13F filing recap · Q4 1998
What did Berkshire Hathaway Inc buy in Q4 1998?
Reported stock-position changes between this filing and the previous one.
Stock value
$38.32B
Positions
30
Estimated turnover
—
Turnover is a proxy: verified trade-origin share changes valued at period-end and divided by average reported stock value. SEC holdings reports do not disclose execution dates or prices. Corporate actions and unreconciled activity are excluded.
New positions
KOCoca Cola Co$13.40Breported value+200.00M sharesAXPAmerican Express Co$5.18Breported value+50.54M sharesGThe Gillette Co$4.59Breported value+96.00M sharesFMCCFederal Home Loan Mortgage Corp$4.00Breported value+62.10M sharesWFCWells Fargo & Company$2.54Breported value+63.60M sharesWSCWesco Financial Corporation$2.02Breported value+5.70M sharesDISWalt Disney Co/$1.54Breported value+51.20M sharesGHCGraham Holdings Co$998.54Mreported value+1.73M sharesSTITruist Financial Corp$508.07Mreported value+6.64M sharesGDGeneral Dynamics Corp$453.93Mreported value+7.69M sharesFNMAFederal National Mortgage Association$426.63Mreported value+5.77M sharesFDCFirst Data Corp$395.24Mreported value+12.40M sharesUSBUS Bancorp$296.40Mreported value+8.35M sharesMTBM&T Bank Corporation$263.06Mreported value+506.9K sharesGCIGannett Co. Inc.$255.67Mreported value+3.96M sharesCCitigroup Inc$253.25Mreported value+5.10M sharesNKENike, Inc.$253.01Mreported value+6.24M sharesAIGAmerican International Group, Inc.$228.38Mreported value+2.36M sharesNUENucor Corporation$180.55Mreported value+4.17M sharesGLKGreat Lakes Chemical Corporation$160.00Mreported value+4.00M sharesTCATTca Cable TV Inc$144.00Mreported value+4.04M sharesMANManpowergroup Inc.$92.06Mreported value+3.65M sharesCOSTCostco Wholesale Corporation$40.06Mreported value+555.0K sharesWMTWalmart Inc.$35.10Mreported value+431.0K sharesTMKTorchmark Corp$23.39Mreported value+662.6K sharesZNTZenith National Insurance Corp$18.89Mreported value+816.7K sharesPSGPs Group Holdings, Inc$14.19Mreported value+1.21M sharesWDRWaddell & Reed Financial, Inc.$3.77Mreported value+162.3K sharesWDRWaddell & Reed Financial, Inc.$893.0Kreported value+37.7K sharesLCCUS Airways Group Inc$863.0Kreported value+16.6K shares