US | Roast Me | Berkshire Hathaway Inc

The requested portfolio module has no retained observations.

The requested portfolio module has no retained observations.

The requested portfolio module has no retained observations.

The requested portfolio module has no retained observations.

The requested portfolio module has no retained observations.

The requested portfolio module has no retained observations.

The requested portfolio module has no retained observations.

47/120All 120 disclosed-sleeve versus SPY results shown below

Every quarter carries total return, held-company revenue growth and held-company EPS growth. Strict outperformance earns 1; a loss, tie or unavailable comparison earns 0. Every filed long-share position enters the return and central issuer-facts joins; exact whole-portfolio coverage stays visible when a security cannot be mapped, priced, or matched. This remains an estimate of a disclosed sleeve—not Jane Street's confidential whole-firm performance.

Trailing 4 filing intervals (12 contests): 11 wins, 1 lossesLast fetched: 31 Aug 2026

Complete 120-point disclosed-holdings benchmark ledger

All 40 quarters expose three Win/Lose cells. Missing component coverage remains visible and scores 0; every row also publishes its mapped and priced return coverage.

QuarterTotal returnRevenue growthEPS growthFiled value pricedPriced securitiesPublic filing window
2026-Q13/3WinDisclosed sleeve / SPY
7.13% / 4.85%
WinHeld companies / S&P 500
39.14% / 11.30%
WinHeld companies / S&P 500
115.99% / 27.70%
90.91%4,661 / 5,8732026-05-12 to 2026-08-14
2025-Q43/3WinDisclosed sleeve / SPY
11.79% / 8.57%
WinHeld companies / S&P 500
22.18% / 9.00%
WinHeld companies / S&P 500
41.54% / 13.40%
88.69%4,860 / 5,9862026-02-12 to 2026-05-12
2025-Q33/3WinDisclosed sleeve / SPY
5.67% / 2.65%
WinHeld companies / S&P 500
35.66% / 4.61%
WinHeld companies / S&P 500
25.51% / 13.45%
89.91%4,687 / 5,7842025-11-14 to 2026-02-12
2025-Q22/3LoseDisclosed sleeve / SPY
3.66% / 4.72%
WinHeld companies / S&P 500
20.43% / 4.83%
WinHeld companies / S&P 500
24.63% / 10.63%
88.96%4,157 / 5,2222025-08-14 to 2025-11-14
2025-Q13/3WinDisclosed sleeve / SPY
10.99% / 9.11%
WinHeld companies / S&P 500
33.67% / 4.98%
WinHeld companies / S&P 500
102.09% / 10.57%
85.54%4,225 / 5,3892025-05-19 to 2025-08-14
2024-Q41/3LoseDisclosed sleeve / SPY
-2.80% / -2.43%
WinHeld companies / S&P 500
34.03% / 5.25%
LoseHeld companies / S&P 500
-78.98% / 6.15%
87.63%4,464 / 5,7482025-02-14 to 2025-05-19
2024-Q31/3LoseDisclosed sleeve / SPY
3.69% / 4.01%
WinHeld companies / S&P 500
74.15% / 5.89%
LoseHeld companies / S&P 500
-19.87% / 6.11%
87.94%4,547 / 5,8742024-11-15 to 2025-02-14
2024-Q23/3WinDisclosed sleeve / SPY
8.15% / 6.00%
WinHeld companies / S&P 500
75.22% / 5.38%
WinHeld companies / S&P 500
175.44% / 5.12%
87.73%4,610 / 6,0232024-08-15 to 2024-11-15
2024-Q10/3LoseDisclosed sleeve / SPY
1.28% / 4.80%
LoseHeld companies / S&P 500
-8.69% / 5.71%
LoseHeld companies / S&P 500
