US Stock MarketDetailed Quotes

BRK.A Berkshire Hathaway-A

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  • 708000.000
  • +2001.000+0.28%
Close Nov 18 16:00 ET
1.02TMarket Cap9.54P/E (TTM)

Berkshire Hathaway-A Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
-86.81%1.8B
9.39%13.6B
21.55%10.57B
31.72%49.2B
39.66%14.4B
17.01%13.67B
45.75%12.43B
27.35%8.69B
-5.27%37.35B
32.18%10.31B
Net income from continuing operations
310.71%26.48B
-15.75%30.5B
-64.11%12.83B
541.62%97.15B
107.04%37.76B
-365.79%-12.57B
183.71%36.2B
526.77%35.76B
-124.19%-22B
-54.45%18.24B
Operating gains losses
-620.33%-5.17B
404.39%1.87B
161.20%2.11B
-226.83%-5.71B
-132.20%-937M
-146.26%-718M
-859.26%-615M
-8,502.50%-3.44B
474.94%4.5B
2,355.81%2.91B
Other non cash items
29.75%-1.71B
-42.44%-2.61B
-121.42%-2.86B
-43.20%-6.02B
-165.87%-467M
-4.61%-2.43B
-12.32%-1.83B
-34.69%-1.29B
-24.36%-4.21B
126.60%709M
Change in working capital
-31.00%-5.66B
-20.65%6.37B
-111.71%-695M
236.56%20.44B
251.25%10.79B
-1,009.89%-4.32B
149.71%8.03B
351.85%5.94B
-179.97%-14.97B
-61.88%3.07B
-Change in receivables
63.89%-602M
-493.38%-1.61B
150.87%469M
65.33%-1.95B
-52.23%912M
-55.07%-1.67B
90.68%-272M
73.93%-922M
4.14%-5.62B
101.80%1.91B
-Change in loss and loss adjustment expense reserves
283.07%2.2B
126.48%573M
431.82%117M
-35.22%2.63B
460.32%1.78B
-81.19%573M
-73.28%253M
-96.06%22M
-3.27%4.06B
19.67%-494M
-Change in unearned premiums
29.38%775M
-70.10%241M
-11.39%1.49B
-0.38%1.85B
30.15%-1.24B
-52.00%599M
70.76%806M
-11.82%1.69B
-19.30%1.86B
-7.20%-1.77B
-Change in other current assets
-751.82%-937M
-191.27%-481M
110.08%101M
101.90%98M
43.79%683M
88.20%-110M
120.83%527M
53.82%-1B
-201.93%-5.16B
416.67%475M
-Change in other current liabilities
-39.87%2.05B
2,466.67%1.7B
-107.10%-5.49B
28.82%2.57B
601.87%1.88B
204.28%3.41B
-105.10%-72M
-1,505.45%-2.65B
-24.94%2B
-151.23%-374M
-Change in other working capital
-28.26%-9.15B
-12.37%5.95B
-70.34%2.61B
225.92%15.24B
103.70%6.78B
-143.05%-7.13B
150.15%6.79B
743.01%8.8B
-170.65%-12.1B
-62.19%3.33B
Cash from discontinued operating activities
Operating cash flow
-86.81%1.8B
9.39%13.6B
21.55%10.57B
31.72%49.2B
39.66%14.4B
17.01%13.67B
45.75%12.43B
27.35%8.69B
-5.27%37.35B
32.18%10.31B
Investing cash flow
Cash flow from continuing investing activities
86.08%-3.9B
-169.90%-7.45B
59.55%-3.2B
62.71%-32.66B
-20.67%-7.35B
-282.33%-28.05B
168.27%10.66B
86.48%-7.92B
-398.04%-87.6B
-135.19%-6.09B
Net investment purchase and sale
104.52%1.03B
-118.05%-2.87B
-48.16%1.68B
91.36%-5.34B
-118.73%-1.68B
-553.07%-22.79B
238.38%15.9B
105.81%3.24B
-245.87%-61.78B
-60.21%8.97B
Net PPE purchase and sale
11.35%-4.7B
3.20%-4.54B
-18.31%-4.39B
-25.51%-19.41B
-25.26%-5.71B
-30.17%-5.3B
-25.17%-4.69B
-20.16%-3.71B
-16.48%-15.46B
-13.02%-4.56B
Net business purchase and sale
58.33%-20M
98.31%-15M
95.71%-327M
18.78%-8.6B
99.62%-40M
40.00%-48M
-1,185.51%-887M
-22,338.24%-7.63B
-2,223.25%-10.59B
-4,031.35%-10.41B
Net other investing changes
-325.26%-214M
-108.46%-28M
-189.56%-163M
186.61%685M
181.91%77M
-69.16%95M
207.47%331M
-45.35%182M
-68.96%239M
87.21%-94M
Cash from discontinued investing activities
Investing cash flow
86.08%-3.9B
-169.90%-7.45B
59.55%-3.2B
62.71%-32.66B
-20.67%-7.35B
-282.33%-28.05B
168.27%10.66B
