Berkshire Hathaway - B - COM

Historical Holders from Q4 2017 to Q3 2025

Type / Class
Equity / COM
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
44,506
Holdings value
$22,374,946
% of all portfolios
0%
Number of holders
1
Number of sells
-1
Average sells %
-0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of Berkshire Hathaway - B - COM

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q3 44,506 $22,374,946 -$705,344 $502.74 1
2025 Q2 45,909 $22,301,215 -$96,182 $485.77 1
2025 Q1 46,107 $24,555,666 -$164,035 $532.58 1
2024 Q4 46,415 $21,038,991 +$48,954 $453.28 1
2024 Q3 46,307 $21,313,260 -$353,480 $460.26 1
2024 Q2 47,075 $19,150,110 -$159,466 $406.8 1
2024 Q1 47,467 $19,960,823 +$98,402 $420.52 1
2023 Q4 47,233 $16,846,122 +$914,476 $356.66 1
2023 Q3 44,669 $15,647,551 -$43,788 $350.3 1
2023 Q2 44,794 $15,274,754 -$35,805 $341 1
2023 Q1 44,899 $13,863,464 +$85,529 $308.77 1
2022 Q4 44,622 $13,783,736 +$35,215 $308.9 1
2022 Q3 44,508 $11,885,000 +$84,916 $267.03 1
2022 Q2 44,190 $12,065,000 +$15,016 $273.03 1
2022 Q1 44,135 $15,576,000 -$92,817 $352.92 1
2021 Q4 44,398 $13,275,000 -$26,611 $299 1
2021 Q3 44,487 $12,142,000 +$23,745 $272.93 1
2021 Q2 44,400 $12,340,000 -$42,523 $277.93 1
2021 Q1 44,553 $11,382,000 +$191,348 $255.47 1
2020 Q4 43,804 $10,157,000 +$811,558 $231.87 1
2020 Q3 40,304 $8,582,000 -$10,434 $212.93 1
2020 Q2 40,353 $7,203,000 -$135,660 $178.5 1
2020 Q1 41,113 $7,517,000 +$1,828 $182.84 1
2019 Q4 41,103 $9,310,000 +$100,794 $226.5 1
2019 Q3 40,658 $8,458,000 +$131,058 $208.03 1
2019 Q2 40,028 $8,533,000 -$177,789 $213.18 1
2019 Q1 40,862 $8,209,000 -$51,228 $200.9 1
2018 Q4 41,117 $8,395,000 +$7,146 $204.17 1
2018 Q3 41,082 $8,796,000 +$77,079 $214.11 1
2018 Q2 40,722 $7,601,000 +$33,598 $186.66 1
2018 Q1 40,542 $8,087,000 -$3,989 $199.47 1
2017 Q4 40,562 $8,040,000 +$8,040,000 $198.22 1