-53.42% / 5.59%
84.54%4,338 / 5,7082024-05-16 to 2024-08-15
2023-Q42/3LoseDisclosed sleeve / SPY
5.23% / 6.17%
WinHeld companies / S&P 500
43.35% / 6.81%
WinHeld companies / S&P 500
404.64% / 7.78%
85.43%4,235 / 5,6842024-02-15 to 2024-05-16
2023-Q33/3WinDisclosed sleeve / SPY
12.00% / 11.95%
WinHeld companies / S&P 500
40.69% / 7.52%
WinHeld companies / S&P 500
496.19% / -5.03%
82.06%3,696 / 5,0852023-11-15 to 2024-02-15
2023-Q21/3LoseDisclosed sleeve / SPY
0.92% / 1.89%
WinHeld companies / S&P 500
19.03% / 9.50%
LoseHeld companies / S&P 500
-55.92% / -8.57%
83.28%3,761 / 5,2702023-08-14 to 2023-11-15
2023-Q10/3LoseDisclosed sleeve / SPY
7.56% / 8.32%
LoseHeld companies / S&P 500
6.49% / 10.77%
LoseHeld companies / S&P 500
-72.88% / -15.69%
78.38%3,828 / 5,5122023-05-16 to 2023-08-14
2022-Q42/3LoseDisclosed sleeve / SPY
0.19% / 0.87%
WinHeld companies / S&P 500
18.27% / 11.88%
WinHeld companies / S&P 500
-11.29% / -17.99%
72.44%3,570 / 5,4342023-02-15 to 2023-05-16
2022-Q32/3WinDisclosed sleeve / SPY
7.21% / 5.17%
WinHeld companies / S&P 500
36.17% / 13.47%
LoseHeld companies / S&P 500
-34.03% / -1.41%
72.09%3,553 / 5,6822022-11-15 to 2023-02-15
2022-Q21/3WinDisclosed sleeve / SPY
-4.31% / -6.22%
LoseHeld companies / S&P 500
4.82% / 13.71%
LoseHeld companies / S&P 500
-59.38% / 11.04%
73.01%3,338 / 5,4492022-08-16 to 2022-11-15
2022-Q11/3LoseDisclosed sleeve / SPY
8.81% / 10.13%
WinHeld companies / S&P 500
20.48% / 15.97%
LoseHeld companies / S&P 500
-81.54% / 42.23%
73.60%3,364 / 5,5642022-05-17 to 2022-08-16
2021-Q41/3LoseDisclosed sleeve / SPY
-14.83% / -8.29%
WinHeld companies / S&P 500
23.88% / 15.00%
LoseHeld companies / S&P 500
25.00% / 96.40%
80.65%3,084 / 5,2372022-02-15 to 2022-05-17
2021-Q31/3LoseDisclosed sleeve / SPY
-8.67% / -4.37%
WinHeld companies / S&P 500
18.29% / 10.77%
LoseHeld companies / S&P 500
-50.53% / 69.42%
76.34%2,992 / 5,1192021-11-16 to 2022-02-15
2021-Q23/3WinDisclosed sleeve / SPY
7.81% / 6.02%
WinHeld companies / S&P 500
40.63% / 6.58%
WinHeld companies / S&P 500
64.55% / 51.81%
75.32%2,938 / 5,0972021-08-16 to 2021-11-16
2021-Q12/3LoseDisclosed sleeve / SPY
5.74% / 9.14%
WinHeld companies / S&P 500
43.82% / -1.06%
WinHeld companies / S&P 500
215.17% / 7.39%
69.20%2,821 / 4,9032021-05-18 to 2021-08-16
2020-Q42/3LoseDisclosed sleeve / SPY
-2.74% / 5.78%
WinHeld companies / S&P 500
27.33% / -3.72%
WinHeld companies / S&P 500
58.67% / -33.42%
79.80%2,436 / 3,8032021-02-17 to 2021-05-18
2020-Q33/3WinDisclosed sleeve / SPY
16.43% / 10.60%
WinHeld companies / S&P 500
32.08% / -2.04%
WinHeld companies / S&P 500
192.43% / -27.10%
76.16%2,408 / 3,6952020-11-17 to 2021-02-17
2020-Q21/3WinDisclosed sleeve / SPY
7.72% / 6.92%
LoseHeld companies / S&P 500
Unavailable / -0.46%
LoseHeld companies / S&P 500
Unavailable / -27.11%
73.02%2,514 / 3,9092020-08-17 to 2020-11-17
2020-Q10/3LoseDisclosed sleeve / SPY
13.45% / 15.05%
LoseHeld companies / S&P 500
Unavailable / 3.47%
LoseHeld companies / S&P 500
