Warren Buffett Remains Optimistic About America. Here Are Top American Companies Worth Investing In.

The United States, like all countries, has gone through its share of ups and downs — from soaring economies to recessions, from times of peace to wars. Most recently, President Donald Trump’s plan to impose tariffs on imports has rocked the financial markets, as investors worry about the impact of tariffs on prices — and eventually on the economy.

But through thick and thin, famous investor Warren Buffett has firmly remained a supporter of his country and U.S. companies. Back in 2008, with the financial crisis raging, the billionaire wrote an op-ed in The New York Times, clearly saying the financial world was “a mess” and the general economy wasn’t looking much better.

During those troubled times, Buffett was doing one thing — and it’s something that might surprise you. He was buying U.S. stocks.

“Bad news is an investor’s best friend,” Buffett wrote. “It lets you buy a slice of America’s future at a marked-down price.”

Fast-forward to 2025, and Buffett’s message and strategy haven’t changed. (And why should they? Buffett’s method has led Berkshire Hathaway to market-beating returns over 59 years.) At Berkshire Hathaway’s annual shareholder meeting recently, the billionaire said he felt lucky to have been born in the U.S. and encouraged investors not to worry that the country hasn’t solved every problem it’s encountered — his words suggest that, because the U.S. constantly has changed, evolved, and been resilient, there’s reason to be optimistic about the future.

With this Buffett wisdom in mind, here are some top American companies worth investing in right now.

Image source: The Motley Fool.

1. Coca-Cola

What better way to start this list than with a Warren Buffett favorite? Buffett bought shares of Coca-Cola (KO 0.56%), the world’s largest nonalcoholic drinks maker, over a seven-year period starting in the late 1980s. And he’s held on ever since. Buffett likes this company for its solid moat — its strong brand and established global presence — as well as its commitment to dividend growth.

Though Coca-Cola is a household name around the world, the company’s flagship market is North America, which brought in almost $19 billion in revenue last year. That’s nearly 40% of total revenue.

In an environment of tariff uncertainty, Coca-Cola is a great stock to own because the business relies on local suppliers and bottlers in each of its markets. This reduces the need to import, and therefore cuts the tariff exposure. The company said during an analyst call last month that it expects “minor impacts” and is confident about its ability to manage the tariff situation.

So if you buy Coca-Cola stock, you can benefit from this quality business and passive income over time — and in the near term, tariff worries won’t keep you up at night.

2. Palantir Technologies

Palantir Technologies (PLTR 1.00%) prides itself on its work with the U.S. government. In fact, this Denver-based software company in its earlier days generated most of its revenue and growth thanks to contracts with the government.

Recently, though, its commercial business has exploded higher, and Palantir has worked with international companies and governments too. But the U.S. remains its biggest business, representing 71% of total revenue in the recent quarter.

So, Palantir depends greatly on the health of American businesses and the spending of the U.S. government. This has worked out well so far, with revenue growth soaring, and the company is so optimistic about the future that it recently raised several forecasts for the full year, including its revenue outlook.

Palantir, using artificial intelligence (AI)-driven platforms, helps customers aggregate and make better use of their data. As companies and governments rush to apply AI to their projects and gain efficiency, Palantir could see bright days ahead. That makes it a great stock for growth investors to buy and hold right now.

3. Vertex Pharmaceuticals

Vertex Pharmaceuticals (VRTX 0.95%) is the global leader in cystic fibrosis (CF) treatment, with blockbuster drug Trikafta helping the company generate $11 billion in product revenue last year. The biotech just launched a new CF drug, Alyftrek, as well as a non-opioid painkiller called Journavx that’s expected to create another billion-dollar franchise for the company.

Though Vertex sells its products internationally, it makes most of its revenue — 60% of total revenue last year — in the U.S. And the following is very important in a context of import tariff uncertainty: Vertex produces its CF drugs primarily in the U.S., limiting exposure to these extra costs.

But Vertex isn’t only a tariff safe haven. It’s also a company that has proven its ability to innovate, produce game-changing drugs, and generate growth. Its newest product launches should keep that momentum going and lead to more share price growth over the long run. So when you buy shares of Vertex, you’re adding a fantastic growth stock to your portfolio — and betting on America at the same time.

A person hugs a dog outdoors.

Image source: Getty Images.

4. Chewy

Your dog, cat, or goldfish may know Chewy (CHWY 0.71%) very well. That’s because this e-commerce company sells everything your pet may need, from food and toys to health insurance. And Chewy even recently launched vet clinics, a great move to add a new revenue stream and potentially introduce new customers to its e-commerce offerings.

Though Chewy expanded into Canada in recent years, it makes most of its revenue in the U.S. So the company depends on the buying power of the U.S. consumer for growth. This has worked out nicely in recent years, as Chewy has steadily increased revenue and profit.

