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Berkshire Hathaway 13F holdings, Q2 2001

Holdings as of June 30, 2001 · filings on SEC EDGAR · latest filing →

Berkshire Hathaway disclosed 35 US equity positions worth $29.6bn in its Q2 2001 13F filing. The largest position was KO at 30.4% of the reported book, followed by AXP and The Gillette Co. Against the Q1 2001 filing, it opened 1 new position, added to 0 and reduced 10 among the top 35 holdings.

← Q1 2001 · Q3 2001 →

What did Berkshire Hathaway own in Q2 2001? Top 35 positions

#StockSectorWeightValueSharesΔ sharesvs Q1 2001
1 KO Coca Cola Consumer Defensive 30.4%$9.0bn200,000,000 0% held
2 AXP American Express Co Financial Services 19.9%$5.9bn151,610,700 0% held
3 The Gillette Co 9.4%$2.8bn96,000,000 0% held
4 WFC Wells Fargo & Co. Del Financial Services 8.4%$2.5bn53,265,080 -3% reduced
5 Wesco Finl Corp 6.7%$2.0bn5,703,087 0% held
6 Washington Post Co 3.4%$991.7m1,727,765 0% held
7 MCO Moody's Financial Services 2.7%$804.0m24,000,000 0% held
8 HRB Block H & R Consumer Cyclical 1.7%$509.0m7,884,600 0% held
9 MTB M & T Bank Corporation Financial Services 1.7%$506.5m6,708,760 0% held
10 First Data Corporation 1.7%$504.4m7,850,000 0% held
11 Shaw Communications Inc 1.6%$474.8m20,000,000 0% held
12 COST Costco Wholesale Corp Consumer Defensive 1.6%$462.8m11,267,000 -33% reduced
13 Sun Trusts Banks Inc 1.3%$376.1m5,806,300 -13% reduced
14 Jones Apparel Group Inc 1.2%$347.2m8,036,800 -41% reduced
15 GATX GATX Corp Industrials 1.0%$294.4m7,340,700 0% held
16 Gannett Inc 0.8%$239.7m3,636,800 0% held
17 Great Lakes Chemical Corp 0.7%$214.4m6,948,700 0% held
18 NKE Nike Inc Consumer Cyclical 0.7%$207.0m4,930,700 0% held
19 Dun & Bradstreet Corp 0.7%$195.9m6,945,400 -42% reduced
20 GAP Gap Inc Consumer Cyclical 0.6%$179.4m6,185,000 -7% reduced
21 GPU Inc 0.6%$173.0m4,921,300 0% held
22 Citigroup 0.5%$156.5m2,961,430 -22% reduced
23 USB US Bancorp Financial Services 0.5%$143.2m6,284,839 -55% reduced
24 Corporation 0.5%$143.1m3,841,800 -3% reduced
25 MLI Mueller Industries Industrials 0.4%$105.9m3,216,900 0% held
26 TMK Torchmark Corp 0.3%$83.4m2,073,462 0% held
27 Honeywell International Inc 0.3%$78.5m2,250,000 new
28 Liz Claiborne 0.2%$61.3m1,214,100 -41% reduced
29 Inc 0.2%$53.8m1,867,500 0% held
30 Office Depot Inc 0.2%$51.9m5,000,000 0% held
31 DOV Dover Corp Industrials 0.1%$37.7m1,000,014 0% held
32 USG Corporation 0.1%$27.4m6,500,000 0% held
33 Corporation PVD CVA 0.1%$27.1m679,500 0% held
34 Zenith National Ins. Corp 0.1%$22.1m816,655 0% held
35 LZB La-Z-Boy Consumer Cyclical 0.0%$1.0m54,100 0% held

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.