Unavailable / -14.75%
76.65%2,160 / 3,3602020-05-15 to 2020-08-17
2019-Q40/3LoseDisclosed sleeve / SPY
-15.81% / -14.48%
LoseHeld companies / S&P 500
Unavailable / 5.36%
LoseHeld companies / S&P 500
Unavailable / 2.99%
80.18%1,986 / 3,2162020-02-14 to 2020-05-15
2019-Q30/3LoseDisclosed sleeve / SPY
6.23% / 8.81%
LoseHeld companies / S&P 500
Unavailable / 5.02%
LoseHeld companies / S&P 500
Unavailable / 0.21%
77.44%2,056 / 3,3552019-11-14 to 2020-02-14
2019-Q20/3LoseDisclosed sleeve / SPY
6.78% / 7.66%
LoseHeld companies / S&P 500
Unavailable / 6.64%
LoseHeld companies / S&P 500
Unavailable / 8.65%
73.05%2,034 / 3,4712019-08-15 to 2019-11-14
2019-Q10/3LoseDisclosed sleeve / SPY
-1.21% / 0.07%
LoseHeld companies / S&P 500
Unavailable / 8.12%
LoseHeld companies / S&P 500
Unavailable / 14.29%
82.73%1,912 / 3,2332019-05-16 to 2019-08-15
2018-Q40/3LoseDisclosed sleeve / SPY
1.93% / 4.00%
LoseHeld companies / S&P 500
Unavailable / 9.05%
LoseHeld companies / S&P 500
Unavailable / 18.23%
64.98%1,813 / 3,1472019-02-15 to 2019-05-16
2018-Q31/3WinDisclosed sleeve / SPY
4.04% / 2.19%
LoseHeld companies / S&P 500
Unavailable / 10.21%
LoseHeld companies / S&P 500
Unavailable / 19.06%
72.27%1,933 / 3,4182018-11-14 to 2019-02-15
2018-Q20/3LoseDisclosed sleeve / SPY
-6.41% / -4.45%
LoseHeld companies / S&P 500
Unavailable / 9.03%
LoseHeld companies / S&P 500
Unavailable / 14.46%
70.06%1,796 / 3,1952018-08-15 to 2018-11-14
2018-Q10/3LoseDisclosed sleeve / SPY
-0.19% / 3.97%
LoseHeld companies / S&P 500
Unavailable / 7.68%
LoseHeld companies / S&P 500
Unavailable / 12.46%
67.97%1,642 / 3,0292018-05-15 to 2018-08-15
2017-Q41/3WinDisclosed sleeve / SPY
0.20% / -0.34%
LoseHeld companies / S&P 500
Unavailable / 7.03%
LoseHeld companies / S&P 500
Unavailable / 13.82%
68.40%1,624 / 3,0042018-02-15 to 2018-05-15
2017-Q30/3LoseDisclosed sleeve / SPY
6.70% / 7.01%
LoseHeld companies / S&P 500
Unavailable / 5.68%
LoseHeld companies / S&P 500
Unavailable / 17.57%
67.74%1,478 / 2,8132017-11-14 to 2018-02-15
2017-Q21/3WinDisclosed sleeve / SPY
5.79% / 5.07%
LoseHeld companies / S&P 500
Unavailable / 4.83%
LoseHeld companies / S&P 500
Unavailable / 17.74%
67.35%1,460 / 2,7812017-08-14 to 2017-11-14
2017-Q10/3LoseDisclosed sleeve / SPY
2.48% / 3.19%
LoseHeld companies / S&P 500
Unavailable / 3.67%
LoseHeld companies / S&P 500
Unavailable / 13.32%
68.04%1,393 / 2,6842017-05-15 to 2017-08-14
2016-Q40/3LoseDisclosed sleeve / SPY
2.72% / 2.82%
LoseHeld companies / S&P 500
Unavailable / 2.09%
LoseHeld companies / S&P 500
Unavailable / 7.05%
67.34%1,287 / 2,5352017-02-15 to 2017-05-15
2016-Q30/3LoseDisclosed sleeve / SPY
8.32% / 8.46%
LoseHeld companies / S&P 500
Unavailable / 0.20%
LoseHeld companies / S&P 500
Unavailable / -3.15%
63.83%1,345 / 2,6742016-11-15 to 2017-02-15
2016-Q20/3LoseDisclosed sleeve / SPY
-4.15% / 0.65%
LoseHeld companies / S&P 500
Unavailable / Unavailable
LoseHeld companies / S&P 500
Unavailable / Unavailable
56.59%1,256 / 2,5452016-08-15 to 2016-11-15

