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워렌버핏 보유 주식 포트폴리오 (2019년 9월 30일 기준) 버크셔해서웨이

by JUSTDANCE 2019. 12. 11.

워렌버핏 Warren Buffett 보유주식 포트폴리오 현황

 

 

Berkshire Hathaway Portfolio Tracker

워렌버핏의 주식 포트폴리오 2019년말 현황입니다.

 

보유주식을 보면 애플, 뱅크오브아메리카, 코카콜라, 웰스파고, 아메리칸익스프레스, 크래프트하인즈 등을 보유하고 있습니다. 상위로는 애플과 코카콜라, 크래프트하인즈를 제외하면 금융권에 투자가 많아보입니다.

크래프트하인즈는 언제 상승할지도 궁금하네요.

 

 

 

버크셔해서웨이 주식 포트폴리오

Company 

기업

Industry 

산업

Market Cap $Mil 

시가총액

Shares 

보유주식

Value ($1000) 

가치

Apple Inc

Hardware

1,192,927.79

248,838,679

55,732,400

Bank of America Corp

Banks

301,605.95

927,248,600

27,047,843

Coca-Cola Co

Beverages - Non-Alcoholic

230,377.10

400,000,000

21,776,000

Wells Fargo & Co

Banks

227,074.30

378,369,018

19,084,935

American Express Co

Credit Services

98,928.94

151,610,700

17,932,512

The Kraft Heinz Co

Consumer Packaged Goods

38,930.60

325,634,818

9,096,609

U.S. Bancorp

Banks

93,633.46

132,459,618

7,330,315

JPMorgan Chase & Co

Banks

421,857.22

59,514,932

7,004,312

Moody's Corporation

Capital Markets

43,622.24

24,669,778

5,053,111

Delta Air Lines Inc

Transportation

35,913.63

70,910,456

4,084,442

Goldman Sachs Group Inc

Capital Markets

78,564.83

18,353,635

3,803,424

Bank of New York Mellon Corp

Asset Management

45,962.39

80,937,250

3,659,172

Southwest Airlines Co

Transportation

28,897.82

53,649,213

2,897,595

General Motors Co

Vehicles & Parts

50,164.61

72,269,696

2,708,669

VeriSign Inc

Software

22,089.33

12,952,745

2,443,276

Charter Communications Inc

Media - Diversified

99,166.13

5,426,609

2,236,414

DaVita Inc

Healthcare Providers & Services

9,263.76

38,565,570

2,200,937

United Airlines Holdings Inc

Transportation

21,890.81

21,938,642

1,939,595

Visa Inc

Credit Services

405,048.20

10,562,460

1,816,849

Mastercard Inc

Credit Services

291,168.15

4,934,756

1,340,132

Liberty SiriusXM Group

Media - Diversified

14,941.13

31,090,985

1,304,578

Costco Wholesale Corp

Retail - Defensive

130,041.73

4,333,363

1,248,485

PNC Financial Services Group Inc

Banks

68,179.32

8,671,054

1,215,335

American Airlines Group Inc

Transportation

11,827.57

43,700,000

1,178,589

Amazon.com Inc

Retail - Cyclical

862,295.48

537,300

932,705

The Travelers Companies Inc

Insurance

34,984.61

5,958,391

885,953

Sirius XM Holdings Inc

Media - Diversified

30,479.43

136,275,729

852,404

M&T Bank Corp

Banks

22,042.61

5,382,040

850,202

Axalta Coating Systems Ltd

Chemicals

6,957.38

24,264,000

731,560

Synchrony Financial

Credit Services

24,180.53

20,803,000

709,175

STORE Capital Corp

REITs

9,255.98

18,621,674

696,637

Liberty SiriusXM Group

Media - Diversified

14,941.13

14,860,360

617,744

Globe Life Inc

Insurance

11,299.89

6,353,727

608,433

Restaurant Brands International Inc

Restaurants

19,996.83

8,438,225

600,295

Phillips 66

Oil & Gas

49,736.94

5,182,637

530,702

StoneCo Ltd

Software

10,514.98

14,166,748

492,719

Liberty Global PLC

Media - Diversified

13,523.02

19,791,000

489,827

Suncor Energy Inc

Oil & Gas

48,837.21

10,758,000

339,738

Occidental Petroleum Corp

Oil & Gas

33,561.94

7,467,508

332,079

Teva Pharmaceutical Industries Ltd

Drug Manufacturers

10,363.93

43,249,295

297,555

RH

Retail - Cyclical

4,426.30

1,207,844

206,336

Liberty Global PLC

Media - Diversified

13,523.02

7,346,968

174,784

Liberty Latin America Ltd

Telecommunication Services

3,124.08

2,714,854

46,343

Johnson & Johnson

Drug Manufacturers

368,435.82

327,100

42,320

Procter & Gamble Co

Consumer Packaged Goods

309,906.02

315,400

39,229

Mondelez International Inc

Consumer Packaged Goods

77,836.91

578,000

31,975

Liberty Latin America Ltd

Telecommunication Services

3,120.45

1,284,020

21,950

United Parcel Service Inc

Transportation

101,686.30

59,400

7,117

Red Hat Inc

Software

33,429.84

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