Last $2,225 MXN
Change Today 0.00 / 0.00%
Volume 262.0
BRK/B* On Other Exchanges
New York
New York
Sao Paulo
As of 4:09 PM 02/26/15 All times are local (Market data is delayed by at least 15 minutes).

Financial Statements for berkshire hathaway inc-cl b (BRK/B*)

Currency in
Millions of US Dollars
As of:Dec 31
Dec 31
Dec 31
Dec 31
4 Year
NET INCOME12,967.010,254.014,824.019,476.0
Depreciation & Amortization4,279.04,683.05,146.05,418.0
Amortization of Goodwill and Intangible Assets692.0809.01,008.01,090.0
DEPRECIATION & AMORTIZATION, TOTAL4,971.05,492.06,154.06,508.0
(Gain) Loss on Sale of Investment-2,085.0-1,274.0-1,462.0-4,065.0
Other Operating Activities90.0494.0275.0742.0
Change in Accounts Receivable-1,979.0-1,159.0-1,610.01,035.0
Change in Unearned Revenues110.0852.01,134.0519.0
Change in Income Taxes2,348.01,493.01,710.03,514.0
Change in Other Working Capital1,473.04,324.0-75.0-25.0
CASH FROM OPERATIONS17,895.020,476.020,950.027,704.0
Capital Expenditure-5,980.0-8,191.0-9,775.0-11,087.0
Cash Acquisitions-15,924.0-8,685.0-3,188.0-6,431.0
Investments in Marketable & Equity Securities3,754.0-3,634.01,508.0-8,971.0
CASH FROM INVESTING-18,277.0-19,189.0-10,574.0-27,535.0
Short-Term Debt Issued370.0301.0----
Long-Term Debt Issued11,474.05,943.08,879.013,575.0
TOTAL DEBT ISSUED11,844.06,244.08,879.013,575.0
Short Term Debt Repaid-----309.0-1,317.0
Long Term Debt Repaid-3,624.0-6,601.0-7,328.0-8,273.0
TOTAL DEBT REPAID-3,624.0-6,601.0-7,637.0-9,590.0
Other Financing Activities-95.0-1,860.0-2,048.0-3,024.0
CASH FROM FINANCING8,125.0-2,217.0-806.0961.0
Foreign Exchange Rate Adjustments-74.02.0123.064.0
NET CHANGE IN CASH7,669.0-928.09,693.01,194.0

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Valuation BRK/B* Industry Range
Price/Earnings 17.7x
Price/Sales 2.0x
Price/Book 1.5x
Price/Cash Flow 9.0x
TEV/Sales 0.3x

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