Largest filed-holding contributors by score period — total return

Every filed long-share position remains reachable through 100-row pages for every interval. Covered-weight contributions expose the largest positive and negative drivers, while the headline return and score use every mapped and priced long-share security in the filing.

100 results per page · every page retained
Top return contributor: DELL · 1.21%Bottom return contributor: AVGO · -0.10%Roast result: WinFiled long securities: 5,873Priced securities: 4,661Filed value priced: 90.91%Disclosed sleeve return: 7.13%SPY return: 4.85%Excess return: 2.28%
DELL DELL TECHNOLOGIES INC 1.19% 101.59% 1.21% Priced#1
SPY STATE STR SPDR S&P 500 ETF T 15.73% 4.85% 0.76% Priced#2
PLTR PALANTIR TECHNOLOGIES INC 1.60% 33.83% 0.54% Priced#3
MRVL MARVELL TECHNOLOGY INC 1.18% 24.80% 0.29% Priced#4
SNDK SANDISK CORP 1.35% 13.40% 0.18% Priced#5
IWM ISHARES TR 0.88% 8.19% 0.07% Priced#6
AMZN AMAZON COM INC 1.09% -2.77% -0.03% Priced#7
TMUS T-MOBILE US INC 1.12% -3.51% -0.04% Priced#8
AVGO BROADCOM INC 1.73% -5.56% -0.10% Priced#9
Unavailable INVESCO QQQ TR Unavailable Unavailable Unavailable Unmapped#10

Jane Street held-company revenue-growth contribution ledger

Every direct position is joined to same-quarter and prior-year SEC issuer facts. Missing comparisons remain visible, and exact whole-portfolio filed-value coverage is never inflated to imply all holdings were matched.

100 results per page · every page retained
Top revenue growth contributor: PLTR · 20.11%Bottom revenue growth contributor: TMUS · 1.77%Roast result: WinMatched held companies: 5Whole-portfolio filed-value coverage: 6.11%Disclosed sleeve revenue growth: 39.14%S&P 500 revenue growth: 11.30%Growth difference: 27.84%
PLTR PALANTIR TECHNOLOGIES INC 23.74% 84.71% 20.11% Matched#1
AVGO BROADCOM INC 25.66% 29.47% 7.56% Matched#2
DELL DELL TECHNOLOGIES INC 17.75% 39.48% 7.01% Matched#3
AMZN AMAZON COM INC 16.21% 16.61% 2.69% Matched#4
TMUS T-MOBILE US INC 16.64% 10.63% 1.77% Matched#5
SPY STATE STR SPDR S&P 500 ETF T Unavailable Unavailable Unavailable Prior-year revenue unavailable#6
SNDK SANDISK CORP Unavailable Unavailable Unavailable Prior-year revenue unavailable#7
Unavailable INVESCO QQQ TR Unavailable Unavailable Unavailable Prior-year revenue unavailable#8
MRVL MARVELL TECHNOLOGY INC Unavailable Unavailable Unavailable Prior-year revenue unavailable#9
IWM ISHARES TR Unavailable Unavailable Unavailable Prior-year revenue unavailable#10

