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Warren Buffett - Berkshire Hathaway Q3-2011 Fund Portfolio

Warren Buffett - Berkshire Hathaway Q3-2011 Fund Investing Strategies By Dividend Yield – Stock Capital, Investment. Here is a current portfolio update of Warren Buffett’s - Berkshire Hathaway - portfolio movements as of Q3/2011 (September 30, 2011). In total, he has 33 stocks with a total portfolio worth of USD 59,127,860,000.
Warren Buffett’s - Berkshire Hathaway fund positions as of Q3/2011 with actual share movements:
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Sym - Stock
Portfolio Weight
Recent activity
Reported Price*
KO - Coca Cola Co.
22.85
0
$67.56
IBM - International Bus. Machines
16.96
Add 130.74%
$174.87
WFC - Wells Fargo
14.74
Add 2.57%
$24.12
AXP - American Express
11.51
0
$44.90
PG - Procter & Gamble
8.2
0
$63.18
KFT - Kraft Foods Inc.
5.1
Reduce 9.77%
$33.58
JNJ - Johnson & Johnson
4.03
Reduce 12.15%
$63.69
WMT - Wal-Mart Stores
3.43
0
$51.90
COP - ConocoPhillips
3.12
Reduce 0.00%
$63.32
USB - U.S. Bancorp
2.75
0
$23.54
MCO - Moody's Corp.
1.46
0
$30.45
WPO - Washington Post
0.96
0
$326.97
MTB - M&T Bank Corp.
0.64
Add 0.34%
$69.90
COST - Costco Co.
0.6
0
$82.13
INTC - Intel Corp.
0.34
Buy
$21.34
V - Visa Inc.
0.33
Buy
$85.72
CVS - CVS Caremark Corp.
0.32
Buy
$33.59
DTV - DIRECTV Group Inc.
0.3
Buy
$42.27
DG - Dollar General
0.29
Add 200.26%
$37.76
GD - General Dynamics
0.29
Buy
$56.89
VRSK - Verisk Analytics Inc.
0.25
Add 100.00%
$34.77
TMK - Torchmark Corp.
0.25
0
$34.86
SNY - Sanofi Aventis
0.23
0
$32.80
MA - Mastercard Inc.
0.22
0
$317.16
GE - General Electric
0.2
0
$15.22
USG - USG Corp.
0.19
0
$6.73
UPS - United Parcel Service
0.15
0
$63.15
GSK - GlaxoSmithKline PLC
0.11
0
$41.29
BK - Bank of New York
0.06
0
$18.59
XOM - Exxon Mobil Corp.
0.05
0
$72.63
IR - Ingersoll-Rand Plc
0.03
0
$28.06
GCI - Gannett Co.
0.03
0
$9.53
CDCO - Comdisco Holding Co.
0.02
0
$6.10




Seth Klarman - Baupost Group Q3-2011 Fund Portfolio

Seth Klarman - Baupost Group Q3-2011 Fund Investing Strategies By Dividend Yield – Stock Capital, Investment. Here is a current portfolio update of Seth Klarman’s - Baupost Group portfolio movements as of Q3/2011 (September 30, 2011). In total, he has 22 stocks with a total portfolio worth of USD 2,967,011,000.

