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Berkshire Hathaway Inc. (BRK-A) 10-Year Financial Performance & Capital Metrics

BRK-A • • Insurance & Managed Care
Financial ServicesDiversified InsuranceMulti-Line InsuranceGlobal Multi-Line Insurers
AboutBerkshire Hathaway Inc., through its subsidiaries, engages in the insurance, freight rail transportation, and utility businesses worldwide. It provides property, casualty, life, accident, and health insurance and reinsurance; and operates railroad systems in North America. The company also generates, transmits, stores, and distributes electricity from natural gas, coal, wind, solar, hydroelectric, nuclear, and geothermal sources; operates natural gas distribution and storage facilities, interstate pipelines, liquefied natural gas facilities, and compressor and meter stations; and holds interest in coal mining assets. In addition, the company manufactures boxed chocolates and other confectionery products; specialty chemicals, metal cutting tools, and components for aerospace and power generation applications; flooring products; insulation, roofing, and engineered products; building and engineered components; paints and coatings; and bricks and masonry products, as well as offers manufactured and site-built home construction, and related lending and financial services. Further, it provides recreational vehicles, apparel products, jewelry, and custom picture framing products, as well as alkaline batteries; castings, forgings, fasteners/fastener systems, and aerostructures; and seamless pipes, fittings, downhole casing and tubing, and mill forms. Additionally, the company distributes televisions and information; franchises and services quick service restaurants; distributes electronic components; and offers logistics services, grocery and foodservice distribution services, and professional aviation training and shared aircraft ownership programs. It also retails automobiles; furniture, bedding, and accessories; household appliances, electronics, and computers; jewelry, watches, crystal, china, stemware, flatware, gifts, and collectibles; kitchenware; and motorcycle apparel and equipment. The company was incorporated in 1998 and is headquartered in Omaha, Nebraska.Show more
  • Revenue $376.78B +1.2%
  • Combined Ratio 71.19% +4.3%
  • Net Income $89B -7.5%
  • Return on Equity 14.56% -20.4%
  • Medical Cost Ratio 59.37% -4.1%
  • Operating Margin 28.81% -9.3%
  • Net Margin 23.62% -8.6%
  • ROA 8% -16.1%
  • Equity / Assets 56.48% +5.9%
  • Book Value per Share 453167.59 +15.0%
  • Tangible BV/Share 369958.97 +19.1%
  • Debt/Equity 0.20 -14.3%
Technical Analysis

Key Insights

Based on financial data analysis

✓Strengths

  • ✓Profitable underwriting: 71.2% combined ratio
  • ✓Low loss ratio of 59.4%

✗Weaknesses

No significant weaknesses identified

* These insights are generated automatically based on available financial data. Please conduct your own research before making investment decisions.

Price & Volume

Loading chart...

Growth Metrics

Revenue CAGR

10Y6.85%
5Y7.93%
3Y10.63%
TTM-0.77%

Profit (Net Income) CAGR

10Y16.17%
5Y1.8%
3Y-0.35%
TTM-36.88%

EPS CAGR

10Y17.74%
5Y4.44%
3Y1.35%
TTM-36.83%

ROCE

10Y Avg7.02%
5Y Avg7.76%
3Y Avg6.39%
Latest10.38%

Peer Comparison

Global Multi-Line Insurers
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Sector-Specific
NameMarket CapCurrent PriceP/E RatioRevenue Growth 1YNet MarginROEFCF YieldDebt/Equity
BRK-BBerkshire Hathaway Inc.676.28B492.6211.94-15.46%17.82%9.6%1.72%0.22
BRK-ABerkshire Hathaway Inc.386.34B738691.0011.931.24%17.95%9.63%3.01%0.20
AIGAmerican International Group, Inc.39.94B74.03-34.12-2.46%11.9%7.93%8.19%0.21

