TY 2022 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 525 525
ALLEGHANY CP 129,712 129,712
ALLSTATE CP 24,950 24,950
AMAZON.COM INC 168,000 168,000
AMER EXPRESS INC 90,422 90,422
AMER INTL GROUP I 7,462 7,462
AMERIPRISE FINANC 37,987 37,987
ARCHER DANIELS MD 38,347 38,347
ARGO GROUP INTERNATIONAL HOLDINGS LTD 543 543
AT&T INC 12,961 12,961
BERKSHIRE HATH CL A 26,247,814 26,247,814
BERKSHIRE HATHAWAY INC CLASS B 636,757,502 636,757,502
BERKSHIRE HATHAWAY INC CLASS B 645,824,335 645,824,335
BK OF AMERICA CP 16,163 16,163
BOMBARDIER INC 7,720 7,720
BRITISH AMERICAN TOBACCO 127,096 127,096
CABLE ONE, INC. 7,119 7,119
CAE INC 3,868 3,868
CAMPBELL SOUP CO 90,800 90,800
CANADIAN NATL RAI 23,776 23,776
CANADIAN PAC RAIL 51,318 51,318
CARMAX INC 15,223 15,223
CARS.COM 909 909
CHARTER COMMUNICATIONS, INC. 20,007 20,007
CHEVRON CORP 17,949 17,949
CITIGROUP INC 12,348 12,348
COCA COLA BOT CON 102,472 102,472
COCA COLA CO THE 305,328 305,328
COCA COLA ENTRPR 16,596 16,596
COSTCO WHOLESALE 194,469 194,469
COUSINS PROP INC 632 632
CREATIVE MEDIA & COMMUNITY TRUST 10 10
CSX CORP 27,882 27,882
CUMULUS MEDIA INC CL A 571 571
CURTISS WRIGHT CP 4,008 4,008
D/B/A CHUBB LIMITED NEW COMMON 159,273 159,273
DAILY JOURNAL CP 25,051 25,051
DISCOVER FIN SVCS 104,482 104,482
DOMINION RES NEW 6,132 6,132
EXXON MOBIL CP 11,030 11,030
FORTUNE BRANDS HO 26,727 26,727
G A T X CP 42,536 42,536
GABELLI H&W TR 182 182
GEN DYNAMICS CP 99,244 99,244
GEN ELECTRIC CO 100,548 100,548
GILDAN ACTIVEWEAR 21,920 21,920
GLOBE LIFE INC 81,371 81,371
GRAHAM HOLDINGS 6,042 6,042
HANESBRANDS INC. 305 305
HERSHEY FOODS 277,884 277,884
INTL BUSINESS MAC 56,356 56,356
JBG SMITH PROPERTIES 1,955 1,955
JEFFRIES FINANCIAL GROUP INC 123,408 123,408
JP MORGAN CHASE C 5,766 5,766
KANSAS CITY SOUTH 29,359 29,359
KNOWLES 6,568 6,568
KYNDRYL HOLDINGS INC ORD SHARES 890 890
LANDS' END 455 455
LOEWS CP 240,845 240,845
M&T BANK CORP 145,060 145,060
MASTERBRAND INC ORD SHARES 3,020 3,020
MICROSOFT CP 47,964 47,964
MID AMERICA APARTMENT COMMUNITIES 7,065 7,065
MOHAWK INDS INC 10,222 10,222
MONDELEZ INTERNAT 110,639 110,639
MOODY'S CORP 55,724 55,724
N Y TIMES CL A 15,581 15,581
NEWS CORPORATION CL A 7,280 7,280
NEWS CORPORATION CL B 3,688 3,688
NEXSTAR MEDIA GROUP 2,100 2,100
NORFOLK SO CP 24,642 24,642
OVERSTOCK.COM INC 1,936 1,936
PARAMOUNT GLOBAL CL A 784 784
PARAMOUNT GLOBAL CL B 675 675
PEPSICO INC 366,740 366,740
PERNOD RICARD ORD 236 236
PHILIP MORRIS INT 242,904 242,904
PHILLIPS 66 COMMO 6,245 6,245
PIPER SANDLER COS 391 391
PRIMO WATER CORP 3,108 3,108
PROCTER & GAMBLE CO 118,216 118,216
PROGRESSIVE CP 228,808 228,808
PROLOGIS SBI 2,593 2,593
RESTAURANT BRANDS INTERNATIONAL 6,984 6,984
ROCKY MT CHOCOLAT 616 616
SEALED AIR CP NEW 5,008 5,008
SIMON PPTY GRP IN 7,049 7,049
SITE CENTERS CORP 68 68
SPECTRUM BRANDS HOLDINGS INC 5,483 5,483
TANGER FACTORY OU 3,588 3,588
TEGNA INC 4,238 4,238
TEXTRON INC 7,080 7,080
THE KRAFT HEINZ CO 90,091 90,091
THE TRAVELERS CO 196,115 196,115
TRAVELCENTERS OF 90 90
TYSON/HILLSHIRE BRANDS 1,245 1,245
UDR INC 310 310
UNION PACIFIC 41,414 41,414
UNION PACIFIC 41,414 41,414
URBAN EDGE PROPERTIES 1,451 1,451
US BANCORP 16,528 16,528
VERITIV 122 122
VORNADO REALTY TR 4,287 4,287
WAL MART STORES 113,432 113,432
WALT DISNEY-DISNE 104,256 104,256
WARNER BROS DISCOVERY INC ORD SHARES 1,612 1,612
WASHINGTON PRIME 5 5
WELLS FARGO & CO 147,447 147,447
WENDYS INTL INC 8,124 8,124
WESTINGHOUSE AIR BRAKE TECHNOLOGIES CORP 599 599
WHITE MTN INS LTD 141,433 141,433
WPX ENERGY INC CLASS A 311 311
YUM BRANDS INC 46,109 46,109
YUM CHINA HOLDINGS, INC. COMMON 19,674 19,674