BERKSHIRE HATHAWAY INC - CL B NEW (BRKB)

Historical Holders from Q1 2014 to Q4 2025

Type / Class
Equity / CL B NEW
Symbol
BRKB on NYSE
Price per share
$502.65
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
873,451,621
Total reported value
$438,988,007,447
% of total 13F portfolios
0.66%
Share change
-1,958,577
Value change
-$843,679,569
Avg buy value change
+0.03%
Avg sell value change
-0.05%
Number of holders
4,508
Price from insider filings
$464.73
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, BERKSHIRE HATHAWAY INC - CL B NEW (BRKB) has 4,508 institutional shareholders filing 13F forms. They hold 873,451,621 shares. .

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

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q4 9,137,998 $4,588,761,806 -$226,500,038 50,265% 247
2025 Q3 873,451,621 $438,988,007,447 -$843,679,569 50,274% 4,508
2025 Q2 875,972,441 $425,390,713,568 +$2,831,866,044 48,577% 4,535
2025 Q1 869,952,657 $463,201,501,982 +$1,551,662,653 53,258% 4,476
2024 Q4 866,362,369 $392,695,545,418 +$9,852,337,976 45,328% 4,410
2024 Q3 840,681,851 $386,775,042,572 -$8,016,985,533 46,026% 4,041
2024 Q2 857,308,994 $348,772,787,640 +$9,623,184,135 40,680% 3,951
2024 Q1 826,245,538 $347,259,700,888 -$7,999,815,462 42,052% 3,935
2023 Q4 7,526,351 $2,684,588,570 -$267,611,911 35,666% 70
2023 Q3 826,940,572 $289,708,569,136 +$1,351,223,597 35,030% 3,552
2023 Q2 801,220,916 $273,008,422,429 +$508,231,951 34,100% 3,514
2023 Q1 822,911,401 $254,040,219,595 -$3,118,842,117 30,877% 3,461
2022 Q4 833,439,850 $257,461,067,283 +$2,193,434,548 30,890% 3,473
2022 Q3 808,882,285 $216,092,409,661 -$459,891,825 26,702% 3,251
2022 Q2 831,408,547 $226,952,643,785 -$2,361,541,517 27,302% 3,284
2022 Q1 846,336,789 $298,437,573,000 +$2,572,100,253 35,290.94% 3,360
2021 Q4 840,844,602 $251,335,289,923 -$4,585,657,697 29,900% 3,338
2021 Q3 851,032,465 $232,248,253,833 -$5,319,141,522 27,294.01% 2,971
2021 Q2 870,021,279 $241,709,510,396 -$2,050,698,898 27,792% 2,991
2021 Q1 876,575,303 $223,908,046,622 -$4,191,524,953 25,547% 2,954
2020 Q4 895,210,628 $207,458,801,275 -$6,063,562,021 23,186.98% 2,872
2020 Q3 922,717,507 $196,336,747,243 -$1,163,029,716 21,293.97% 2,604
2020 Q2 925,151,305 $165,177,256,177 -$1,567,933,083 17,851% 2,557
2020 Q1 897,104,183 $164,036,587,077 -$410,994,560 18,282.99% 2,558
2019 Q4 936,132,956 $211,973,081,944 +$2,414,494,567 22,650% 2,591
2019 Q3 924,700,094 $192,345,285,501 +$3,679,396,282 20,801.96% 2,363
2019 Q2 905,684,945 $192,989,679,052 +$5,798,776,320 21,316.98% 2,363
2019 Q1 906,757,059 $182,161,411,131 -$651,119,222 20,088.98% 2,355
2018 Q4 909,643,406 $185,647,277,240 +$2,789,281,627 20,417.97% 2,339
2018 Q3 885,447,097 $189,505,025,111 +$1,165,609,895 21,410.99% 2,163
2018 Q2 888,816,217 $165,835,183,834 -$1,226,800,284 18,665% 2,119
2018 Q1 901,695,807 $179,696,081,186 -$1,777,918,229 19,947.99% 2,111
2017 Q4 907,170,318 $179,666,301,995 -$8,434,347,727 19,822% 2,091
2017 Q3 901,451,693 $165,261,155,716 +$4,343,093,654 18,331.98% 1,887
2017 Q2 876,821,161 $148,511,226,023 -$462,550,275 16,937% 1,881
2017 Q1 881,829,660 $146,988,740,991 +$16,675,285,825 16,667.97% 1,876
2016 Q4 876,444,652 $142,814,742,493 +$2,441,574,585 16,297.99% 1,844
2016 Q3 859,252,664 $124,102,530,663 +$3,728,049,028 14,446.97% 1,733
2016 Q2 833,704,196 $120,692,856,915 +$759,775,583 14,478.97% 1,727
2016 Q1 827,239,718 $117,378,432,288 -$344,489,383 14,187.99% 1,711
2015 Q4 830,391,567 $109,641,879,913 +$747,483,310 13,203.99% 1,689
2015 Q3 823,805,673 $107,442,686,896 +$3,661,044,379 13,040% 1,591
2015 Q2 774,461,182 $105,428,170,158 -$255,904,498 13,611% 1,615
2015 Q1 795,913,651 $114,874,863,323 -$371,333,182 14,432% 1,582
2014 Q4 795,791,568 $119,472,234,053 +$2,962,935,523 15,014.99% 1,567
2014 Q3 774,135,292 $106,937,273,595 -$353,613,208 13,814% 1,448
2014 Q2 777,364,901 $98,379,894,170 +$2,691,640,174 12,656% 1,414
2014 Q1 755,224,336 $94,343,021,752 +$393,205,038 12,496.98% 1,404