Profit & Loss

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Revenue+209.85B223.78B244.36B245.86B257.24B221.52B278.27B299.1B372.17B376.78B
Revenue Growth %0.08%0.07%0.09%0.01%0.05%-0.14%0.26%0.07%0.24%0.01%
Medical Costs & Claims+118.97B133.9B158.85B151.69B156.48B150.85B169.93B187.21B230.5B223.69B
Medical Cost Ratio %----------
Gross Profit+90.88B89.87B85.5B94.17B100.75B70.67B108.35B111.9B141.67B153.09B
Gross Margin %----------
Gross Profit Growth %0.09%-0.01%-0.05%0.1%0.07%-0.3%0.53%0.03%0.27%0.08%
Operating Expenses+55.81B57.31B64.68B88.01B-765M15.63B-2.63B144.26B23.48B44.55B
OpEx / Revenue %----------
Depreciation & Amortization7.78B8.9B9.19B9.78B10.06B10.6B10.72B10.9B12.49B12.86B
Combined Ratio %----------
Operating Income+35.07B32.56B20.82B6.17B101.52B55.04B110.97B-32.36B118.19B108.53B
Operating Margin %----------
Operating Income Growth %0.25%-0.07%-0.36%-0.7%15.46%-0.46%1.02%-1.29%4.65%-0.08%
EBITDA+42.85B41.46B30.01B15.95B111.58B65.63B121.69B-21.46B130.68B121.39B
EBITDA Margin %----------
Interest Expense3.52B3.74B4.39B3.85B3.96B4.08B4.17B4.35B5B5.2B
Non-Operating Income-3.39B-4.85B-7.4B-1.69B-5.14B-4.74B-5.06B-6.21B-6.98B-7.04B
Pretax Income+34.95B33.67B23.84B4B102.7B55.69B111.86B-30.5B120.17B110.38B
Pretax Margin %----------
Income Tax+10.53B9.24B-21.52B-321M20.9B12.44B20.91B-8.5B23.02B20.82B
Effective Tax Rate %----------
Net Income+24.08B24.07B44.94B4.02B81.42B42.52B89.94B-22.76B96.22B89B
Net Margin %----------
Net Income Growth %0.21%-0%0.87%-0.91%19.25%-0.48%1.12%-1.25%5.23%-0.08%
EPS (Diluted)+14655.0014640.0027330.002445.0049830.0026670.0059460.00-15540.0066405.0061905.00
EPS Growth %0.21%-0%0.87%-0.91%19.38%-0.46%1.23%-1.26%5.27%-0.07%
EPS (Basic)14655.0014640.0027330.002445.0049830.0026670.0059460.00-15540.0066405.0061905.00
Diluted Shares Outstanding1.64M1.64M1.65M1.64M1.63M1.59M1.51M1.47M1.45M1.44M

Balance Sheet

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Total Assets+552.26B620.85B702.1B707.79B817.73B873.73B958.78B948.47B1.07T1.15T
Asset Growth %0.05%0.12%0.13%0.01%0.16%0.07%0.1%-0.01%0.13%0.08%
Total Investment Assets+160.35B231.93B297.29B292.11B348.64B409.18B443.91B455.92B537.24B604.56B
Long-Term Investments155.78B173.61B212.92B209.98B284.22B318.88B383.2B361.97B406.67B318.09B
Short-Term Investments4.57B58.32B84.37B81.51B63.82B90.3B58.53B92.77B129.62B286.47B
Total Current Assets+119.72B142.49B174.47B182.45B201.21B194.03B227.99B225.44B267.74B407.45B
Cash & Equivalents67.16B28.05B31.58B30.36B64.17B47.99B88.18B35.81B38.02B47.73B
Receivables1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K
Other Current Assets000008.56B00012.09B
Goodwill & Intangibles+72.5B113.57B114.44B113.17B113.53B104.42B102.36B107.31B120.51B119.65B
Goodwill62.71B79.49B81.26B81.03B81.88B73.73B73.88B78.12B84.63B83.88B
Intangible Assets9.8B34.09B33.18B32.15B31.65B30.68B28.49B29.19B35.88B35.77B
PP&E (Net)145.17B152.77B158.22B166.71B174.34B192.6B191.28B196.97B216.59B228.77B
Other Assets59.08B38.4B42.05B35.49B44.43B63.81B53.95B56.78B58.47B79.92B
Total Liabilities293.63B335.43B350.14B355.29B389.17B422.39B443.85B466.78B499.21B502.23B
Total Debt+72.34B86.26B102.59B97.49B109.25B122.36B119.25B127.68B133.57B130.76B
Net Debt5.18B58.21B71B67.13B45.08B74.37B31.07B91.87B95.55B83.03B
Long-Term Debt70.35B82.3B96.27B93.12B98.68B113.55B111.91B120.31B122.94B115.4B
Short-Term Debt1.99B3.96B6.32B4.37B4.69B3.35B2.35B2.43B5.33B9.37B
Total Current Liabilities+37.02B42.88B44.82B44.88B44.44B45.63B45.23B49.54B56.99B75.65B
Accounts Payable29.64B33.45B35.82B37.08B36.36B39.98B40.7B44.63B49.35B49.48B
Deferred Revenue0000000000
Other Current Liabilities5.4B5.46B2.68B3.44B2.02B958M940M1.19B878M15.31B
Deferred Taxes0000001000K1000K1000K0
Other Liabilities186.26B210.25B209.05B217.29B241.53B259.09B170.14B188.44B192.77B306.67B
Total Equity+258.63B285.43B351.95B352.5B428.56B451.34B514.93B481.68B570.77B651.65B
Equity Growth %0.06%0.1%0.23%0%0.22%0.05%0.14%-0.06%0.18%0.14%
Shareholders Equity255.55B282.07B348.3B348.7B424.79B443.16B506.2B473.42B561.27B649.37B
Minority Interest3.08B3.36B3.66B3.8B3.77B8.17B8.73B8.26B9.5B2.29B
Retained Earnings187.7B210.85B255.79B321.11B402.49B444.63B534.42B511.13B607.35B696.22B
Common Stock8M8M8M8M8M8M8M8M8M8M
Accumulated OCI33.98B37.3B58.57B-5.01B-5.24B-4.24B-4.03B-5.05B-3.76B-3.58B
Return on Equity (ROE)0.1%0.09%0.14%0.01%0.21%0.1%0.19%-0.05%0.18%0.15%
Return on Assets (ROA)0.04%0.04%0.07%0.01%0.11%0.05%0.1%-0.02%0.1%0.08%
Equity / Assets----------
Debt / Equity0.28x0.30x0.29x0.28x0.25x0.27x0.23x0.27x0.23x0.20x
Book Value per Share157411.44173618.00213953.80214416.06262278.46283146.80341013.25327897.21393906.14453167.59
Tangible BV per Share----------