86.48%-7.92B
-398.04%-87.6B
-135.19%-6.09B
Financing cash flow
Cash flow from continuing financing activities
33.89%-3.07B
195.50%854M
1.21%-9.8B
-766.73%-14.41B
89.93%-136M
-141.71%-4.64B
127.90%289M
-475.41%-9.92B
94.17%-1.66B
81.09%-1.35B
Net issuance payments of debt
-4,610.53%-895M
-35.61%1.36B
10.13%-4.58B
-113.30%-1.09B
6.52%1.91B
97.86%-19M
97.01%2.11B
-182.26%-5.09B
1,186.57%8.17B
635.82%1.8B
Net common stock issuance
--0
74.57%-356M
42.43%-2.56B
-16.77%-9.17B
15.91%-2.19B
-6.92%-1.13B
-38.48%-1.4B
-39.94%-4.45B
70.98%-7.85B
62.03%-2.61B
Net other financing charges
37.80%-2.17B
64.54%-150M
-601.05%-2.66B
-109.55%-4.15B
126.95%145M
-15,269.57%-3.49B
61.44%-423M
-3.54%-380M
-184.75%-1.98B
-996.67%-538M
Cash from discontinued financing activities
Financing cash flow
33.89%-3.07B
195.50%854M
1.21%-9.8B
-766.73%-14.41B
89.93%-136M
-141.71%-4.64B
127.90%289M
-475.41%-9.92B
94.17%-1.66B
81.09%-1.35B
Net cash flow
Beginning cash position
-14.97%43.07B
32.46%36.16B
6.17%38.64B
-58.97%36.4B
-5.25%31.6B
62.22%50.65B
-31.17%27.3B
-58.97%36.4B
83.29%88.71B
-52.78%33.36B
Current changes in cash
72.83%-5.17B
-70.02%7.01B
73.34%-2.44B
104.10%2.13B
141.04%6.91B
-883.15%-19.02B
388.19%23.38B
81.37%-9.15B
-228.78%-51.91B
-84.04%2.87B
Effect of exchange rate changes
355.88%87M
-321.74%-97M
-193.62%-44M
129.44%116M
-28.00%126M
88.51%-34M
92.94%-23M
-11.32%47M
-39,300.00%-394M
80.41%175M
End cash position
20.21%37.99B
-14.97%43.07B
32.46%36.16B
6.17%38.64B
6.17%38.64B
-5.25%31.6B
62.22%50.65B
-31.17%27.3B
-58.97%36.4B
-58.97%36.4B
Free cash flow
-134.64%-2.9B
17.01%9.07B
23.96%6.17B
36.10%29.79B
51.06%8.69B
9.96%8.37B
61.84%7.75B
33.30%4.98B
-16.31%21.89B
52.67%5.75B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
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Unqualified Opinion
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Unqualified Opinion
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(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities -86.81%1.8B9.39%13.6B21.55%10.57B31.72%49.2B39.66%14.4B17.01%13.67B45.75%12.43B27.35%8.69B-5.27%37.35B32.18%10.31B
Net income from continuing operations 310.71%26.48B-15.75%30.5B-64.11%12.83B541.62%97.15B107.04%37.76B-365.79%-12.57B183.71%36.2B526.77%35.76B-124.19%-22B-54.45%18.24B
Operating gains losses -620.33%-5.17B404.39%1.87B161.20%2.11B-226.83%-5.71B-132.20%-937M-146.26%-718M-859.26%-615M-8,502.50%-3.44B474.94%4.5B2,355.81%2.91B
Other non cash items 29.75%-1.71B-42.44%-2.61B-121.42%-2.86B-43.20%-6.02B-165.87%-467M-4.61%-2.43B-12.32%-1.83B-34.69%-1.29B-24.36%-4.21B126.60%709M
Change in working capital -31.00%-5.66B-20.65%6.37B-111.71%-695M236.56%20.44B251.25%10.79B-1,009.89%-4.32B149.71%8.03B351.85%5.94B-179.97%-14.97B-61.88%3.07B
-Change in receivables 63.89%-602M-493.38%-1.61B150.87%469M65.33%-1.95B-52.23%912M-55.07%-1.67B90.68%-272M73.93%-922M4.14%-5.62B101.80%1.91B
-Change in loss and loss adjustment expense reserves 283.07%2.2B126.48%573M431.82%117M-35.22%2.63B460.32%1.78B-81.19%573M-73.28%253M-96.06%22M-3.27%4.06B19.67%-494M
-Change in unearned premiums 29.38%775M-70.10%241M-11.39%1.49B-0.38%1.85B30.15%-1.24B-52.00%599M70.76%806M-11.82%1.69B-19.30%1.86B-7.20%-1.77B