Jane Street held-company EPS-growth contribution ledger

Every direct position is joined to same-quarter and prior-year diluted-EPS facts. Missing and zero-base comparisons remain visible and score no point.

100 results per page · every page retained
Top EPS growth contributor: PLTR · 93.82%Bottom EPS growth contributor: TMUS · -2.43%Roast result: WinMatched held companies: 4Whole-portfolio filed-value coverage: 5.03%Disclosed sleeve EPS growth: 115.99%S&P 500 EPS growth: 27.70%Growth difference: 88.29%
PLTR PALANTIR TECHNOLOGIES INC 28.87% 325.00% 93.82% Matched#1
AMZN AMAZON COM INC 19.70% 74.84% 14.75% Matched#2
AVGO BROADCOM INC 31.20% 31.58% 9.85% Matched#3
TMUS T-MOBILE US INC 20.23% -12.02% -2.43% Matched#4
SPY STATE STR SPDR S&P 500 ETF T Unavailable Unavailable Unavailable Prior-year EPS unavailable#5
SNDK SANDISK CORP Unavailable Unavailable Unavailable Prior-year EPS unavailable#6
Unavailable INVESCO QQQ TR Unavailable Unavailable Unavailable Prior-year EPS unavailable#7
DELL DELL TECHNOLOGIES INC Unavailable Unavailable Unavailable Prior-year EPS unavailable#8
MRVL MARVELL TECHNOLOGY INC Unavailable Unavailable Unavailable Prior-year EPS unavailable#9
IWM ISHARES TR Unavailable Unavailable Unavailable Prior-year EPS unavailable#10

Forty-interval disclosed-sleeve summary

All completed public-filing intervals

MetricResult
Score47/120
Wins47
Losses73
Average excess return-0.66%
Median filed-value coverage76.25%
Minimum filed-value coverage56.59%

Calculation rules

portfolio
Every mapped long-share security in Jane Street's effective Form 13F filing, aggregated by CUSIP and weighted by filed value; options and principal-amount rows are excluded.
timing
The first tradable adjusted close after public filing through the last close on or before the next comparable public filing; amendments become effective at their own public timestamp.
return
Dividend-reinvested and split-adjusted security returns; covered holdings are renormalized to their covered filed value and every quarter publishes its exact coverage.
contribution
The component drilldown retains the ten largest filed long-share positions. Covered-weight contribution equals each displayed security's share of all priced filed value multiplied by its total return; the score still uses every priced long-share security, not only these ten rows.
benchmark
SPY dividend-reinvested, split-adjusted return over the same public-filing interval.
scope
A disclosed long-holdings copycat estimate, not Jane Street's whole-firm trading performance, shorts, derivatives, private assets, cash, or intra-quarter trades.
financialScoring
Revenue and EPS contests join each interval's ten largest direct filed positions to the central issuer SEC-facts corpus for the same quarter and prior-year quarter. Matched positions are filed-value weighted and renormalized only among matched rows; exact whole-portfolio filed-value coverage is published. Missing, zero-base or look-ahead comparisons score 0 and are never imputed.
pointRule
Each interval contains total return, held-company revenue growth and held-company EPS growth. Strict outperformance earns 1; loss, tie or unavailable comparison earns 0.

Snapshot captured 2026-08-31.

The requested portfolio module has no retained observations.

Analyst Ratings

Ratings issued BY analysts employed by this firm; never ratings about the firm.

Unable to fetch a source-backed rating issued by this firm's analysts; zero is not claimed.

Insider Transactions

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