Berkshire Hathaway Cl B - COM

Historical Portfolio Holders from Q1 2014 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / COM
Shares, excl. options Q1 2024
102 K
Holdings value Q1 2024
$42.8 M
Value change Q1 2024
-$112 M
Grand Portfolio weight change Q1 2024
0%
Number of holders
14
Number of buys Q1 2024
4
Number of sells Q1 2024
-5
Average buys Q1 2024 %
+0%
Average sells Q1 2024 %
-0.007%
CUSIP
084670207
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 102 K $42.8 M -$112 M $420.52 14
2023 Q4 414 K $148 M -$168 K $356.66 14
2023 Q3 399 K $140 M +$1.45 M $350.30 13
2023 Q2 866 $3.11 M $0 $3,533.87 2
2023 Q1 1 $3.48 K $0 $3,476.00 1
2022 Q4 1 $3.48 K $0 $3,476.00 1
2022 Q3 1 $3 K $0 $3,000.00 1
2022 Q2 1 $3 K $0 $3,000.00 1
2022 Q1 1 $3 K $0 $3,000.00 1
2021 Q4 1 $3 K $0 $3,000.00 1
2021 Q3 517 K $141 M -$507 K $272.94 14
2021 Q2 508 K $144 M +$26.7 M $277.92 17
2021 Q1 455 K $116 M +$6.43 M $255.47 18
2020 Q4 1 $3 K $0 $3,000.00 1
2020 Q3 1 $3 K $0 $3,000.00 1
2020 Q2 1 $3 K $0 $3,000.00 1
2020 Q1 1 $3 K $0 $3,000.00 1
2019 Q4 1 $3 K -$35 $3,000.00 1
2019 Q3 170 $3.04 K $0 $1,500.10 2
2019 Q2 170 $3.04 K -$31.7 M $1,500.11 2
2019 Q1 1.09 M $220 M +$48.4 M $200.88 33
2018 Q4 1 $3 K $0 $3,000.00 1
2018 Q3 1 $3 K -$9.63 M $3,000.00 1
2018 Q2 882 K $165 M +$5.6 M $186.65 30
2018 Q1 996 K $199 M -$8.12 M $199.48 34
2017 Q4 1.04 M $206 M -$10.8 M $198.22 38
2017 Q3 1.08 M $198 M -$20.6 M $183.32 36
2017 Q2 1.2 M $204 M +$6.63 M $169.37 38
2017 Q1 1.16 M $194 M -$7.47 M $166.68 38
2016 Q4 1.2 M $195 M -$16.6 M $162.98 38
2016 Q3 1.39 M $200 M +$1.38 M $144.47 41
2016 Q2 1.38 M $199 M -$20.3 M $144.79 43
2016 Q1 1.26 M $179 M +$9.92 M $141.88 45
2015 Q4 1.32 M $174 M -$13 M $132.04 49
2015 Q3 1.1 M $143 M -$22.7 M $130.39 49
2015 Q2 1.58 M $215 M -$23.9 M $136.11 50
2015 Q1 1.56 M $224 M +$1.28 M $144.32 52
2014 Q4 1.74 M $261 M -$22.2 M $150.15 55
2014 Q3 1.82 M $251 M -$1.79 M $138.14 51
2014 Q2 1.82 M $230 M -$187 K $126.56 53
2014 Q1 1.84 M $229 M -$14.9 M $124.97 49