BERKSHIRE HATHAWAY INCBRK-B

時価総額
PER
持株会社の最大手。保険、貨物鉄道、電力・エネルギー、製造・小売を含む多様な事業を展開。2022年10月に115億ドルで保険グループを買収、2023年1月に約82億ドルでの大口出資、2024年1月に26億ドルで残株取得。米国を中心に北米・欧州・アジアで事業展開。
2010年
12月31日
2011年
12月31日
2012年
12月31日
2013年
12月31日
2014年
12月31日
2015年
12月31日
2016年
12月31日
2017年
12月31日
2018年
12月31日
2019年
12月31日
2020年
12月31日
2021年
12月31日
2022年
12月31日
2023年
12月31日
2024年
12月31日
Net earnings (loss)13,49410,74615,31219,84520,17024,41424,42745,3534,32281,79243,25390,807-22,05897,14789,561
Insurance and Other------5,1281,202-------
Investment (gains) losses2,0851,2741,4624,0653,5759,3737,5531,410-22,15571,12340,90577,576-67,62374,85552,799
Depreciation and amortization---6,5087,3707,7798,9019,1889,77910,06410,59610,71810,89912,48612,855
Discount accretion on investments, principally U.S. Treasury Bills--------------11,349
Other--811-795-373341-751161-458-2,9571,254-3,3974,3246,023892
Unpaid losses and loss adjustment expenses-----2,2624,37225,0273,4496,0874,8194,5954,0572,6282,173
Deferred charges - retroactive reinsurance------------1,802-769-375-698
Unearned premiums1108521,1345191,1591,3929681,7611,7941,7071,5872,3061,8611,854376
Receivables and originated loans1,9791,1591,610-1,0351,8901,6503,3021,9903,4432,3031,6095,8345,5921,949-626
Inventories------------4,779-1,426-591
Other assets-1,601-185-----1,8322,0111,1091,6863731,328797
Other liabilities-1,3102,223-----2,0021903,3762,3892,0332,570-2,288
Income taxes-1,4931,7103,5144,9055,7184,044-24,957-4,95715,1817,19515,297-12,89214,865-8,163
Net cash flows from operating activities17,895------45,77637,40038,68739,77339,42137,22449,19630,592
Purchases of equity securities-------------16,4629,237
Sales of equity securities-------------40,600143,400
Purchases of U.S. Treasury Bills and fixed maturity securities---------136,123208,429152,637183,922235,007526,842
Sales of U.S. Treasury Bills and fixed maturity securities---------15,92931,87327,18890,08852,30248,462
Redemptions and maturities of U.S. Treasury Bills and fixed maturity securities---------137,767149,709160,40266,318153,201353,538
Acquisitions of businesses, net of cash acquired----4,8244,90231,3992,7083,2791,6832,53245610,5948,604396
Purchases of property, plant and equipment and equipment held for lease5,9808,1919,77511,08715,18516,08212,95411,70814,53715,97913,01213,27615,46419,40918,976
Other476-631831,210-336-1654193,690711,4963,582-297-239-685195
Net cash flows from investing activities-18,277-------41,091-32,849-5,621-37,75729,392-87,601-32,663-10,287
Insurance and Other------9,4311,3422,4098,1445,9252,9617,8222,1335,528
Railroad Utilities And Energy------3,0773,0137,0195,4008,4453,9594,8735,6847,658
Insurance and Other------1,2641,8567,3955,0952,7003,0321,5025,9217,796
Railroad Utilities And Energy------2,1233,5494,2132,6383,7614,0162,4265,3904,151
Changes in short term borrowings, net370301-309-1,317932-3781302,079-1,943266-1,118-624-5962,407-3,059
Acquisitions of treasury stock--1,296-----1,3464,85024,70627,0617,8549,1712,918
Proceeds from (Payments for) Other Financing Activities----13422-161--121-343-497-429-695-1,979-4,147-5,622
Net cash flows from financing activities8,125-------1,398-5,812730-18,344-28,508-1,662-14,405-10,360
Effects of foreign currency exchange rate changes---------14025925-268116-212
Increase (decrease) in cash and cash equivalents and restricted cash---------1,40133,821-16,23640,310-52,3072,2449,733