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Disclosed positions
Ervin Investment Management, LLC: source evidence dated 2026-07-15T03:59:59.999Z.
- Issuer
- BERKSHIRE HATHAWAY INC DEL
- Ticker
- BRK.B
- Class
- CL B NEW
- Reported value
- $39,446,171
- Reported amount
- 78,831
- Unit
- SH
- Option
- None
The displayed owner or issuer and source fields identify the receipt to verify; keep reporting and availability dates separate.
What was reported for this quarter?
13F positions are dated quarter-end holdings, with later publication and possible amendments. Read report period and availability before calling them current.
SEC 13F-HR: 0001907802-26-000005Open the effective filing receipt and inspect shares, value and any put/call classification separately.
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Open the effective filing receipt and inspect shares, value and any put/call classification separately.
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Disclosed positions
See the complete disclosed positions
| BERKSHIRE HATHAWAY INC DEL | BRK.B | CL B NEW | $39,446,171 | 78,831 | SH | None |
| SPDR SERIES TRUST | SPTM | ST STR PR SP1500 | $15,303,155 | 168,556 | SH | None |
| APPLE INC | AAPL | COM | $14,142,559 | 48,875 | SH | None |
| MICROSOFT CORP | MSFT | COM | $12,441,830 | 33,354 | SH | None |
| ALPHABET INC | GOOGL | CAP STK CL A | $9,937,725 | 27,808 | SH | None |
| BROOKFIELD CORP | BN | CL A LTD VT SH | $9,895,706 | 232,348 | SH | None |
| LOEWS CORP | L | COM | $8,825,775 | 77,959 | SH | None |
| VANGUARD INDEX FDS | VBR | SM CP VAL ETF | $6,938,093 | 28,553 | SH | None |
| SPDR INDEX SHS FDS | SPDW | ST STR PO EX ETF | $6,072,481 | 120,510 | SH | None |
| ETFS GOLD TR | SGOL | PHYSCL GOLD SHS | $5,853,204 | 153,105 | SH | None |
| GENERAL MTRS CO | GM | COM | $5,496,960 | 71,315 | SH | None |
| MARKEL GROUP INC | MKL | COM | $5,293,958 | 2,711 | SH | None |
| ASML HLDG NV | ASML | N Y REGISTRY SHS | $4,971,611 | 2,499 | SH | None |
| SPDR INDEX SHS FDS | SPEM | ST PORT MARK ETF | $4,848,355 | 93,634 | SH | None |
| JEFFERIES FINANCIAL GROUP IN | JEF | COM | $4,607,056 | 92,178 | SH | None |
| ALPHABET INC | GOOG | CAP STK CL C | $3,461,221 | 9,796 | SH | None |
| EXXON MOBIL CORP | XOM | COM | $2,741,509 | 20,052 | SH | None |
| MERCADOLIBRE INC | MELI | COM | $1,955,393 | 1,152 | SH | None |
| VANGUARD WORLD FD | ESGV | ESG US STK ETF | $1,810,101 | 13,688 | SH | None |
| ADVANCED MICRO DEVICES INC | AMD | COM | $1,591,693 | 2,740 | SH | None |
| YUM BRANDS INC | YUM | COM | $1,586,131 | 9,922 | SH | None |
| ISHARES TR | IVV | CORE S&P500 ETF | $1,481,304 | 1,978 | SH | None |
| BROOKFIELD ASSET MANAGMT LTD | BAM | CL A LMT VTG SHS | $1,386,179 | 30,907 | SH | None |
| GE AEROSPACE | GE | COM NEW | $1,371,215 | 3,669 | SH | None |
| ORACLE CORP | ORCL | COM | $1,306,200 | 8,913 | SH | None |
| ISHARES TR | ITOT | CORE S&P TTL STK | $1,260,115 | 7,671 | SH | None |
| AMERICAN EXPRESS CO | AXP | COM | $1,179,816 | 3,488 | SH | None |
| PHILIP MORRIS INTL INC | PM | COM | $1,177,543 | 6,509 | SH | None |
| VANGUARD STAR FDS | VXUS | VG TL INTL STK F | $1,157,449 | 13,539 | SH | None |
| GE VERNOVA INC | GEV | COM | $646,173 | 550 | SH | None |
| AMAZON COM INC | AMZN | COM | $580,596 | 2,436 | SH | None |
| VANGUARD INDEX FDS | VTI | TOTAL STK MKT | $549,879 | 1,486 | SH | None |
| TECK RESOURCES LTD | TECK | CL B | $517,005 | 8,695 | SH | None |
| BOEING CO | BA | COM | $434,022 | 2,005 | SH | None |
| VANGUARD INDEX FDS | VOO | S&P 500 ETF SHS | $423,075 | 616 | SH | None |
| ABRDN SILVER ETF TRUST | SIVR | PHYSCL SILVR SHS | $399,162 | 7,100 | SH | None |
| VANGUARD WORLD FD | VSGX | ESG INTL STK ETF | $372,836 | 4,528 | SH | None |
| CNX RES CORP | CNX | COM | $349,479 | 10,300 | SH | None |
| ALTRIA GROUP INC | MO | COM | $345,432 | 4,801 | SH | None |
| DIAGEO PLC | DEO | SPON ADR NEW | $337,676 | 4,201 | SH | None |
| CHUBB LIMITED | CB | COM | $298,148 | 875 | SH | None |
| YUM CHINA HLDGS INC | YUMC | COM | $268,925 | 6,580 | SH | None |
| INVESCO QQQ TR | QQQ | UNIT SER 1 | $254,794 | 346 | SH | None |
| COCA COLA CO | KO | COM | $250,880 | 3,087 | SH | None |
| SPROUTS FMRS MKT INC | SFM | COM | $239,446 | 2,831 | SH | None |
| GE HEALTHCARE TECHNOLOGIES I | GEHC | COMMON STOCK | $202,400 | 3,162 | SH | None |
| AURORA INNOVATION INC | AUR | CLASS A COM | $68,200 | 10,000 | SH | None |
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Largest 50 positions by reported value; the filing may contain more positions.
How amendments affect these holdings
This view uses 1 effective filing version(s). A restatement replaces the previous book; a new-holdings amendment adds positions. 0 positions lack a resolved ticker and 0 positions are put or call entries.
A 13F is a delayed quarterly snapshot of disclosed holdings. It is not a complete trade ledger and does not reveal every position in a manager's portfolio. Option values refer to the reported underlying position rather than a traded option premium.
Quarter end and public filing date
Use the filing's public availability date when constructing a historical observation. The quarter-end report period is earlier and cannot be substituted for when the public learned the holdings.