United American Securities inc. (d/b/a uas asset management)

United American Securities inc. (d/b/a uas asset management) latest Q4_2020 13F filings reported $354,384,000 in market value on this 2021-02-17 report date . The portfolio quarterly return is 8.29%. This fund has 24 securities concentrations of 100% weights.

United American Securities inc. (d/b/a uas asset management) largest holding is Berkshire Hathaway Inc with weight of 20.53% and $72,771,000 in market value. The portfolio return is computed based on the amount invested in the new quarter. The following shows the portfolio details.

Portfolio Performance History

FILE DATEREPORT PERIODQTR YEARFILE TYPENOS. OF STOCKSREPORTED VALUERETURN
2021-02-172020-12-31Q4_202013F-HR24$354,384,0008.29%
2020-11-162020-09-30Q3_202013F-HR27$327,264,00017.92%
2020-08-142020-06-30Q2_202013F-HR23$277,538,00018.65%
2020-05-142020-03-31Q1_202013F-HR23$233,917,000-13.56%
2020-02-132019-12-31Q4_201913F-HR36$270,597,0007.88%
2019-11-202019-09-30Q3_201913F-HR32$250,820,00011.62%
2019-08-142019-06-30Q2_201913F-HR26$224,711,0001.49%
2019-05-142019-03-31Q1_201913F-HR23$221,418,00050.36%
2019-02-142018-12-31Q4_201813F-HR24$147,262,000-36.25%
2018-11-142018-09-30Q3_201813F-HR28$230,991,00015.11%
2018-08-142018-06-30Q2_201813F-HR23$200,666,000-1.97%
2018-05-142018-03-31Q1_201813F-HR30$204,692,000-5.14%
2018-02-142017-12-31Q4_201713F-HR23$215,781,0004.93%
2017-11-142017-09-30Q3_201713F-HR27$205,638,0008.02%
2017-08-142017-06-30Q2_201713F-HR27$190,364,0009.60%
2017-05-162017-03-31Q1_201713F-HR25$173,689,0002.80%
2017-02-142016-12-31Q4_201613F-HR28$168,953,00016.07%
2016-11-152016-09-30Q3_201613F-HR25$145,556,000-15.61%
2016-08-152016-06-30Q2_201613F-HR23$172,470,0001.88%

Portfolio Details

Stock NameTickersValueCurrent Value (x1000)Change Value %WeightComputed PriceShares Change %Current Shares
BERKSHIRE HATHAWAY INC NEWBRK/BINCR$72,7715.25%20.53%$231.87-103.34%313,846
APPLE INCAAPLINCR$67,15312.06%18.95%$132.69-102.20%506,091
AMAZON COM INCAMZNINCR$62,88512.48%17.74%$3256.94-91.25%19,308
MICROSOFT CORPMSFTINCR$48,14710.20%13.59%$222.42-95.79%216,468
MASTERCARD INCORPORATEDMAINCR$28,4801.49%8.04%$356.94-103.85%79,789
TESLA MOTORS INCTSLAINCR$23,88421.61%6.74%$705.67-126.07%33,846
ARK ETF TRARKGINCR$18,479476.21%5.21%$93.26193.66%198,150
SYSCO CORPORATIONSYYINCR$12,0607.54%3.40%$74.26-109.90%162,400
VISA INCVDECR$6,087-4.34%1.72%$218.73-112.54%27,829
ZILLOW GROUP INCZDECR$1,947-23.35%0.55%$129.80-140.00%15,000
GENERAL ELECTRIC COMPANYGEINCR$1,8792930.65%0.53%$10.801539.75%173,975
ECOLAB INCECLINCR$1,731246.20%0.49%$216.38120.00%8,000
STARBUCKS CORPSBUXINCR$1,696547.33%0.48%$106.97319.84%15,855
PAYPAL HLDGS INCPYPLDECR$1,411-28.38%0.40%$234.19-139.75%6,025
SERVICENOW INCNOWBUY$1,1010.00%0.31%$550.500.00%2,000
CARRIER GLOBAL CORPORAITON USD 0.01CARRINCR$94855.16%0.27%$37.73-74.38%25,125
ARK ETF TRARKKDECR$856-83.32%0.24%$124.55-187.68%6,873
RAYTHEON TECHNOLOGIES CORP USD 1.0RTXBUY$7150.00%0.20%$71.500.00%10,000
COCA COLA COKODECR$426-46.95%0.12%$54.83-152.24%7,770
HONEYWELL INTL INCHONINCR$425106.31%0.12%$212.50-40.00%2,000
UNITY SOFTWARE INCUBUY$3970.00%0.11%$153.580.00%2,585
BERKSHIRE HATHAWAY INC DELBRK/AINCR$3488.75%0.10%$348000.00-100.00%1
FISERV INCFISVINCR$28538.35%0.08%$114.00-75.00%2,500
TAIWAN SEMICONDUCTOR MFG LTDTSMBUY$2730.00%0.08%$109.200.00%2,500
ALIBABA GROUP HOLDINGBABASOLD$00.00%-100.00%$0.000.00%0
COSTCO WHSL CORP NEWCOSTSOLD$00.00%-100.00%$0.000.00%0
DISNEY WALT CODISSOLD$00.00%-100.00%$0.000.00%0
HOME DEPOT INCHDSOLD$00.00%-100.00%$0.000.00%0
NVIDIA CORPORATIONNVDASOLD$00.00%-100.00%$0.000.00%0
REINSURANCE GRP OF AMERICA IRGASOLD$00.00%-100.00%$0.000.00%0
UNITEDHEALTH GROUP INCUNHSOLD$00.00%-100.00%$0.000.00%0