BERKSHIRE HATHAWAY INC - CL B NEW (BRKB)

Historical Holders from Q1 2014 to Q3 2025

Symbol
BRKB on NYSE
CUSIP
084670702
Type / Class
Equity / CL B NEW
All holders as of September 30, 2025
Q3 2025
Total 13F shares, excl. options
872M
Holdings value
$438B
% of all portfolios
0.659%
Grand Portfolio weight change
-0.001%
Number of holders
4430
Number of buys
1947
Number of sells
-1909
Average Value change %
-0.01%
Average buys %
+0.035%
Average sells %
-0.049%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of BERKSHIRE HATHAWAY INC - CL B NEW (BRKB)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 872M $438B -$757M $502.74 4,430
2025 Q2 875M $425B +$2.79B $485.77 4,525
2025 Q1 870M $463B +$1.55B $532.58 4,476
2024 Q4 866M $393B +$9.85B $453.28 4,410
2024 Q3 841M $387B -$8.02B $460.26 4,041
2024 Q2 857M $349B +$9.62B $406.80 3,951
2024 Q1 826M $347B -$8B $420.52 3,935
2023 Q4 7.53M $2.68B -$268M $356.66 70
2023 Q3 827M $290B +$1.35B $350.30 3,552
2023 Q2 801M $273B +$508M $341.00 3,514
2023 Q1 823M $254B -$3.12B $308.77 3,461
2022 Q4 833M $257B +$2.19B $308.90 3,473
2022 Q3 809M $216B -$460M $267.02 3,251
2022 Q2 831M $227B -$2.36B $273.02 3,284
2022 Q1 846M $298B +$2.57B $352.91 3,360
2021 Q4 841M $251B -$4.59B $299.00 3,338
2021 Q3 851M $232B -$5.32B $272.94 2,971
2021 Q2 870M $242B -$2.05B $277.92 2,991
2021 Q1 877M $224B -$4.19B $255.47 2,954
2020 Q4 895M $207B -$6.06B $231.87 2,872
2020 Q3 923M $196B -$1.16B $212.94 2,604
2020 Q2 925M $165B -$1.57B $178.51 2,557
2020 Q1 897M $164B -$411M $182.83 2,558
2019 Q4 936M $212B +$2.41B $226.50 2,591
2019 Q3 925M $192B +$3.68B $208.02 2,363
2019 Q2 906M $193B +$5.8B $213.17 2,363
2019 Q1 907M $182B -$651M $200.89 2,355
2018 Q4 910M $186B +$2.79B $204.18 2,339
2018 Q3 885M $190B +$1.17B $214.11 2,163
2018 Q2 889M $166B -$1.23B $186.65 2,119
2018 Q1 902M $180B -$1.78B $199.48 2,111
2017 Q4 907M $180B -$8.43B $198.22 2,091
2017 Q3 901M $165B +$4.34B $183.32 1,887
2017 Q2 877M $149B -$463M $169.37 1,881
2017 Q1 882M $147B +$16.7B $166.68 1,876
2016 Q4 876M $143B +$2.44B $162.98 1,844
2016 Q3 859M $124B +$3.73B $144.47 1,733
2016 Q2 834M $121B +$760M $144.79 1,727
2016 Q1 827M $117B -$344M $141.88 1,711
2015 Q4 830M $110B +$747M $132.04 1,689
2015 Q3 824M $107B +$3.66B $130.40 1,591
2015 Q2 774M $105B -$256M $136.11 1,615
2015 Q1 796M $115B -$371M $144.32 1,582
2014 Q4 796M $119B +$2.96B $150.15 1,567
2014 Q3 774M $107B -$354M $138.14 1,448
2014 Q2 777M $98.4B +$2.69B $126.56 1,414
2014 Q1 755M $94.3B +$393M $124.97 1,404