Warren Buffett, the renowned investor and CEO of Berkshire Hathaway, disclosed that 52.6% of the company’s $312 billion portfolio is concentrated in three major stocks: Apple, Bank of America, and Coca-Cola. Apple alone represents 43.8% of the portfolio, while Bank of America and Coca-Cola account for 5.2% and 3.6%, respectively. This investment strategy highlights Buffett’s belief in the long-term growth potential and consistent returns of these companies, reflecting his focus on high-quality businesses with robust fundamentals and promising future prospects.