CHWY Revenue (Annual) Chart

CHWY Revenue (Annual) data by YCharts

And Chewy has developed a loyal customer base, as we can see through Autoship — a service that automatically reorders and ships your favorite products to you. Autoship sales now make up 80% of total sales.

What about the issue of tariffs plaguing the market these days? Chewy says it has “very small exposure” to China — the country most impacted by the U.S. tariff plan — thanks to its reliance on local sources for many products, making it a great buy for investors seeking safety along with growth for their portfolios right now.

5. American Express

Finally, I’ll finish off this list with another stock Buffett holds in the Berkshire Hathaway portfolio. Like Coca-Cola, it’s a long-term position and one that offers Buffett security, dividend growth, and exposure to the U.S. economy.

I’m talking about American Express (AXP -0.02%), which issues credit cards around the world — but the U.S. remains its biggest market. For example, U.S. consumer and business customers made up 67% of American Express’s total worldwide network volume in the 2024 full year.

It may seem counterintuitive to invest in a credit card company now as economic uncertainty remains — but American Express actually makes a fantastic buy during these times. Since the company has a large base of affluent customers, who are less sensitive to tough economies, it actually holds up well during these environments. In the first quarter of this year, American Express reported an 8% increase in revenue and cited “the power of our premium customer base.”

On top of this, millennials and those in Gen-Z make up American Express’s fastest-growing U.S. customer group, and this popularity with a young crowd shows potential for more growth down the road.

All this means Buffett favorite American Express may be a surefire way to bet on the strength of the U.S. consumer, today and over time.

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恒指收市跌187點 北水轉流出2億 大市、北水成交近一周低 (16:23) – 20250515 – 即時財經新聞

北水終止連續兩日流入,淨流出2.21億元,本月累計流出25.11億元。北水交易成交額跌18%,佔香港市場成交額降至20.6%,是4月29日後收市新低,當日報20.4997點。大市成交、北水成交均降至5月9日後新低。 恒指今早高開3點,高位升70點,低位跌268點,高低波幅339點。上升股份比例為24.38%,下跌為41.82%,無升跌為33.78%。 恒指收市跌187點或0.79%,報23453點,大市成交金額連續第四日高於2000億元,達2002億元,較上日減少10.16%,是5月9日1616.29億元成交後最少;國指跌83點或0.97%,報8509點。恒生科技指數收報5297點,跌1.56%。 藍籌股成交金額978億元,佔大市成交48.85%;科指成份股成交金額607.11億元,佔大市成交30.32%;國指成份股成交金額864.46億元,佔大市成交43.17%。 24隻雙櫃台股,總成交0.92億元人民幣,相當於約0.99億港元,佔大市成交的0.05%。 窩輪及牛熊證成交金額減少16.31%,至152.67億元,佔大市成交7.62%。牛熊證成交金額62.67億元,減少35.66%;窩輪成交金額89.99億元,增加5.84%。 藍籌18隻升,64隻下跌,1隻無升跌。東方海外(0316)升2.92%,收報133.9元,是升幅最大的藍籌,平保(2318)跌5.76%,收報46.65元,是跌幅最大的藍籌。 恒生科技指數成份股7隻升,22隻下跌,1隻無升跌。升幅最大的是騰訊音樂-SW(1698)創上市新高,見67.65元,收報65.7元,升6.83%;跌幅最大的是京東(9618)收報135.4元,跌4.38%。 恒指10天線(22937.39點)升穿50天線(22787.79點)。科指下試10天線(5257.68點),跌穿50天線(5366.74點),20天線(5108.67點)升穿100天線(5095.45點)。 北水南下合計淨流出2.21億元,終止連續2日流入。北水本月累計流出25.11億元。北水交易成交額(包括買入及賣出交易)825.22億元,較上日減18.31%,佔香港市場成交額由上日的22.66%減至20.6%。 三大指數表現 恒指曾升最多0.3%,高見23710.82點,是3月28日23775.3點後最高。恒指曾跌最多1.14%,是5月13日後最大跌幅,當日跌幅為2.03%。低見23371.73點,是5月14日23278.22點後最低。今日收市報23453.16點,是5月13日後收市新低,當日報23108.27點。 科指曾升最多0.32%,高見5398.95點,是5月13日5431.61點後最高。科指曾跌最多2%,是5月13日後最大跌幅,當日跌幅為3.56%。低見5274.39點,是5月13日5253.63點後最低。今日收市報5297.84點,是5月13日後收市新低,當日報5269.66點。 國指曾升最多0.25%,高見8614.25點,是4月1日8648.81點後最高。國指曾跌最多1.3%,是5月13日後最大跌幅,當日跌幅為2.21%。低見8481.14點,是5月14日8449.07點後最低。今日收市報8509.67點,是5月13日後收市新低,當日報8386.21點。 午後消息股表現 淘寶618開鑼在即 無需湊單即可享85折優惠。阿里巴巴(9988)收報128.9元,跌1.15%。 匯豐One今年首季Z世代新客戶量倍增 將伙LinkedIn辦求職理財工作坊。匯控(0005)收報90.6元,跌0.22%。 九龍倉置業(1997)主席吳天海:五一旗下海港城銷售表現良好 現市況下續租租金維持克制。收報19.54元,跌1.21%。 龍湖(0960)據報已還境內債5.2億人幣。收報10.24元,跌3.58%。 恒生(0011):業務調整 受影響員工佔銀行核心業務員工總數約1%。收報110.9元,跌0.63%。 敏華(1999)全年盈利跌10% 末期息削兩成至0.12元。收報4.37元,跌2.24%。 譚仔國際(2217):全年除稅後溢利跌32%。收報1.49元,無升跌。 新濠國際(0200):獨立非執董高來福5月13日離世。收報4.23元,升1.93%。 吉利(0175)首季多賺2.6倍 銷量增48%創新高。創52周高,見19.66元,收報19.58元,升2.3%。 今早及隔晚消息股表現 大摩上調泡泡瑪特(9992)目標價 曾升逾3%創上市新高。創上市新高,見200.8元,收報196.8元,升1.6%。 匯控(0005)計劃裁減法國約10%員工。收報90.6元,跌0.22%。 花旗上調騰訊(0700)目標價 維持「買入」評級。騰訊首季多賺22%勝預期,指AI已對廣告及遊戲業務有實質貢獻。收報520元,跌0.19%。 中國4月新增貸款規模重挫逾六成。內銀股 建行(0939)收報6.93元,升0.43%。 農行(1288)創上市新高,見5.14元,收報5.03元,跌0.59%。 工行(1398)收報5.64元,升0.18%。 郵儲行(1658)收報5.02元,跌0.79%。 交行(3328)創52周高,見7.27元,收報7.17元,跌0.42%。 招行(3968)收報48.95元,跌0.71%。 中行(3988)收報4.68元,跌0.64%。 多間公司最快今日公布業績,績前表現如下,吉利(0175)創52周高,見19.66元,收報19.58元,升2.3%。 貝殼-W(2423)收報50.25元,跌5.46%。 中國黃金國際(2099)收報52.05元,升0.19%。 正大企業國際(3839)收報1.62元,無升跌。 吉星新能源(3395)收報0.068元,無升跌。 LHN(1730)收報2.7元,無升跌。 敏華控股(1999)收報4.37元,跌2.24%。 俄鋁(0486)收報4.17元,跌0.71%。 首程控股(0697)收報1.71元,跌0.58%。 南戈壁(1878)收報2.35元,跌1.67%。 中石化(0386)母公司出資12.32億港元增持3.02億股H股。收報4.08元,跌0.73%。

