股票调仓
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巴菲特,最新调仓曝光!
Zhong Guo Ji Jin Bao· 2026-02-18 06:09
Core Viewpoint - The article reveals the portfolio adjustments made by Berkshire Hathaway during Warren Buffett's last quarter as CEO, highlighting a shift in holdings with reductions in technology stocks and increases in energy, consumer, and financial sectors [2][4]. Group 1: Overall Portfolio Changes - As of the end of Q4 2025, Berkshire's total portfolio size increased to $274 billion from $267 billion in the previous quarter, with the top ten holdings accounting for 88.26% of the portfolio [2]. - The top ten holdings remained unchanged in terms of companies, but there were slight adjustments in their rankings [2]. Group 2: Major Stock Adjustments - Berkshire reduced its stake in Apple by over 10.29 million shares, a decrease of 4.32%, marking the third consecutive quarter of reduction, with a market value decline of approximately $2.8 billion [4][7]. - A significant reduction in Amazon shares was noted, with a 77.24% decrease in holdings, dropping its portfolio share from 0.82% to 0.19%, leaving nearly 2.3 million shares [5]. - The stake in Bank of America was also reduced, with nearly 50.8 million shares sold, resulting in an 8.94% decrease in holdings [6]. Group 3: New Investments and Increases - Berkshire initiated a new position in The New York Times, purchasing 5.0657 million shares valued at over $350 million, ranking it 30th in the portfolio [8]. - The company increased its holdings in Chevron by over 8.09 million shares, a 6.63% increase, and in Chubb Limited by nearly 2.92 million shares, a 9.31% increase [9]. - Additionally, there was a 12.34% increase in holdings of Domino's Pizza, raising its market value to $1.4 billion [9]. Group 4: Stable Holdings - Coca-Cola and Kraft Heinz holdings remained unchanged, with Coca-Cola valued at $27.96 billion, maintaining its position as the fourth-largest holding [11]. - Berkshire is the largest shareholder of Kraft Heinz, holding approximately 27.5% of the company, which is undergoing a split into two independent publicly traded companies [11].
段永平大手笔调仓,茅台股价重回1500元
21世纪经济报道· 2026-02-04 11:49
2月3日, 步步高创始人、著名投资人段永平通过其雪球账号" 大道无形我有型 "发文表示,近 日 卖了一些神华(港股)换了一些茅台。 他在雪球上晒出自己的交易记录, 1月27日 买入贵 州茅台约1亿元。 记者丨 张嘉钰 肖夏 编辑丨黎雨桐 2月4日,贵州茅台盘中一度上涨4%,股价重新站上1500元,为2025年9月15日以来首次。截 至收盘,贵州茅台上涨3.4%,最新股价报1525元/股。 从段永平晒出的交易记录来看,1月27日,他卖出150万股中国神华H股(01088.HK),分3笔卖 出,每笔50万股成交,卖出价格分别为:43.15、43.28、43.43港币,每笔成交额约2157万— 2171万港币。 同日,段永平分6笔买入贵州茅台,总买入量77194股,买入价在1329.72—1331.00元,总投入 额约1亿元人民币。 此外,1月21日段永平曾分享过他的投资,当时截图显示挂1365元每股的价格买入2万股茅 台。 从股价看,1月29日贵州茅台迎来放量大涨,近5个交易日涨幅超12%。贵州茅台最新股价 1524.18元,段永平这笔抄底茅台已经浮盈超1000万。 近期,贵州茅台官方微信公众号"小茅i茅台"发布 ...
段永平调仓!卖出煤炭,1亿元精准抄底茅台!近5日浮盈超1000万
Ge Long Hui· 2026-02-04 08:13
| | Search 19:39 Mon Feb 2 | | | | | | --- | --- | --- | --- | --- | --- | | N | | | | | | | Home | Transactions | | | | | | | Orders Trades | Transfers | Recurring | | | | Portfolio | | | | | | | | TRADE | | | FILL PRICE/ANT/COMM | PAL | | | January 27, 2026 | | | | +$15,942,141.01 | | Watchlist | | | | | | | | 1088 SEHK = | | | 43.15 HKD | 22:20:00 | | E | Sold 500000 | | | 21,575,740 HKD+13,298,293,5 | | | Hews | 43.22 Limit, Day | | | 30604.08 HKD | | | 43 | · THOULS 615009 | | | 1,330.07 CNH | 22:18:23 ...
巴菲特调仓大动作!首次建仓谷歌 抛售苹果
Sou Hu Cai Jing· 2025-11-16 02:36
北京时间11月15日,巴菲特旗下伯克希尔·哈撒韦公司披露2025年第三季度持股报告(13F)。在巴菲特 宣布将于今年底正式交班后,伯克希尔在第三季度出手买入美国大型科技股——谷歌-A。与此同时, 伯克希尔继续减持苹果股票,且第三季度总体为股票净卖出。截至今年三季度末,伯克希尔的持仓市值 为2673亿美元,公司在二季度末的持仓市值为2575亿美元。据第三方网站WhaleWisdom统计,在资金流 动上,伯克希尔第三季度为股票净卖出。 调仓换股方面,伯克希尔三季度新买进Alphabet约1785万股,这是伯克希尔首次建仓谷歌母公司,这些 Alphabet股份市值约为43.4亿美元,在整体持仓中占比为1.62%,持仓排名位列第十。无论是从持仓市值 变化还是从持仓占比的变化来看,Alphabet都是伯克希尔三季度买入最多的个股。有分析认为,建仓 Alphabet可能是由伯克希尔的投资经理Todd Combs或Ted Weschler进行的,这两人此前在科技股领域更 为活跃。伯克希尔在三季度进一步抛售苹果。报告显示,伯克希尔三季度减持苹果约4179万股,持股数 较二季度末环比减少逾14.92%。 ...