Warren Buffett / Portfolio / 2020-Q1

    Company Shares Market value Share price InsiderPie Expert Score
    Apple Inc.
    US0378331005
    245M $62B $254 63 / 100
    Bank of America Corporation
    US0605051046
    925M $20B $21 65 / 100
    The Coca-Cola Company
    US1912161007
    400M $18B $44 83 / 100
    American Express Company
    US0258161092
    152M $13B $86 80 / 100
    Wells Fargo & Company
    US9497461015
    323M $9.3B $29 65 / 100
    The Kraft Heinz Company
    US5007541064
    326M $8.1B $25 71 / 100
    Moody's Corporation
    US6153691059
    25M $5.2B $212 79 / 100
    JPMorgan Chase & Co.
    US46625H1005
    58M $5.2B $90 82 / 100
    U.S. Bancorp
    US9029733048
    132M $4.6B $34 28 / 100
    DaVita Inc.
    US23918K1088
    38M $2.9B $76 67 / 100
    The Bank of New York Mellon Corporation
    US0640581007
    80M $2.7B $34 61 / 100
    Charter Communications, Inc.
    US16119P1084
    5.4M $2.4B $436 54 / 100
    VeriSign, Inc.
    US92343E1029
    13M $2.3B $180 62 / 100
    Delta Air Lines, Inc.
    US2473617023
    72M $2.1B $29 52 / 100
    Southwest Airlines Co.
    US8447411088
    54M $1.9B $36 52 / 100
    Visa Inc.
    US92826C8394
    11M $1.7B $161 83 / 100
    General Motors Company
    US37045V1008
    75M $1.6B $21 61 / 100
    Costco Wholesale Corporation
    US22160K1051
    4.3M $1.2B $285 58 / 100
    Mastercard Incorporated
    US57636Q1040
    4.9M $1.2B $242 84 / 100
    Amazon.com, Inc.
    US0231351067
    533K $1B $1.9K 88 / 100
    LIBERTY MEDIA CORP DELAWARE
    US5312296073
    31M $976M $32
    The PNC Financial Services Group, Inc.
    US6934751057
    9.2M $880M $96 77 / 100
    United Airlines Holdings, Inc.
    US9100471096
    22M $699M $32 51 / 100
    SIRIUS XM HLDGS INC
    US82968B1035
    132M $654M $4.9
    The Kroger Co.
    US5010441013
    19M $570M $30 68 / 100
    M & T BK CORP
    US55261F1049
    5.4M $557M $103
    American Airlines Group Inc.
    US02376R1023
    42M $511M $12 50 / 100
    LIBERTY MEDIA CORP DELAWARE
    US5312294094
    15M $471M $32
    Globe Life Inc.
    US37959E1029
    6.4M $457M $72 49 / 100
    AXALTA COATING SYS LTD
    USG0750C1083
    24M $416M $17
    Teva Pharmaceutical Industries Limited
    US8816242098
    43M $384M $9 46 / 100
    RESTAURANT BRANDS INTL INC
    US76131D1037
    8.4M $338M $40
    STORE Capital Corporation
    US8621211007
    19M $337M $18 50 / 100
    Synchrony Financial
    US87165B1035
    20M $324M $16 53 / 100
    LIBERTY GLOBAL PLC
    USG5480U1046
    19M $319M $17
    STONECO LTD
    USG851581060
    14M $308M $22
    The Goldman Sachs Group, Inc.
    US38141G1040
    1.9M $297M $155 67 / 100
    SUNCOR ENERGY INC NEW
    US8672241077
    15M $236M $16
    Occidental Petroleum Corporation
    US6745991058
    19M $219M $12 75 / 100
    Biogen Inc.
    US09062X1037
    643K $203M $316 54 / 100
    Rh
    US74967X1037
    1.7M $172M $100 49 / 100
    LIBERTY GLOBAL PLC
    USG5480U1202
    7.3M $115M $16
    Johnson & Johnson
    US4781601046
    327K $43M $131 48 / 100
    The Procter & Gamble Company
    US7427181091
    315K $35M $110 65 / 100
    Mondelez International, Inc.
    US6092071058
    578K $29M $50 51 / 100
    LIBERTY LATIN AMERICA LTD
    USG9001E1022
    2.6M $28M $11
    LIBERTY LATIN AMERICA LTD
    USG9001E1287
    1.3M $13M $10
    VANGUARD INDEX FDS
    US9229083632
    43K $10M $237
    SPDR S&P 500 ETF TR
    US78462F1030
    39K $10M $258
    United Parcel Service, Inc.
    US9113121068
    59K $5.5M $93 46 / 100

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