Seth Klarman’s - Baupost Group Q2-2011 fund positions as of Q3/2011 with actual share movements:
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Sym - Stock
Portfolio Weight
Recent activity
Reported Price*
BP - BP plc
16.7
Add 149.84%
$36.07
HPQ - Hewlett-Packard
15.7
Buy
$22.45
VSAT - Viasat Inc.
11.79
Add 4.46%
$33.31
NWSA - News Corp.
10.98
Add 10.45%
$15.48
MSFT - Microsoft Corp.
10.07
0
$24.89
THRX - Theravance Inc.
9.66
Add 9.76%
$20.14
ANV - Allied Nevada Gold Corp.
4.22
Add 3.60%
$35.81
PDLI - PDL BioPharma Inc.
2.92
Add 68.81%
$5.55
AVEO - AVEO Pharmaceuticals Inc.
2.59
Add 12.79%
$15.39
NWS - News Corp. CL B
2.25
Buy
$15.60
ENZN - Enzon Pharmaceuticals Inc.
2.14
0
$7.04
ALR - Alere Inc.
2.05
0
$19.65
GNW - Genworth Financial Inc.
1.93
Buy
$5.74
BBEP - Breitburn Energy Partners LP
1.47
0
$17.40
ELOS - Syneron Medical Ltd.
1.34
Add 4.27%
$9.91
NG - NovaGold Resources
1.09
Buy
$6.45
AOI - Alliance One International Inc.
0.72
0
$2.44
ITRN - Ituran Location & Control Ltd.
0.66
0
$11.65
CPF - Central Pacific Financial
0.63
0
$10.32
IDIX - Idenix Pharmaceuticals Inc.
0.42
Add 99.09%
$4.99
MGAM - Multimedia Games Inc.
0.34
0
$4.04
SCMR - Sycamore Networks Inc.
0.32
Add 135.94%
$18.05




Mason Hawkins - Longleaf Partners Q3-2011 Fund Portfolio

Mason Hawkins - Longleaf Partners Q3-2011 Fund Investing Strategies By Dividend Yield – Stock Capital, Investment. Here is a current portfolio update of Mason Hawkins’s - Longleaf Partners portfolio movements as of Q3/2011 (September 30, 2011). In total, he has 23 stocks with a total portfolio worth of USD 6,904,030,000.

Mason Hawkins’s - Longleaf Partners Q3-2011 fund positions as of Q2/2011 with actual share movements:
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Sym - Stock
Portfolio Weight
Shares
Recent activity
Reported Price*
CHK - Chesapeake Energy
10.14
27,410,576
0
$25.55
L - Loews Corp.
6.93
13,853,000
Add 31.07%
$34.55
DELL - Dell Inc.
6.93
33,804,000
0
$14.15
DTV - DIRECTV Group Inc.
6.53
10,668,141
Reduce 5.23%
$42.25
AON - Aon Corp.
6.35
10,442,812
0
$41.98
ABT - Abbott Labs
5.48
7,392,000
Add 461.29%
$51.14
TRV - Travelers Companies Inc.
5.36
7,588,400
0
$48.73
DIS - Walt Disney Co.
5.05
11,563,000
Add 35.03%
$30.16
NWSA - News Corp.
5.01
22,352,305
Reduce 20.14%
$15.47
IHG - Intercontinental Hotels Group plc
4.81
20,478,245
Buy
$16.21
BK - Bank of New York
4.81
17,879,895
Add 18.28%
$18.59
FDX - FedEx Corp.
4.63
4,723,000
Add 28.71%
$67.68
YUM - Yum! Brands Inc.
4.59
6,411,170
Reduce 21.53%
$49.39
LINTA - Liberty Media Interactive
4.58
21,431,321
Reduce 12.38%
$14.77
PHGFF - KONINKLIJKE PHILIPS
4.36
16,789,000
Add 21.76%
$17.94
VMC - Vulcan Materials
4.27
10,704,110
Add 99.08%
$27.56
LVLT - Level 3 Communications Inc.
3.06
142,006,754
0
$1.49
CX - Cemex
2.38
51,950,307
Add 3.84%
$3.16
ANK - NKSJ Holdings Inc.
2.34
7,280,650
Reduce 87.09%
$22.20
WSH - Willis Group Holdings Plc
1.39
2,800,000
0
$34.37
PHG - Koninklijke Philips Electronics NV
0.95
3,667,831
Add 7.66%
$17.94
GLBC - Global Crossing Ltd.
0.04
105,300
0
$23.91
TDS.S - Telephone & Data Systems Special
0
1,184,171
Reduce 73.02%
$0.00