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      Current Value of Holding

      $0

      Shares

      0

      % of Portfolio

      0.00%

      Average Buy Price

      $83.1

      Avg closing price
      Price range

      Berkshire Hathaway's M & T Bank Stake

      The first M & T Bank trade was made in Q4 1998. Since then Warren Buffett bought shares fourteen more times and sold shares on sixteen occasions. The investor completely sold their stake between Q2 2020 and Q4 2020.

      Avg closing price
      Price range
      Sold -2.92M shares Q4 2020
      Avg closing price $113.88
      Price range $92.21 - $128.14
      Sold 35.6% shares (-1.62M shares) Q3 2020
      Avg closing price $102.21
      Price range $90.06 - $111.35
      Sold 15.7% shares (-846k shares) Q2 2020
      Avg closing price $105.58
      Price range $89.12 - $127.40
      Increased shares by 1051.0% (+4.91M shares) Q2 2012
      Avg closing price $83.18
      Price range $76.98 - $87.39
      New holding (+468k shares) Q1 2012
      Avg closing price $81.98
      Price range $78.03 - $87.27
      Sold -5.38M shares Q4 2011
      Avg closing price $73.26
      Price range $67.43 - $79.24
      Increased shares by 1040.9% (+4.91M shares) Q3 2011
      Avg closing price $78.11
      Price range $67.90 - $89.24
      Sold 91.2% shares (-4.89M shares) Q2 2011
      Avg closing price $87.08
      Price range $84.41 - $89.79
      Sold 3.6% shares (-199k shares) Q2 2010
      Avg closing price $84.41
      Price range $74.24 - $94.45
      Sold 17.2% shares (-1.15M shares) Q1 2010
      Avg closing price $76.43
      Price range $67.01 - $84.00
      Increased shares by 0.1% (+6.3k shares) Q1 2008
      Avg closing price $82.49
      Price range $71.59 - $94.03
      Increased shares by 733.6% (+5.9M shares) Q4 2006
      Avg closing price $122.16
      Price range $122.16 - $122.16
      Sold 88.0% shares (-5.9M shares) Q3 2006
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      Increased shares by 850.9% (+6M shares) Q3 2005
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      Sold 89.5% shares (-6M shares) Q2 2005
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      Increased shares by 944.9% (+6.07M shares) Q4 2004
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      Sold 90.4% shares (-6.07M shares) Q3 2004
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      New holding (+6.71M shares) Q2 2004
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      New holding (+659k shares) Q4 2003
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      New holding (+565k shares) Q2 2003
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