Warren Buffett's Berkshire Hathaway Stock Picks, Berkshire Hathaway's Portfolio, New Investments, & Sold Out Holdings as of June 30, 2013

Company Name Symbol 6/30/13 Mrkt Value ('000) Portfolio Weight 6/30 #Shares 6/30 Price 3/31/13 #Shares 3/31 Price Change in investment Pct Change of #Shares
AMERICAN EXPRESS COMPANY AXP 11,334,417 12.73% 151,610,700 74.76 151,610,700 67.46 No change 0.00%
BANK OF NEW YORK MELLON CORPORATION BK 691,264 0.78% 24,644,029 28.05 18,939,115 27.99 Add 30.12%
CHICAGO BRIDGE AND IRON COMPANY CBI 569,798 0.64% 9,550,755 59.66 6,508,600 62.10 Add 46.74%
COCA COLA COMPANY KO 16,044,001 18.02% 400,000,000 40.11 400,000,000 40.44 No change 0.00%
CONOCOPHILLIPS COP 1,459,497 1.64% 24,123,911 60.50 24,123,911 60.10 No change 0.00%
COSTCO WHOLESALE CORP COST 479,140 0.54% 4,333,363 110.57 4,333,363 106.11 No change 0.00%
DAVITA HEALTHCARE PARTNERS INC DVA 1,808,848 2.03% 14,973,906 120.80 14,973,906 118.59 No change 0.00%
DEERE AND CO DE 323,275 0.36% 3,978,767 81.25 3,978,767 85.98 No change 0.00%
DIRECTV DTV 2,297,655 2.58% 37,275,400 61.64 37,275,400 56.59 No change 0.00%
DISH NETWORK CORPORATION DISH 23,272 0.03% 547,312 42.52 0 0.00 New investment 100.00%
GANNETT CO INC GCI 0 0.00% 0 0.00 1,740,231 21.87 Sold out -100.00%
GENERAL ELECTRIC COMPANY GE 13,657 0.02% 588,900 23.19 588,900 23.12 No change 0.00%
GENERAL MOTORS COMPANY GM 1,332,400 1.50% 40,000,000 33.31 25,000,000 27.82 Add 60.00%
GLAXOSMITHKLINE PLC GSK 73,757 0.08% 1,476,021 49.97 1,510,500 46.91 Reduce -2.28%
INTERNATIONAL BUSINESS MACHINES CORP IBM 13,018,792 14.62% 68,121,984 191.11 68,121,984 213.30 No change 0.00%
JOHNSON AND JOHNSON JNJ 28,085 0.03% 327,100 85.86 327,100 81.53 No change 0.00%
KRAFT FOODS GROUP INC KRFT 10,764 0.01% 192,666 55.87 1,602,061 51.53 Reduce -87.97%
LEE ENTERPRISES INC LEE 181 0.00% 88,863 2.04 88,863 1.27 No change 0.00%
LIBERTY MEDIA CORPORATION LMCA 712,688 0.80% 5,622,340 126.76 5,622,340 111.63 No change 0.00%
M&T BANK CORPORATION MTB 601,444 0.68% 5,382,040 111.75 5,382,040 103.16 No change 0.00%
MASTERCARD INCORPORATED MA 232,673 0.26% 405,000 574.50 405,000 541.13 No change 0.00%
MEDIA GENERAL INC MEG 51,248 0.06% 4,646,220 11.03 4,646,220 5.94 No change 0.00%
MONDELEZ INTERNATIONAL INC MDLZ 16,490 0.02% 578,000 28.53 7,052,750 30.61 Reduce -91.80%
MOODYS CORP MCO 1,518,508 1.71% 24,922,178 60.93 28,415,250 53.32 Reduce -12.29%
NATIONAL OILWELL VARCO INC NOV 611,832 0.69% 8,880,000 68.90 7,484,300 70.75 Add 18.65%
PHILLIPS 66 PSX 1,600,226 1.80% 27,163,918 58.91 27,163,918 69.97 No change 0.00%
PRECISION CASTPARTS CORP PCP 446,898 0.50% 1,977,336 226.01 1,977,336 189.62 No change 0.00%
PROCTER AND GAMBLE CO PG 4,064,539 4.57% 52,793,078 76.99 52,793,078 77.06 No change 0.00%
SANOFI SNY 209,321 0.24% 4,063,675 51.51 4,063,675 51.08 No change 0.00%
STARZ STRZA 124,254 0.14% 5,622,340 22.10 5,622,340 22.15 No change 0.00%
SUNCOR ENERGY INC SU 524,021 0.59% 17,769,457 29.49 0 0.00 New investment 100.00%
TORCHMARK CAP TR III TMK 275,921 0.31% 4,235,818 65.14 4,235,818 59.80 No change 0.00%
UNITED PARCEL SERVICE UPS 5,137 0.01% 59,400 86.48 59,400 85.89 No change 0.00%
US BANCORP USB 2,829,725 3.18% 78,277,301 36.15 61,458,101 33.93 Add 27.37%
USG CORP USG 393,514 0.44% 17,072,192 23.05 17,072,192 26.44 No change 0.00%
VeriSign, Inc. VRSN 486,679 0.55% 10,897,420 44.66 8,174,100 47.27 Add 33.32%
VERISK ANALYTICS INC VRSK 93,337 0.10% 1,563,434 59.70 1,563,434 61.62 No change 0.00%
VIACOM INC VIAB 517,518 0.58% 7,607,200 68.03 7,607,200 61.48 No change 0.00%
VISA INC V 284,260 0.32% 1,555,459 182.75 1,555,459 169.84 No change 0.00%
WABCO HOLDINGS INC WBC 304,461 0.34% 4,076,325 74.69 4,076,325 70.59 No change 0.00%
WALMART STORES INC WMT 3,668,426 4.12% 49,247,235 74.49 49,247,235 74.83 No change 0.00%
WASHINGTON POST WPO 835,840 0.94% 1,727,765 483.77 1,727,765 447.00 No change 0.00%
WELLS FARGO AND COMPANY WFC 19,113,442 21.47% 463,131,623 41.27 458,170,323 36.99 Add 1.08%
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