Warren Buffett / Portfolio / 2014-Q3

    Company Shares Market value Share price
    Wells Fargo & Company 463M $24B $52
    The Coca-Cola Company 400M $17B $43
    International Business Machines Corporation 70M $13B $190
    American Express Company 152M $13B $88
    Walmart Inc. 60M $4.6B $76
    The Procter & Gamble Company 53M $4.4B $84
    Exxon Mobil Corporation 41M $3.9B $94
    U.S. Bancorp 80M $3.4B $42
    DaVita Inc. 38M $2.8B $73
    DIRECTV 30M $2.6B $87
    Moody's Corporation 25M $2.3B $95
    The Goldman Sachs Group, Inc. 13M $2.3B $184
    General Motors Company 40M $1.3B $32
    U S G CORP 39M $1.1B $27
    The Bank of New York Mellon Corporation 23M $905M $39
    Verizon Communications Inc. 15M $750M $50
    CHARTER COMMUNICATIONS INC D 5M $749M $151
    VeriSign, Inc. 13M $716M $55
    SUNCOR ENERGY INC NEW 18M $668M $36
    M & T BK CORP 5.4M $664M $123
    CHICAGO BRIDGE & IRON CO N V 11M $619M $58
    VIACOM INC NEW 7.7M $593M $77
    Costco Wholesale Corporation 4.3M $543M $125
    Phillips 66 6.2M $504M $81
    PRECISION CASTPARTS CORP 2.1M $493M $237
    NATIONAL OILWELL VARCO INC 6.4M $486M $76
    Visa Inc. 2.1M $458M $213
    LIBERTY GLOBAL PLC 10M $442M $43
    LIBERTY MEDIA CORP DELAWARE 8M $376M $47
    WABCO HLDGS INC 4.1M $371M $91
    Mastercard Incorporated 4.7M $349M $74
    TORCHMARK CORP 6.4M $333M $52
    LIBERTY GLOBAL PLC 7.3M $301M $41
    GENERAL ELECTRIC CO 11M $271M $26
    Sanofi 3.9M $220M $56
    LIBERTY MEDIA CORP DELAWARE 4M $189M $47
    Verisk Analytics, Inc. 1.6M $95M $61
    Graham Holdings Company 108K $75M $700
    MEDIA GEN INC 4.6M $61M $13
    NOW Inc. 1.8M $56M $30
    ConocoPhillips 472K $36M $77
    Johnson & Johnson 327K $35M $107
    EXPRESS SCRIPTS HLDG CO 449K $32M $71
    Mondelez International, Inc. 578K $20M $34
    KRAFT FOODS GROUP INC 193K $11M $56
    United Parcel Service, Inc. 59K $5.8M $98
    LEE ENTERPRISES INC 89K $300K $3.4

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