Universe · entity
BARR E S & CO
Institutional manager (13F) · CIK 1040210
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $1.7B
| # | Issuer | Value | Shares |
|---|---|---|---|
| 1 | BERKSHIRE HATHAWAY B | $235M | 489,804 |
| 2 | MARKEL GROUP INC | $148M | 77,222 |
| 3 | ALPHABET INC SHS CL C | $140M | 486,485 |
| 4 | GOLDMAN SACHS INC | $120M | 142,188 |
| 5 | JPMORGAN CHASE & CO | $100M | 341,467 |
| 6 | AMAZON.COM INC | $92M | 443,991 |
| 7 | SCHWAB CHARLES CORP | $70M | 746,127 |
| 8 | MOODY'S CORP | $70M | 159,864 |
| 9 | HOME BANCSHARES INC | $66M | 2,446,487 |
| 10 | BLACKSTONE INC | $56M | 489,660 |
| 11 | BROWN & BROWN INC | $53M | 819,847 |
| 12 | AMERICAN EXPRESS CO | $43M | 143,555 |
| 13 | APPLE INC | $42M | 165,276 |
| 14 | ALPHABET INC SHS CL A | $41M | 140,998 |
| 15 | BROOKFIELD CORP | $36M | 901,712 |
| 16 | VANGUARD BD INDEX FDS | $32M | 407,575 |
| 17 | JOHNSON AND JOHNSON | $29M | 119,068 |
| 18 | AMERICAN TOWER CORP | $27M | 157,042 |
| 19 | MASTERCARD INC | $26M | 52,134 |
| 20 | METTLER-TOLEDO INTL INC | $24M | 18,960 |
| 21 | NIKE INC CL B | $23M | 431,401 |
| 22 | TAKE-TWO INTERACTIVE SOFTWARE | $22M | 112,871 |
| 23 | BERKSHIRE HATHAWAY A | $21M | 29 |
| 24 | O'REILLY AUTOMOTIVE INC | $18M | 195,533 |
| 25 | CITY HOLDING CO | $15M | 129,244 |
| 26 | ADOBE SYS | $15M | 60,172 |
| 27 | PEPSICO INC | $12M | 80,439 |
| 28 | FIRST CTZNS BANCSHARES INC N | $11M | 5,778 |
| 29 | COSTCO WHOLESALE CO | $10M | 9,804 |
| 30 | GAMING & LEISURE INC | $10M | 216,259 |
| 31 | ESTEE LAUDER INC | $9M | 123,728 |
| 32 | T ROWE PRICE GROUP INC | $9M | 97,553 |
| 33 | WYNN RESORTS LTD | $9M | 85,284 |
| 34 | SHERWIN WILLIAMS CO | $8M | 25,166 |
| 35 | NVIDIA CORP | $6M | 35,600 |
| 36 | MICROSOFT CORP | $5M | 14,824 |
| 37 | WELLS FARGO & CO | $5M | 67,012 |
| 38 | EXXON MOBIL CORP | $4M | 24,009 |
| 39 | PROCTER & GAMBLE | $3M | 22,826 |
| 40 | WAL-MART STORES INC | $3M | 25,170 |
| 41 | TESLA MOTORS INC | $3M | 8,220 |
| 42 | LILLY ELI & CO | $3M | 3,236 |
| 43 | SPDR S&P 500 ETF | $2M | 3,651 |
| 44 | KKR & CO | $2M | 24,425 |
| 45 | WALT DISNEY CO | $2M | 19,417 |
| 46 | BROADCOM LTD F | $2M | 5,902 |
| 47 | CME GROUP | $2M | 6,000 |
| 48 | VISA INC COM CLASS A | $2M | 5,388 |
| 49 | COCA COLA COM | $1M | 19,054 |
| 50 | PNC FINANCIAL SRVCS | $1M | 6,700 |
Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.