-Change in other current assets -751.82%-937M-191.27%-481M110.08%101M101.90%98M43.79%683M88.20%-110M120.83%527M53.82%-1B-201.93%-5.16B416.67%475M
-Change in other current liabilities -39.87%2.05B2,466.67%1.7B-107.10%-5.49B28.82%2.57B601.87%1.88B204.28%3.41B-105.10%-72M-1,505.45%-2.65B-24.94%2B-151.23%-374M
-Change in other working capital -28.26%-9.15B-12.37%5.95B-70.34%2.61B225.92%15.24B103.70%6.78B-143.05%-7.13B150.15%6.79B743.01%8.8B-170.65%-12.1B-62.19%3.33B
Cash from discontinued operating activities
Operating cash flow -86.81%1.8B9.39%13.6B21.55%10.57B31.72%49.2B39.66%14.4B17.01%13.67B45.75%12.43B27.35%8.69B-5.27%37.35B32.18%10.31B
Investing cash flow
Cash flow from continuing investing activities 86.08%-3.9B-169.90%-7.45B59.55%-3.2B62.71%-32.66B-20.67%-7.35B-282.33%-28.05B168.27%10.66B86.48%-7.92B-398.04%-87.6B-135.19%-6.09B
Net investment purchase and sale 104.52%1.03B-118.05%-2.87B-48.16%1.68B91.36%-5.34B-118.73%-1.68B-553.07%-22.79B238.38%15.9B105.81%3.24B-245.87%-61.78B-60.21%8.97B
Net PPE purchase and sale 11.35%-4.7B3.20%-4.54B-18.31%-4.39B-25.51%-19.41B-25.26%-5.71B-30.17%-5.3B-25.17%-4.69B-20.16%-3.71B-16.48%-15.46B-13.02%-4.56B
Net business purchase and sale 58.33%-20M98.31%-15M95.71%-327M18.78%-8.6B99.62%-40M40.00%-48M-1,185.51%-887M-22,338.24%-7.63B-2,223.25%-10.59B-4,031.35%-10.41B
Net other investing changes -325.26%-214M-108.46%-28M-189.56%-163M186.61%685M181.91%77M-69.16%95M207.47%331M-45.35%182M-68.96%239M87.21%-94M
Cash from discontinued investing activities
Investing cash flow 86.08%-3.9B-169.90%-7.45B59.55%-3.2B62.71%-32.66B-20.67%-7.35B-282.33%-28.05B168.27%10.66B86.48%-7.92B-398.04%-87.6B-135.19%-6.09B
Financing cash flow
Cash flow from continuing financing activities 33.89%-3.07B195.50%854M1.21%-9.8B-766.73%-14.41B89.93%-136M-141.71%-4.64B127.90%289M-475.41%-9.92B94.17%-1.66B81.09%-1.35B
Net issuance payments of debt -4,610.53%-895M-35.61%1.36B10.13%-4.58B-113.30%-1.09B6.52%1.91B97.86%-19M97.01%2.11B-182.26%-5.09B1,186.57%8.17B635.82%1.8B
Net common stock issuance --074.57%-356M42.43%-2.56B-16.77%-9.17B15.91%-2.19B-6.92%-1.13B-38.48%-1.4B-39.94%-4.45B70.98%-7.85B62.03%-2.61B
Net other financing charges 37.80%-2.17B64.54%-150M-601.05%-2.66B-109.55%-4.15B126.95%145M-15,269.57%-3.49B61.44%-423M-3.54%-380M-184.75%-1.98B-996.67%-538M
Cash from discontinued financing activities
Financing cash flow 33.89%-3.07B195.50%854M1.21%-9.8B-766.73%-14.41B89.93%-136M-141.71%-4.64B127.90%289M-475.41%-9.92B94.17%-1.66B81.09%-1.35B
Net cash flow
Beginning cash position -14.97%43.07B32.46%36.16B6.17%38.64B-58.97%36.4B-5.25%31.6B62.22%50.65B-31.17%27.3B-58.97%36.4B83.29%88.71B-52.78%33.36B
Current changes in cash 72.83%-5.17B-70.02%7.01B73.34%-2.44B104.10%2.13B141.04%6.91B-883.15%-19.02B388.19%23.38B81.37%-9.15B-228.78%-51.91B-84.04%2.87B
Effect of exchange rate changes 355.88%87M-321.74%-97M-193.62%-44M129.44%116M-28.00%126M88.51%-34M92.94%-23M-11.32%47M-39,300.00%-394M80.41%175M
End cash position 20.21%37.99B-14.97%43.07B32.46%36.16B6.17%38.64B6.17%38.64B-5.25%31.6B62.22%50.65B-31.17%27.3B-58.97%36.4B-58.97%36.4B
Free cash flow -134.64%-2.9B17.01%9.07B23.96%6.17B36.10%29.79B51.06%8.69B9.96%8.37B61.84%7.75B33.30%4.98B-16.31%21.89B52.67%5.75B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--

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