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Warren Buffett’s Current Dividend Portfolio

|Includes:AXP, BAC, BDX, BK, COP, COST, ESC, FISV, GE, GHC, GSK, IR, JNJ, The Coca-Cola Company (KO), LOW, MCO, MDLZ, MTB, NKE, NLC, PG, SNY, TMK, UPS, USB, USG, WFC, WMT, XOM
Warren Buffett, third wealthiest man in the world and major shareholder of investment group Berkshire Hathaway, filed form 13F-HR with the SEC as of 9/30/2010 in which several positions of his investment portfolio are disclosed. Warren Buffett's funds were valued at USD 48.56 billion.
 
The sector allocation was as follows:
 
Consumer Goods: 38.9 %
Financials: 40.9%
Consumer Services: 6.7%
Health Care: 6.1%
Oil & Gas: 3.5%
Industrials: 2.9%
Utilities: 0.3%
 
Here are movements of Warren Buffett's portfolio:
 
Top positions closed out by Warren Buffett: RSG, KMX, IRM, HD, NRG
Top positions initiated by Warren Buffett: BX
Top positions decreased by Warren Buffett: PG, MCO, FISV, NLC, NKE, IR, CMCSK
Top positions increased by Warren Buffett: WFC, JNJ
 
Table of Warren Buffett's current Porfolio.... 

 
 
Selected Articles:
 
Stocks: KO, WFC, AXP, PG, MDLZ, JNJ, WMT, ESC, COP, USB, MCO, GHC, MTB, NKE, COST, USG, FISV, NLC, TMK, LOW, BDX, SNY, GE, UPS, BAC, GSK, BK, XOM, IR