Buffett's Berkshire Enters Liberty Global (LBTYA), Sells DISH Network (DISH) and GlaxoSmithKline (GSK)
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Warren Buffett's Berkshire Hathaway (NYSE: BRK-a) (NYSE: BRK-b) released its 13F for the quarter ended 12/31/13. Below is a summary comparing the latest filing to last quarter's 13F (9/30/13):
New Stakes
Goldman Sachs Group, Inc. (NYSE: GS) new 12,631,531 share position (***had warrants)
Graham Holdings (NYSE: GHC) new 1,727,765 share position (** name change from Washington Post, which he owned prior)
LIBERTY GLOBAL (NASDAQ: LBTYA) new 2,948,285 share position
Raised Stakes
Davita HealthCare Partners (NYSE: DVA) raised from 31,446,830 shares to 36,461,294 shares
Exxon Mobil (NYSE: XOM) raised from 40,089,371 shares to 41,129,643 shares
General Electric (NYSE: GE) raised from 588,900 shares to 10,585,502 shares
USG Corp. (NYSE: USG) raised from 17,072,192 shares to 34,890,174 shares *
U.S. Bancorp (NYSE: USB) raised from 79,117,501 shares to 79,320,901 shares
Wal-Mart Stores (NYSE: WMT) raised from 49,247,235 shares to 49,483,733 shares
Wells Fargo & Co. (NYSE: WFC) raised from 463,131,623 shares to 463,458,123 shares
Lowered Stakes
ConocoPhillips (NYSE: COP) lowered from 13,529,270 shares to 11,079,958 shares
LIBERTY MEDIA-A (NASDAQ: LMCA) lowered from 5,622,340 shares to 5,300,000 shares
Moodys Corp. (NYSE: MCO) lowered from 24,922,178 shares to 24,669,778 shares
STARZ-A (NASDAQ: STRZA) lowered from 5,622,340 shares to 4,541,881 shares
Suncor Energy, Inc. (NYSE: SU) lowered from 18,009,957 shares to 13,000,000 shares
Liquidated Stakes
DISH Network Corp. (NASDAQ: DISH) liquidated
GlaxoSmithKline PLC ADS (NYSE: GSK) liquidated
Washington Post Co. Cl B (NYSE: WPO) liquidated
Maintained Stakes
American Express Co. (NYSE: AXP) maintained 151,610,700 share stake
Bank of New York (NYSE: BK) maintained 24,652,836 share stake
Chicago Bridge & Iron (NYSE: CBI) maintained 9,550,755 share stake
Coca-Cola Co. (NYSE: KO) maintained 400,000,000 share stake
Costco Wholesale Corp (NASDAQ: COST) maintained 4,333,363 share stake
Deere & Company (NYSE: DE) maintained 3,978,767 share stake
DIRECTV (NASDAQ: DTV) maintained 36,514,700 share stake
General Motors (NYSE: GM) maintained 40,000,000 share stake
International Business Machines Corp. (NYSE: IBM) maintained 68,121,984 share stake
Johnson & Johnson (NYSE: JNJ) maintained 327,100 share stake
KRAFT FOODS GRP (NASDAQ: KRFT) maintained 192,666 share stake
Lee Enterprises, Inc. (NYSE: LEE) maintained 88,863 share stake
M&T Bank Corp. (NYSE: MTB) maintained 5,382,040 share stake
MasterCard Cl A (NYSE: MA) maintained 405,000 share stake
Media General Inc. Cl A (NYSE: MEG) maintained 4,646,220 share stake
MONDELEZ INT-A (NASDAQ: MDLZ) maintained 578,000 share stake
National-Oilwell, Inc. (NYSE: NOV) maintained 8,880,000 share stake
Phillips 66 (NYSE: PSX) maintained 27,163,918 share stake
Precision Castparts Corp. (NYSE: PCP) maintained 1,977,336 share stake
Procter & Gamble Co. (NYSE: PG) maintained 52,793,078 share stake
Sanofi (: SNYNF) maintained 3,905,875 share stake
Torchmark Corp. (NYSE: TMK) maintained 4,235,818 share stake
United Parcel Service Inc. Cl B (NYSE: UPS) maintained 59,400 share stake
VeriSign, Inc. (NASDAQ: VRSN) maintained 10,961,520 share stake
VERISK ANLYTCS-A (NASDAQ: VRSK) maintained 1,563,434 share stake
Viacom (NYSE: VIA-B) maintained 7,607,200 share stake
Visa (NYSE: V) maintained 1,555,459 share stake
WABCO Holdings (NYSE: WBC) maintained 4,076,325 share stake
* Since the original filing these positions have been updated further.
