777 0% held
17 NKE Nike Inc Consumer Cyclical 0.8%$256.4m6,440,600 -0% held
18 Citigroup 0.7%$254.6m4,226,345 -23% reduced
19 GATX GATX Corp Industrials 0.7%$249.6m7,340,700 0% held
20 Great Lakes Chemical Corp 0.6%$220.5m7,000,000 8% added
21 Gannett Inc 0.6%$217.5m3,636,800 0% held
22 Liz Claiborne Inc 0.5%$172.5m4,894,500 0% held
23 HRB Block H & R Inc Consumer Cyclical 0.4%$132.4m4,089,500 new
24 CB Chubb Corp Financial Services 0.4%$129.8m2,109,800 -66% reduced
25 GAP Gap Inc Consumer Cyclical 0.2%$75.0m2,400,015 new
26 DIS Walt Disney Company Communication Services 0.2%$54.1m1,394,142 -64% reduced
27 TMK Torchmark Corp 0.2%$51.2m2,073,462 0% held
28 UST Inc 0.1%$22.3m1,520,900 0% held
29 Shaw Industries 0.1%$20.6m1,650,100 new
30 EIX Edison International Utilities 0.1%$18.9m921,000 -86% reduced
31 Zenith National Ins. Corp 0.1%$17.4m816,655 0% held
32 Hertz Corp 0.0%$16.7m594,700 new
33 MLI Mueller Industries Inc Industrials 0.0%$14.3m509,200 new
34 Inc 0.0%$552.0k26,000 new
35 Centex Corp 0.0%$82.0k3,500 new

Weights are shares of the reported long US equity book (options excluded). Values are as filed, normalised to whole dollars. Share changes compare against the immediately preceding filing only.