TY 2021 InvestmentsCorpStockSchedule
Name:
THE SUSAN THOMPSON BUFFETT FOUNDATION
Name of Stock |
End of Year Book Value |
End of Year Fair Market Value |
ACCO BRANDS CORP |
776 |
776 |
ALLEGHANY CP |
102,141 |
102,141 |
ALLSTATE CP |
21,648 |
21,648 |
AMAZON.COM INC |
333,434 |
333,434 |
AMER EXPRESS INC |
100,123 |
100,123 |
AMER INTL GROUP I |
6,709 |
6,709 |
AMERIPRISE FINANC |
36,803 |
36,803 |
ARCHER DANIELS MD |
27,915 |
27,915 |
ARGO GROUP INTERNATIONAL HOLDINGS LTD |
1,220 |
1,220 |
BERKSHIRE HATH CL A |
25,237,072 |
25,237,072 |
BERKSHIRE HATH CL B |
997,795,292 |
997,795,292 |
BK OF AMERICA CP |
21,711 |
21,711 |
BOMBARDIER INC |
264 |
264 |
BRITISH AMERICAN TOBACCO |
118,926 |
118,926 |
CABLE ONE, INC. |
17,635 |
17,635 |
CAE INC |
5,048 |
5,048 |
CAMPBELL SOUP CO |
69,536 |
69,536 |
CANADIAN NATL RAI |
24,572 |
24,572 |
CANADIAN PAC RAIL |
28,776 |
28,776 |
CARMAX INC |
32,558 |
32,558 |
CARS.COM |
1,062 |
1,062 |
CHARTER COMMUNICATIONS, INC. |
38,466 |
38,466 |
CHEVRON CORP |
11,735 |
11,735 |
CIM COMMERCIAL TRUST CORP |
15 |
15 |
CITIGROUP INC |
16,486 |
16,486 |
COCA COLA BOT CON |
123,838 |
123,838 |
COCA COLA CO THE |
284,208 |
284,208 |
COCA COLA ENTRPR |
16,486 |
16,486 |
COSTCO WHOLESALE |
894,128 |
894,128 |
COUSINS PROP INC |
1,007 |
1,007 |
CSX CORP |
33,840 |
33,840 |
CUMULUS MEDIA INC CL A |
1,035 |
1,035 |
CURTISS WRIGHT CP |
3,328 |
3,328 |
D/B/A CHUBB LIMITED NEW COMMON |
139,570 |
139,570 |
DAILY JOURNAL CP |
35,673 |
35,673 |
DISCOVER FIN SVCS |
123,418 |
123,418 |
DOMINION RES NEW |
7,856 |
7,856 |
EQUITY COMMONWEALTH |
648 |
648 |
EXXON MOBIL CP |
6,119 |
6,119 |
FORTUNE BRANDS HO |
42,760 |
42,760 |
G A T X CP |
41,676 |
41,676 |
GABELLI H&W TR |
206 |
206 |
GEN DYNAMICS CP |
83,388 |
83,388 |
GEN ELECTRIC CO |
113,364 |
113,364 |
GILDAN ACTIVEWEAR |
33,912 |
33,912 |
GLOBE LIFE INC |
770,191 |
770,191 |
GRAHAM HOLDINGS |
6,298 |
6,298 |
HANESBRANDS INC. |
803 |
803 |
HERSHEY FOODS |
232,164 |
232,164 |
INTL BUSINESS MAC |
53,464 |
53,464 |
JBG SMITH PROPERTIES |
2,957 |
2,957 |
JEFFRIES FINANCIAL GROUP INC |
139,680 |
139,680 |
JP MORGAN CHASE C |
6,809 |
6,809 |
KANSAS CITY SOUTH |
29,359 |
29,359 |
KNOWLES |
9,340 |
9,340 |
LANDS' END |
1,178 |
1,178 |
LOEWS CP |
238,491 |
238,491 |
M&T BANK CORP |
153,580 |
153,580 |
MICROSOFT CP |
67,264 |
67,264 |
MID AMERICA APARTMENT COMMUNITIES |
10,325 |
10,325 |
MOHAWK INDS INC |
18,218 |
18,218 |
MONDELEZ INTERNAT |
110,075 |
110,075 |
MOODY'S CORP |
78,116 |
78,116 |
N Y TIMES CL A |
23,184 |
23,184 |
NEWS CORPORATION CL A |
8,924 |
8,924 |
NEWS CORPORATION CL B |
4,500 |
4,500 |
NEXSTAR MEDIA GROUP |
1,812 |
1,812 |
NORFOLK SO CP |
29,771 |
29,771 |
OTHER EQUITIES |
291 |
291 |
OVERSTOCK.COM INC |
5,901 |
5,901 |
PEPSICO INC |
352,631 |
352,631 |
PERNOD RICARD ORD |
291 |
291 |
PHILIP MORRIS INT |
228,000 |
228,000 |
PHILLIPS 66 COMMO |
4,348 |
4,348 |
PIPER SANDLER COS |
536 |
536 |
PRIMO WATER CORP |
3,526 |
3,526 |
PROCTER & GAMBLE CO |
127,592 |
127,592 |
PROGRESSIVE CP |
181,075 |
181,075 |
PROLOGIS SBI |
3,872 |
3,872 |
RESTAURANT BRANDS INTERNATIONAL |
6,553 |
6,553 |
ROCKY MT CHOCOLAT |
848 |
848 |
SEALED AIR CP NEW |
6,747 |
6,747 |
SEARS HOLDINGS CO |
4 |
4 |
SIMON PPTY GRP IN |
9,586 |
9,586 |
SITE CENTERS CORP |
79 |
79 |
SPECTRUM BRANDS HOLDINGS INC |
9,155 |
9,155 |
TANGER FACTORY OU |
3,856 |
3,856 |
TEGNA INC |
3,712 |
3,712 |
TEXTRON INC |
7,720 |
7,720 |
THE KRAFT HEINZ CO |
79,447 |
79,447 |
THE TRAVELERS CO |
163,626 |
163,626 |
TRAVELCENTERS OF |
103 |
103 |
TYSON/HILLSHIRE BRANDS |
1,743 |
1,743 |
UDR INC |
480 |
480 |
UNION PACIFIC |
50,386 |
50,386 |
UNION PACIFIC |
50,386 |
50,386 |
URBAN EDGE PROPERTIES |
1,957 |
1,957 |
US BANCORP |
21,288 |
21,288 |
VERITIV |
123 |
123 |
VIACOMCBS INC CLASS A |
1,335 |
1,335 |
VIACOMCBS INC CLASS B |
1,207 |
1,207 |
VORNADO REALTY TR |
8,623 |
8,623 |
WAL MART STORES |
115,752 |
115,752 |
WALT DISNEY-DISNE |
185,868 |
185,868 |
WASHINGTON PRIME |
5 |
5 |
WELLS FARGO & CO |
171,337 |
171,337 |
WENDYS INTL INC |
8,562 |
8,562 |
WESTINGHOUSE AIR BRAKE TECHNOLOGIES CORP |
553 |
553 |
WHITE MTN INS LTD |
101,390 |
101,390 |
YUM BRANDS INC |
49,990 |
49,990 |
YUM CHINA HOLDINGS, INC. COMMON |
17,942 |
17,942 |