New Stakes
Goldman Sachs Group, Inc. (NYSE: GS) new 12,631,531 share position (***had warrants)
Graham Holdings (NYSE: GHC) new 1,727,765 share position (** name change from Washington Post, which he owned prior)
LIBERTY GLOBAL (NASDAQ: LBTYA) new 2,948,285 share position
Raised Stakes
Davita HealthCare Partners (NYSE: DVA) raised from 31,446,830 shares to 36,461,294 shares
Exxon Mobil (NYSE: XOM) raised from 40,089,371 shares to 41,129,643 shares
General Electric (NYSE: GE) raised from 588,900 shares to 10,585,502 shares
USG Corp. (NYSE: USG) raised from 17,072,192 shares to 34,890,174 shares *
U.S. Bancorp (NYSE: USB) raised from 79,117,501 shares to 79,320,901 shares
Wal-Mart Stores (NYSE: WMT) raised from 49,247,235 shares to 49,483,733 shares
Wells Fargo & Co. (NYSE: WFC) raised from 463,131,623 shares to 463,458,123 shares
Lowered Stakes
ConocoPhillips (NYSE: COP) lowered from 13,529,270 shares to 11,079,958 shares
LIBERTY MEDIA-A (NASDAQ: LMCA) lowered from 5,622,340 shares to 5,300,000 shares
Moodys Corp. (NYSE: MCO) lowered from 24,922,178 shares to 24,669,778 shares
STARZ-A (NASDAQ: STRZA) lowered from 5,622,340 shares to 4,541,881 shares
Suncor Energy, Inc. (NYSE: SU) lowered from 18,009,957 shares to 13,000,000 shares
Liquidated Stakes
DISH Network Corp. (NASDAQ: DISH) liquidated
GlaxoSmithKline PLC ADS (NYSE: GSK) liquidated
Washington Post Co. Cl B (NYSE: WPO) liquidated
Maintained Stakes
American Express Co. (NYSE: AXP) maintained 151,610,700 share stake
Bank of New York (NYSE: BK) maintained 24,652,836 share stake
Chicago Bridge & Iron (NYSE: CBI) maintained 9,550,755 share stake
Coca-Cola Co. (NYSE: KO) maintained 400,000,000 share stake
Costco Wholesale Corp (NASDAQ: COST) maintained 4,333,363 share stake
Deere & Company (NYSE: DE) maintained 3,978,767 share stake
DIRECTV (NASDAQ: DTV) maintained 36,514,700 share stake
General Motors (NYSE: GM) maintained 40,000,000 share stake
International Business Machines Corp. (NYSE: IBM) maintained 68,121,984 share stake
Johnson & Johnson (NYSE: JNJ) maintained 327,100 share stake
KRAFT FOODS GRP (NASDAQ: KRFT) maintained 192,666 share stake
Lee Enterprises, Inc. (NYSE: LEE) maintained 88,863 share stake
M&T Bank Corp. (NYSE: MTB) maintained 5,382,040 share stake
MasterCard Cl A (NYSE: MA) maintained 405,000 share stake
Media General Inc. Cl A (NYSE: MEG) maintained 4,646,220 share stake
MONDELEZ INT-A (NASDAQ: MDLZ) maintained 578,000 share stake
National-Oilwell, Inc. (NYSE: NOV) maintained 8,880,000 share stake
Phillips 66 (NYSE: PSX) maintained 27,163,918 share stake
Precision Castparts Corp. (NYSE: PCP) maintained 1,977,336 share stake
Procter & Gamble Co. (NYSE: PG) maintained 52,793,078 share stake
Sanofi (: SNYNF) maintained 3,905,875 share stake
Torchmark Corp. (NYSE: TMK) maintained 4,235,818 share stake
United Parcel Service Inc. Cl B (NYSE: UPS) maintained 59,400 share stake
VeriSign, Inc. (NASDAQ: VRSN) maintained 10,961,520 share stake
VERISK ANLYTCS-A (NASDAQ: VRSK) maintained 1,563,434 share stake
Viacom (NYSE: VIA-B) maintained 7,607,200 share stake
Visa (NYSE: V) maintained 1,555,459 share stake
WABCO Holdings (NYSE: WBC) maintained 4,076,325 share stake
* Since the original filing these positions have been updated further.
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