13F Filings for BARR E S CO (CIK: 1040210)
View the most recent portfolio holdings disclosed by BARR E S CO in their 13F filing.
Holding | Shares | Value | Portfolio Percent | Change Status | Change Amount |
---|---|---|---|---|---|
BRK.B - BERKSHIRE HATHAWAY B(Class: COM) | 515.59K | $250.46M | 14.36% | Decreased | 13.27K (2.0%, $31.20M) |
MKL - MARKEL GROUP INC(Class: COM) | 79.21K | $158.21M | 9.07% | Decreased | 461 (0.0%, $9.26M) |
N/A - GOLDMAN SACHS INC(Class: COM) | 158.30K | $112.03M | 6.42% | Decreased | 4.42K (2.0%, $23.14M) |
N/A - JPMORGAN CHASE CO(Class: COM) | 384.01K | $111.33M | 6.38% | Decreased | 23.37K (5.0%, $11.40M) |
N/A - ALPHABET INC SHS CL C(Class: COM) | 588.77K | $104.44M | 5.99% | Increased | 2.29K (0.0%, $12.82M) |
AMZN - AMAZON.COM INC(Class: COM) | 453.05K | $99.39M | 5.70% | Increased | 8.89K (2.0%, $14.89M) |
MCO - MOODY'S CORP(Class: COM) | 164.01K | $82.27M | 4.72% | Decreased | 890 (0.0%, $5.47M) |
N/A - BLACKSTONE INC(Class: COM) | 511.39K | $76.49M | 4.39% | Decreased | 8.03K (1.0%, $3.89M) |
SCHW - SCHWAB CHARLES CORP(Class: COM) | 784.76K | $71.60M | 4.10% | Decreased | 9.94K (1.0%, $9.39M) |
HOMB - HOME BANCSHARES INC(Class: COM) | 2.36M | $67.08M | 3.85% | Decreased | 19.84K (0.0%, $113.07K) |
AXP - AMERICAN EXPRESS CO(Class: COM) | 152.25K | $48.56M | 2.78% | Decreased | 2.45K (1.0%, $6.94M) |
N/A - AMERICAN TOWER CORP(Class: COM) | 178.08K | $39.36M | 2.26% | Decreased | 524 (0.0%, $495.12K) |
N/A - BROOKFIELD CORP(Class: COM) | 624.18K | $38.61M | 2.21% | Decreased | 8.91K (1.0%, $5.43M) |
BSV - VANGUARD BD INDEX FDS(Class: SHORT TRM BOND) | 488.36K | $38.43M | 2.20% | Decreased | 29.59K (5.0%, $2.11M) |
N/A - ALPHABET INC SHS CL A(Class: COM) | 208.52K | $36.75M | 2.11% | Decreased | 5.74K (2.0%, $3.61M) |
AAPL - APPLE INC(Class: COM) | 170.40K | $34.96M | 2.00% | Decreased | 1.83K (1.0%, $3.30M) |
NKE - NIKE INC CL B(Class: COM) | 425.24K | $30.21M | 1.73% | Increased | 28.81K (7.0%, $5.04M) |
N/A - MASTERCARD INC(Class: COM) | 50.84K | $28.57M | 1.64% | Increased | 931 (1.0%, $1.21M) |
TTWO - TAKE-TWO INTERACTIVE SOFTWARE(Class: COM) | 113.19K | $27.49M | 1.58% | Increased | 150 (0.0%, $4.06M) |
BRK.A - BERKSHIRE HATHAWAY A(Class: COM) | 32 | $23.32M | 1.34% | Decreased | 3 (8.0%, $4.62M) |
MTD - METTLER-TOLEDO INTL INC(Class: COM) | 18.93K | $22.24M | 1.28% | Increased | 9.14K (93.0%, $10.68M) |
JNJ - JOHNSON AND JOHNSON(Class: COM) | 132.42K | $20.23M | 1.16% | Decreased | 8.67K (6.0%, $3.17M) |
N/A - ADOBE SYS(Class: COM) | 50.56K | $19.56M | 1.12% | Increased | 6.81K (15.0%, $2.78M) |
N/A - O'REILLY AUTOMOTIVE INC(Class: COM) | 205.97K | $18.56M | 1.06% | Increased | 191.56K (1330.0%, $2.07M) |
CHCO - CITY HOLDING CO(Class: COM) | 130.26K | $15.95M | 0.91% | Unchanged |