United American Securities inc. (d/b/a UAS Asset Management)

The United American Securities inc latest Q4 13F filings reported over $354 Million in value. It is a focus fund with 24 securities concentration of 100% weights. United American Securities inc largest holding is Berkshire Hathaway Inc. with over $72 Million in market value. The following shows the fund statistics and portfolio details.

Period: Report DateNumber of StocksPortfolio ValuePortfolio Return
Q4_20202021-02-1724$354,384,0008.29%

Portfolio Details

Stock NameTickersValueCurrent Value (x1000)Change Value %WeightsComputed PriceShares Change %
ServiceNow Inc.NOWBUY$1,1010.000%0.31%$550.500.000%
Raytheon Technologies Corp.RTXBUY$7150.000%0.20%$71.500.000%
Unity Software Inc.UBUY$3970.000%0.11%$153.580.000%
Taiwan Semiconductor Manufacturing Company Ltd.TSMBUY$2730.000%0.08%$109.200.000%
Visa Inc.VDECR$6,087-0.043%1.72%$218.73-0.125%
Zillow Group Inc. Class C Capital StockZDECR$1,947-0.233%0.55%$129.80-0.400%
PayPal Holdings Inc.PYPLDECR$1,411-0.284%0.40%$234.19-0.398%
ARK ETF TR INNOVATIONETFARKKDECR$856-0.833%0.24%$124.55-0.877%
Coca-Cola CompanyKODECR$426-0.469%0.12%$54.83-0.522%
Berkshire Hathaway IncBRK.BINCR$72,7710.053%20.53%$231.87-0.033%
Apple Inc.AAPLINCR$67,1530.121%18.95%$132.69-0.022%
Amazon.com Inc.AMZNINCR$62,8850.125%17.74%$3256.940.087%
Microsoft Corp.MSFTINCR$48,1470.102%13.59%$222.420.042%
Mastercard IncorporatedMAINCR$28,4800.015%8.04%$356.94-0.039%
Tesla Inc.TSLAINCR$23,8840.216%6.74%$705.67-0.261%
ARK ETF TR GENOMIC REVOLUTION ARKGINCR$18,4794.762%5.21%$93.262.937%
Sysco Corp.SYYINCR$12,0600.075%3.40%$74.26-0.099%
General Electric CompanyGEINCR$1,87929.306%0.53%$10.8016.398%
Ecolab Inc. ECLINCR$1,7312.462%0.49%$216.382.200%
Starbucks Corp.SBUXINCR$1,6965.473%0.48%$106.974.198%
Carrier Global Corp.CARRINCR$9480.552%0.27%$37.730.256%
Honeywell International Inc.HONINCR$4251.063%0.12%$212.500.600%
Berkshire Hathaway IncBRK.AINCR$3480.088%0.10%$348000.000.000%
Fiserv Inc.FISVINCR$2850.383%0.08%$114.000.250%
Reinsurance Group of America IncorporatedRGASOLD$00.000%-100.00%$0.000.000%
NVIDIA Corp.NVDASOLD$00.000%-100.00%$0.000.000%
Home Depot Inc. (The)HDSOLD$00.000%-100.00%$0.000.000%
Walt Disney Company (The) DISSOLD$00.000%-100.00%$0.000.000%
Costco Wholesale Corp.COSTSOLD$00.000%-100.00%$0.000.000%
Alibaba Group Holding Ltd. ADSBABASOLD$00.000%-100.00%$0.000.000%
UnitedHealth Group Incorporated (DE)UNHSOLD$00.000%-100.00%$0.000.000%