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Berkshire Hathaway Cl B (BRK.B)

Berkshire Hathaway Cl B (BRK.B)
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Financial Summary for [[ item.sessionDateDisplayLong ]]
Berkshire Hathaway is a holding company, which owns subsidiaries in insurance, rail roads, utilities, manufacturing services, retail and home building. The most important of these are insurance businesses conducted on both a primary basis and insurance basis, a freight rail transportation business and a group of utility and energy generation and distribution businesses. It has four major operating sectors - The Insurance group (includes GEICO, Government Employees Insurance Company writes private passenger automobile insurance); General Re (conducts reinsurance business, offering property and casualty, life and health coverage to clients worldwide); Berkshire Hathaway Reinsurance Group (underwrites excess-of-loss reinsurance and quota-share coverage for insurers and reinsurers globally); Berkshire Hathaway Primary Group (comprises a wide variety of independently-managed insurance businesses that principally write liability coverage for commercial accounts).

Fiscal Year End Date: 12/31

(Values in U.S. Thousands) Sep, 2024 Jun, 2024 Mar, 2024 Dec, 2023 Sep, 2023
Sales 92,995,000 93,653,000 89,869,000 93,376,000 93,210,000
Sales Growth -0.70% +4.21% -3.76% +0.18% +0.76%
Net Income 26,251,000 30,348,000 12,702,000 37,574,000 -12,767,000
Net Income Growth -13.50% +138.92% -66.19% +394.31% -135.55%
(Values in U.S. Thousands) Sep, 2024 Jun, 2024 Mar, 2024 Dec, 2023 Sep, 2023
Total Assets 1,147,251,000 1,108,860,000 1,070,035,000 1,069,978,000 1,019,933,000
Total Assets Growth +3.46% +3.63% +0.01% +4.91% -2.08%
Total Liabilities 515,445,000 500,889,000 492,250,000 502,469,000 488,436,000
Total Liabilities Growth +2.91% +1.76% -2.03% +2.87% -0.93%
(Values in U.S. Thousands) Sep, 2024 Jun, 2024 Mar, 2024 Dec, 2023 Sep, 2023
Operating Cash Flow 25,971,000 24,168,000 10,566,000 49,196,000 34,796,000
Operating Cash Flow Growth +7.46% +128.73% -78.52% +41.38% +64.70%
Net Cash Flow -651,000 4,428,000 -2,483,000 2,244,000 -4,795,000
Change in Net Cash Flow -114.70% +278.33% -210.65% +146.80% -133.64%
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