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Warren Buffett - Berkshire Hathaway Q1/2012 Fund Portfolio

|Includes:AXP, BK, COP, COST, CVS, DG, DVA, GCI, GD, GE, GHC, GM, GSK, IBM, INTC, IR, JNJ, The Coca-Cola Company (KO), LMCA, MA, MCO, MDLZ, MTB, PG, SNY, T, UPS, USB, USG, V, VRSK, WFC, WMT

Warren Buffett - Berkshire Hathaway Q1/2012 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 Q1/2012 (March 31, 2012). In total, he has 35 stocks with a total portfolio worth of USD 75,300,250,000. Buffett bought two new companies and added seven additional stocks. The biggest influence had Wal-Mart (NYSE:WMT) and Wells Fargo (NYSE:WFC). Both had an impact of more than 0.5 percent of his portfolio. He decreased seven stocks and closed one.

Warren Buffett's - Berkshire Hathaway fund positions as of Q1/2012 with actual share movements:

Warren Buffett - Berkshire Hathaway Q1/2012 Fund Portfolio...

Related Ticker:

KO, WFC, IBM, AXP, PG, KFT, WMT, COP, USB, JNJ, MCO, DTV, WPO, DVA, MTB, COST, V, CVS, USG, GD, LMCA, GM, INTC, MA, DG, SNY, GE, BK, UPS, VRSK, VIA.B, GSK, GCI, IR

Stocks: KO, WFC, IBM, AXP, PG, MDLZ, WMT, COP, USB, JNJ, MCO, T, GHC, DVA, MTB, COST, V, CVS, USG, GD, LMCA, GM, INTC, MA, DG, SNY, GE, BK, UPS, VRSK, GSK, GCI, IR