WM
BRK.A icon

WS Management’s Berkshire Hathaway Class A BRK.A Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$91.1M Sell
125
-132
-51% -$96.2M 12.62% 1
2025
Q1
$205M Hold
257
22.91% 1
2024
Q4
$175M Hold
257
16.24% 1
2024
Q3
$178M Sell
257
-4
-2% -$2.76M 12.43% 1
2024
Q2
$160M Hold
261
11.77% 1
2024
Q1
$166M Hold
261
10.43% 1
2023
Q4
$142M Hold
261
8.41% 2
2023
Q3
$139M Hold
261
11.19% 1
2023
Q2
$135M Hold
261
11.3% 1
2023
Q1
$122M Hold
261
12.85% 1
2022
Q4
$122M Hold
261
10.5% 1
2022
Q3
$106M Hold
261
9.63% 1
2022
Q2
$107M Hold
261
8.67% 2
2022
Q1
$138M Hold
261
6.76% 2
2021
Q4
$118M Sell
261
-85
-25% -$38.3M 9.37% 1
2021
Q3
$142M Hold
346
15.06% 1
2021
Q2
$145M Hold
346
14.29% 1
2021
Q1
$133M Sell
346
-157
-31% -$60.6M 13.84% 1
2020
Q4
$175M Hold
503
18.16% 1
2020
Q3
$161M Hold
503
17.36% 1
2020
Q2
$134M Sell
503
-195
-28% -$52.1M 16.49% 1
2020
Q1
$190M Sell
698
-7
-1% -$1.9M 20.73% 1
2019
Q4
$239M Sell
705
-278
-28% -$94.4M 20.51% 1
2019
Q3
$307M Hold
983
23.93% 1
2019
Q2
$313M Sell
983
-468
-32% -$149M 20.29% 1
2019
Q1
$437M Sell
1,451
-76
-5% -$22.9M 26.47% 1
2018
Q4
$467M Sell
1,527
-174
-10% -$53.2M 22.75% 1
2018
Q3
$544M Hold
1,701
17.87% 1
2018
Q2
$480M Sell
1,701
-12
-0.7% -$3.38M 13.53% 2
2018
Q1
$512M Sell
1,713
-57
-3% -$17M 13.53% 2
2017
Q4
$527M Sell
1,770
-126
-7% -$37.5M 15.49% 1
2017
Q3
$521M Hold
1,896
12.98% 1
2017
Q2
$483M Hold
1,896
17.95% 1
2017
Q1
$474M Sell
1,896
-3
-0.2% -$750K 18.7% 1
2016
Q4
$464M Sell
1,899
-14
-0.7% -$3.42M 18.81% 1
2016
Q3
$414M Hold
1,913
15.85% 1
2016
Q2
$415M Hold
1,913
14.38% 1
2016
Q1
$408M Hold
1,913
15.82% 1
2015
Q4
$378M Hold
1,913
13.19% 1
2015
Q3
$373M Hold
1,913
14.78% 1
2015
Q2
$392M Hold
1,913
13.59% 1
2015
Q1
$416M Hold
1,913
13.92% 1
2014
Q4
$432M Hold
1,913
13.54% 1
2014
Q3
$396M Hold
1,913
12.71% 2
2014
Q2
$363M Sell
1,913
-8
-0.4% -$1.52M 11.06% 2
2014
Q1
$360M Hold
1,921
11.4% 2
2013
Q4
$342M Buy
1,921
+12
+0.6% +$2.13M 11.33% 2
2013
Q3
$325M Hold
1,909
11.26% 2
2013
Q2
$322M Buy
+1,909
New +$322M 10.31% 2