US | Balance Sheet 2017-2026 | Berkshire Hathaway Inc

The requested portfolio module has no retained observations.

The requested portfolio module has no retained observations.

Current-holdings look-through balance sheet for the complete current long-share portfolio; this is not a private firm's own GAAP statement.

Quarterly Balance Sheet

DateQuarterly Total assetsQuarterly Cash and equivalentsQuarterly Current marketable securitiesQuarterly Accounts receivableQuarterly Total current assetsQuarterly GoodwillQuarterly Intangible assetsQuarterly Total liabilitiesQuarterly Total current liabilitiesQuarterly Noncurrent long-term debtQuarterly Shareholder equity
2026-Q2$138.84B$13.92B$751.9M$3.85B$14.58B$13.45B$1.67B$94.72B$13.98B$28.57B$32.52B
2026-Q1$129.32B$14.86B$656.95M$3.41B$11.48B$12.43B$1.6B$94.28B$11.6B$25.33B$30.04B
2025-Q4$136.8B$14.34B$1.06B$3.53B$14.32B$13.62B$1.69B$91.53B$13.33B$27.87B$33.8B
2025-Q3$135.87B$15.9B$1.13B$3.54B$13.73B$13.86B$1.71B$91.09B$13.32B$28.35B$33.04B
2025-Q2$131.98B$15.92B$895.49M$3.46B$12.93B$13.73B$1.75B$88.89B$12.96B$28.39B$31.48B
2025-Q1$129.23B$14.44B$807.67M$3.33B$12.44B$15.11B$1.69B$85.07B$12.6B$26.39B$32.56B
2024-Q4$125.48B$12.63B$757.11M$3.23B$12.96B$14.77B$1.73B$81.47B$12.73B$26.09B$32.51B
2024-Q3$126.29B$13.87B$894.04M$3.36B$13.14B$14.88B$1.79B$81.86B$13.54B$26.37B$32.49B
2024-Q2$124.3B$14.31B$871.12M$3.24B$12.44B$14.8B$1.82B$80.16B$12.76B$25.61B$32.58B
2024-Q1$123.34B$14.52B$820.2M$3.29B$12.46B$14.96B$1.8B$79.38B$12.31B$25.06B$32.57B
2023-Q4$119.75B$12.62B$879.12M$2.91B$12B$14.78B$1.81B$76.59B$11.86B$24.72B$31.99B
2023-Q3$117.22B$11.9B$962.28M$2.94B$11.82B$14.67B$1.85B$74.36B$11.75B$24.35B$31.68B
2023-Q2$115.4B$11.54B$1.11B$2.91B$11.84B$14.89B$1.87B$73B$11.89B$24.47B$31.02B
2023-Q1$83.94B$10.86B$519.11M$2.06B$8B$6.61B$724.91M$56.24B$7.94B$18.4B$16.31B
2022-Q4$110.42B$9.71B$1.02B$2.96B$11.76B$14.79B$1.88B$69.84B$11.78B$23.72B$29.58B
2022-Q3$107.81B$9.43B$935.04M$3.12B$11.99B$14.7B$1.91B$67.74B$12.03B$23.72B$28.8B
2022-Q2$105.72B$8.37B$835.4M$3.26B$11.69B$14.87B$1.91B$65.6B$11.62B$23.32B$28.74B
2022-Q1$94.74B$8.27B$877.82M$2.57B$9.4B$13.07B$1.86B$63.59B$9.31B$19.51B$26.15B
2021-Q4$99.86B$8.04B$933.9M$2.83B$11.74B$14.42B$1.87B$60.83B$10.63B$22.82B$27.92B
2021-Q3$99.02B$8.94B$989.42M$2.69B$11.6B$14.44B$1.87B$59.61B$9.92B$22.06B$28.24B
2021-Q2$99.38B$10B$1.26B$2.48B$12.03B$14.32B$1.8B$59.73B$10.34B$22.49B$28.09B
2021-Q1$91.85B$10.36B$902.41M$2.07B$10.12B$12.55B$1.76B$61.01B$7.92B$19.5B$25.79B
2020-Q4$99.89B$9.67B$1.24B$2.29B$11.37B$14.53B$1.87B$61.16B$9.25B$23.24B$27.54B
2020-Q3$98.67B$11.1B$1.43B$2.1B$12.43B$14.24B$1.87B$59.04B$9.89B$23.34B$27.17B
2020-Q2$111.3B$13.63B$3.84B$2.8B$17.55B$14.57B$2.13B$69.38B$14.15B$26.93B$30.36B
2020-Q1$111.69B$13.51B$3.18B$2.85B$17.41B$14.99B$2.13B$69B$14.42B$26.14B$31.69B
2019-Q4$111.29B$8.74B$3.85B$3.12B$16.32B$14.78B$2.13B$68.73B$13.99B$26.02B$32.78B
2019-Q3$111.03B$9.47B$3.02B$3.19B$16.58B$14.79B$2.08B$67.99B$14.21B$26.32B$33.17B
2019-Q2$111B$9.88B$2.66B$2.89B$15.76B$14.77B$2.11B$67.28B$14.08B$25.54B$33.58B
2019-Q1$111.13B$9.56B$2.58B$2.84B$15.89B$14.4B$2.12B$67.69B$14.65B$25.74B$33.48B
2018-Q4$105.15B$8.94B$2.52B$2.61B$15.15B$13.03B$2.11B$62.82B$13.44B$23.69B$33.25B
2018-Q3$108.14B$8.59B$2.37B$2.86B$14.17B$14.97B$2.26B$63.14B$13.74B$23.16B$35.97B
2018-Q2$107.6B$9.3B$574.19M$2.51B$14.33B$14.94B$2.27B$62.05B$13.05B$23.74B$36.19B
2018-Q1$106.9B$9.39B$573.71M$2.16B$14.34B$15.08B$2.31B$60.97B$13.29B$23.29B$36.47B
2017-Q4$106.76B$8.38B$564.47M$2.47B$14.47B$14.98B$2.28B$61.54B$13.66B$23.92B$36.21B
2017-Q3$101.95B$7.79B$543.85M$1.91B$13.1B$14.97B$2.34B$58.47B$11.74B$22.21B$34.77B
2017-Q2$100.6B$8.62B$467.92M$1.84B$13.2B$14.44B$2.19B$57.46B$11.4B$22.19B$34.37B
2017-Q1$52.67B$6.82B$361.83M$1.08B$6.47B$2.48B$494.39M$30.9B$5.7B$14.69B$13.14B

