TY 2019 IRS 990 e-File Render
Name:
THE SUSAN THOMPSON BUFFETT FOUNDATION
EIN:
47-6032365
Name of Stock End of Year Book Value End of Year Fair Market Value
ACCO BRANDS CORP 877 877
ALLEGHANY CP 123,243 123,243
ALLSTATE CP 20,582 20,582
AMAZON.COM INC 183,897 183,897
AMER EXPRESS INC 75,943 75,943
AMER INTL GROUP I 6,004 6,004
AMERIPRISE FINANC 20,312 20,312
ARCHER DANIELS MD 19,027 19,027
ARGONAUT GROUP IN 1,386 1,386
BERKSHIRE HATH CL A 19,018,641 19,018,641
BERKSHIRE HATH CL B 1,359,547,224 1,359,547,224
BK OF AMERICA CP 17,104 17,104
BRITISH AMERICAN TOBACCO 134,281 134,281
CABLE ONE, INC. 14,991 14,991
CAE INC 5,308 5,308
CAMPBELL SOUP CO 78,352 78,352
CANADIAN NATL RAI 8,991 8,991
CANADIAN PAC RAIL 25,518 25,518
CARMAX INC 21,895 21,895
CARS.COM 785 785
CHARTER COMMUNICATIONS, INC. 28,596 28,596
CHEVRON CORP 11,985 11,985
CIM COMMERCIAL TRUST CORP 29 29
CITIGROUP INC 217,427 217,427
COCA COLA BOT CON 57,500 57,500
COCA COLA CO THE 264,288 264,288
COCA COLA ENTRPR 15,240 15,240
COSTCO WHOLESALE 461,900 461,900
COTT CP 2,724 2,724
COUSINS PROP INC 1,031 1,031
CSX CORP 21,684 21,684
CUMULUS MEDIA INC CL A 1,600 1,600
CURTISS WRIGHT CP 3,395 3,395
D/B/A CHUBB LIMITED NEW COMMON 111,989 111,989
DAILY JOURNAL CP 28,884 28,884
DISCOVER FIN SVCS 90,278 90,278
DOMINION RES NEW 8,227 8,227
EQUITY COMMONWEALTH 819 819
EXXON MOBIL CP 6,912 6,912
FORTUNE BRANDS HO 26,120 26,120
G A T X CP 33,160 33,160
GABELLI H&W TR 142 142
GANNETT CO INC 967 967
GEN DYNAMICS CP 70,468 70,468
GEN ELECTRIC CO 13,212 13,212
GILDAN ACTIVEWEAR 23,656 23,656
GLOBE LIFE INC 864,369 864,369
GRAHAM HOLDINGS 6,397 6,397
HANESBRANDS INC. 714 714
HERSHEY FOODS 175,800 175,800
INTL BUSINESS MAC 53,224 53,224
JBG SMITH PROPERTIES 4,114 4,114
JEFFRIES FINANCIAL GROUP INC 76,536 76,536
JP MORGAN CHASE C 5,960 5,960
KANSAS CITY SOUTH 15,290 15,290
KNOWLES 8,508 8,508
LANDS' END 1,013 1,013
LOEWS CP 215,905 215,905
M&T BANK CORP 169,190 169,190
MICROSOFT CP 31,372 31,372
MID AMERICA APARTMENT COMMUNITIES 5,874 5,874
MOHAWK INDS INC 13,642 13,642
MONDELEZ INTERNAT 91,117 91,117
MOODY'S CORP 47,362 47,362
N Y TIMES CL A 15,413 15,413
NEWS CORPORATION 2,866 2,866
NEWS CORPORATION CL A 5,584 5,584
NEXSTAR MEDIA GROUP 1,392 1,392
NORFOLK SO CP 19,323 19,323
OTHER EQUITIES 10,038 10,038
OVERSTOCK.COM INC 685 685
PEPSICO INC 276,953 276,953
PERNOD RICARD ORD 215 215
PHILIP MORRIS INT 204,528 204,528
PHILLIPS 66 COMMO 6,648 6,648
PIPER JAFFRAY COS 239 239
PROCTER & GAMBLE CO 96,923 96,923
PROGRESSIVE CP 127,325 127,325
PROLOGIS SBI 2,036 2,036
RESTAURANT BRANDS INTERNATIONAL 6,921 6,921
ROCKY MT CHOCOLAT 990 990
SEALED AIR CP NEW 3,947 3,947
SEARS HOLDINGS CO 34 34
SIMON PPTY GRP IN 8,860 8,860
SITE CENTERS CORP 69 69
TANGER FACTORY OU 2,942 2,942
TEGNA INC 3,312 3,312
TEXTRON INC 4,451 4,451
THE KRAFT HEINZ CO 70,086 70,086
THE TRAVELERS CO 142,768 142,768
TRAVELCENTERS OF 35 35
TYSON/HILLSHIRE BRANDS 1,811 1,811
UDR INC 371 371
UNION PACIFIC 36,036 36,036
UNION PACIFIC 36,036 36,036
URBAN EDGE PROPERTIES 1,963 1,963
US BANCORP 22,353 22,353
VERITIV 19 19
VIACOM INC CL A 1,044 1,044
VIACOM INC. 969 969
VORNADO REALTY TR 13,573 13,573
WAL MART STORES 94,840 94,840
WALT DISNEY-DISNE 172,224 172,224
WASHINGTON PRIME 191 191
WELLS FARGO & CO 191,084 191,084
WENDYS INTL INC 7,934 7,934
WHITE MTN INS LTD 111,651 111,651
WPX ENERGY, INC. 451 451
YUM BRANDS INC 36,263 36,263
YUM CHINA HOLDINGS, INC. COMMON 17,323 17,323