Warren Buffett - Berkshire Hathaway Q3/2012 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 Q3/2012 (September 30, 2012). In total, he has 38 stocks with a total portfolio worth of USD 75,326,633,000. Buffett bought four new companies and added eight additional stocks. The most important buys were caused by Wells Fargo and Deere. WFC was increased by 2.8 percent. Both buys affect his portfolio only by around 0.5 percent. His stake in General Motors was doubled as well as the stake in National Oilwell Varco.
In return, Buffet sold three stocks completely and reduced ten additional stocks. The biggest change to his portfolio had Mondelez and Johnson & Johnson. Both affected his portfolio by more than one percent.
Warren Buffett's fund positions as of Q3/2012 with actual share movements:
KO, WFC, IBM, AXP, PG, WMT, USB, DTV, COP, MDLZ, MCO, PSX, DVA, WPO, LMCA, MTB, BK, COST, VIA.B, USG, NOV, GM, DE, D,TMK, V, PCP, MA, SNY, WBC, VRSK, GSK, JNJ, GCI, MEG, GE, UPS, LEE