美國議員質疑TP-Link與中國有關聯 促禁售其設備 (16:23) – 20250515 – 即時財經新聞

TP-Link否認這些指控。該公司指,作為一家美國公司,包括中國在內的任何外國或政府都無權訪問或控制該公司產品的設計和生產。TP-Link強調,公司不是國營企業,與中國沒有深厚聯繫且完全獨立。 TP-Link在中國創辦,去年分拆為兩個實體,其中美國實體 TP-Link Systems Inc 總部位於加州,中國實體普聯技術(TP-LINK Technologies Co.)總部則在深圳。     其他報道 Shein下調美國零售價格 標普:中國樓價今年料跌1% 內房趨穩定 滬指終止三連升 以近日中低位收市 淘寶618開鑼在即 無需湊單即可享85折優惠 股神退休︱巴菲特談交棒原因:感到自己變老 偶爾會失平衡 記不起別人名字 匯豐One今年首季Z世代新客戶量倍增 將伙LinkedIn辦求職理財工作坊 上月訪港旅客增13%至380萬 今年首4個月台日韓菲旅客多兩成 吳天海:五一旗下海港城銷售表現良好 現市況下續租租金維持克制 龍湖據報已還境內債5.2億人幣 恒生裁員︱失Staff Plan或釀樓市風險? 按揭業界人士咁睇 【有片:埋身擊】科指仍有機會再上 可趁回調買入 半日沽空金額增19% 恒生中國企業沽空增789% 恒生:業務調整 受影響員工佔銀行核心業務員工總數約1% 敏華全年盈利跌10% 末期息削兩成至0.12元 譚仔國際:全年除稅後溢利跌32% 恒指半日跌59點 曾創逾1個月高 平保跌4% 京東跌3% 北水續流入 新濠國際:獨立非執董高來福5月13日離世 吉利首季多賺2.6倍 銷量增48%創新高 滬深三大指數半日向下 滬指失守3400點 證監會:與阿布札比金管局在監督跨境投資管理活動方面加強合作 調查:今年打工仔平均加薪2.2% 按年跌1個百分點 逾七成受訪者憂失業 港元拆息普遍向上 1個月HIBOR終止7連跌

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