Annual Balance Sheet

DateAnnual Total assetsAnnual Cash and equivalentsAnnual Current marketable securitiesAnnual Accounts receivableAnnual Total current assetsAnnual GoodwillAnnual Intangible assetsAnnual Total liabilitiesAnnual Total current liabilitiesAnnual Noncurrent long-term debtAnnual Shareholder equity
2026$136.31B$14.14B$1.01B$3.52B$14.01B$13.62B$1.69B$91.36B$13.33B$27.88B$33.48B
2025$125.07B$11.98B$925.05M$3.28B$12.56B$14.77B$1.73B$81.54B$13.16B$25.78B$32.04B
2024$119.62B$12.47B$861.25M$3B$11.94B$14.78B$1.81B$76.63B$11.94B$24.7B$31.83B
2023$110.35B$9.77B$930.2M$3.01B$11.76B$14.78B$1.88B$69.87B$11.93B$23.64B$29.48B
2022$99.65B$7.83B$938.8M$2.73B$11.22B$14.6B$1.89B$60.4B$10.62B$22.7B$27.86B
2021$99.4B$9.65B$1.38B$2.14B$11.16B$14.53B$1.87B$60.73B$8.85B$23.23B$27.48B
2020$110.23B$9.09B$2.93B$3.17B$15.87B$14.73B$2.12B$68.05B$13.89B$25.71B$32.56B
2019$107.42B$8.08B$2.43B$3.12B$15.96B$14.21B$2.12B$65.05B$14.46B$25.02B$33.07B
2018$105.05B$8.06B$552.5M$2.21B$13.69B$14.96B$2.29B$60.18B$12.97B$23.47B$35.88B
2017$70.7B$3.52B$421.04M$1.98B$12.7B$13.99B$2.07B$32.27B$11.53B$12.44B$30.2B

The requested portfolio module has no retained observations.

The requested portfolio module has no retained observations.

The requested portfolio module has no retained observations.

The requested portfolio module has no retained observations.

The requested portfolio module has no retained observations.

The requested portfolio module has no retained observations.

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