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Berkshire Hathaway 13F holdings, Q1 2003

Holdings as of March 31, 2003 · filings on SEC EDGAR · latest filing →

Berkshire Hathaway disclosed 36 US equity positions worth $27.3bn in its Q1 2003 13F filing. The largest position was KO at 29.6% of the reported book, followed by AXP and Co. Against the Q4 2002 filing, it opened 4 new positions, added to 4 and reduced 3 among the top 36 holdings.

← Q4 2002 · Q2 2003 →

What did Berkshire Hathaway own in Q1 2003? Top 36 positions

#StockSectorWeightValueSharesΔ sharesvs Q4 2002
1 KO Coca Cola Consumer Defensive 29.6%$8.1bn200,000,000 0% held
2 AXP Co Financial Services 18.4%$5.0bn151,610,700 0% held
3 Co 10.9%$3.0bn96,000,000 0% held
4 WFC Co. Del Financial Services 8.8%$2.4bn53,265,080 0% held
5 Corp 6.2%$1.7bn5,703,087 0% held
6 Co 4.3%$1.2bn1,727,765 0% held
7 MCO Moody's Financial Services 4.1%$1.1bn24,000,000 0% held
8 HRB H & R Consumer Cyclical 2.5%$683.0m15,999,200 0% held
9 MTB tion Financial Services 1.9%$527.2m6,708,760 0% held
10 First Data Corporation 1.2%$316.0m8,539,400 -24% reduced
11 NKE Nike Inc Consumer Cyclical 1.1%$308.5m6,000,000 0% held
12 Inc 1.1%$305.7m5,806,300 0% held
13 Iron Mountain Inc 1.1%$304.0m7,947,500 -1% reduced
14 GAP Gap Inc Consumer Cyclical 1.1%$289.8m20,000,000 0% held
15 Inc 0.9%$256.1m3,636,800 0% held
16 Inc 0.8%$231.2m22,000,000 0% held
17 Companies 0.8%$222.3m3,232,000 0% held
18 Co 0.7%$197.7m1,468,573 1% added
19 ADP Processing Technology 0.6%$176.6m5,735,000 1194% added
20 COST Corp Consumer Defensive 0.6%$157.8m5,254,000 0% held
21 Corp 0.6%$154.3m6,948,700 0% held
22 DOV Corp Industrials 0.4%$109.0m4,500,000 12% added
23 GATX GATX Corp Industrials 0.4%$106.3m7,340,700 0% held
24 tion 0.4%$100.0m2,492,800 0% held
25 Duke Energy Corp 0.3%$70.0m4,813,900 new
26 TMK Corp 0.3%$69.4m1,938,179 0% held
27 Inc 0.2%$66.1m1,867,500 0% held
28 MLI Industries Industrials 0.2%$61.9m2,480,900 0% held
29 tion 0.1%$32.4m704,500 0% held
30 tion 0.1%$27.0m6,500,000 0% held
31 Corp 0.1%$26.0m680,000 -36% reduced
32 tions 0.1%$20.0m1,590,696 new
33 PC6A Co LTD 0.1%$15.0m718,800 231% added
34 Ins. Corp 0.0%$9.7m451,355 0% held
35 DST Systems Inc 0.0%$5.4m200,000 new
36 cations 0.0%$4.5m879,000 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.