Cash Flow

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Cash from Operations+31.49B32.53B45.78B37.4B38.69B39.77B39.42B37.22B49.2B30.59B
Operating CF Growth %-0.02%0.03%0.41%-0.18%0.03%0.03%-0.01%-0.06%0.32%-0.38%
Operating CF / Revenue %----------
Net Income24.41B24.43B45.35B4.32B81.79B43.25B90.81B-22.06B97.15B89.56B
Depreciation & Amortization7.78B8.9B9.19B9.78B10.06B10.6B10.72B10.9B12.49B12.86B
Stock-Based Compensation0000000000
Deferred Taxes0000000000
Other Non-Cash Items-8.62B-7.71B-952M25.11B-72.38B-29.64B-80.97B63.3B-80.88B-65.04B
Working Capital Changes7.92B6.92B-7.81B-1.81B19.21B15.57B18.87B-14.92B20.44B-6.78B
Cash from Investing+-26.67B-84.27B-41.09B-32.85B-5.62B-37.76B29.39B-87.6B-32.66B-10.29B
Capital Expenditures-16.08B-12.95B-11.71B-14.54B-15.98B-13.01B-13.28B-15.46B-19.41B-18.98B
Acquisitions-4.9B-31.4B-2.71B-3.28B-1.68B-2.53B-456M-10.59B-8.6B-396M
Purchase of Investments-23.66B-113.08B-178.82B-185.05B-154.76B-238.59B-161.09B-251.85B-251.47B-536.08B
Sale/Maturity of Investments1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K
Other Investing478M-236M-3.42B-1.5B-1.23B-3.96B770M239M685M-195M
Cash from Financing+3.8B12.79B-1.4B-5.81B730M-18.34B-28.51B-1.66B-14.4B-10.36B
Dividends Paid-3.94B000000000
Share Repurchases000-1.35B-4.85B-24.71B-27.06B-7.85B-9.17B-2.92B
Stock Issued0000000000
Debt Issuance (Net)1000K1000K-1000K-1000K1000K1000K-1000K1000K-1000K-1000K
Other Financing-233M112M-121M-343M-497M-429M-695M-1.98B-4.15B-5.62B
Net Change in Cash+8.46B-39.11B3.54B-1.4B33.82B-16.24B40.31B-52.31B2.24B9.73B
Exchange Rate Effect-1000K-1000K1000K-1000K1000K1000K1000K-1000K1000K-1000K
Cash at Beginning63.27B67.16B28.05B32.21B30.81B64.63B48.4B88.71B36.4B38.64B
Cash at End71.73B28.05B31.58B30.81B64.63B48.4B88.71B36.4B38.64B48.38B
Free Cash Flow+15.41B19.58B34.07B22.86B22.71B26.76B26.14B21.76B29.79B11.62B
FCF Growth %-0.08%0.27%0.74%-0.33%-0.01%0.18%-0.02%-0.17%0.37%-0.61%
FCF Margin %----------
FCF per Share9.38K11.91K20.71K13.91K13.9K16.79K17.31K14.81K20.56K8.08K

Key Ratios

Metric2015201620172018201920202021202220232024
Combined Ratio83.29%85.45%91.48%97.49%60.53%75.16%60.12%110.82%68.24%71.19%
Medical Cost Ratio56.69%59.84%65.01%61.7%60.83%68.1%61.06%62.59%61.93%59.37%
Return on Equity (ROE)9.6%8.85%14.1%1.14%20.85%9.66%18.62%-4.57%18.29%14.56%
Return on Assets (ROA)4.47%4.1%6.79%0.57%10.67%5.03%9.82%-2.39%9.53%8%
Equity / Assets46.83%45.97%50.13%49.8%52.41%51.66%53.71%50.79%53.34%56.48%
Book Value / Share157.41K173.62K213.95K214.42K262.28K283.15K341.01K327.9K393.91K453.17K
Debt / Equity0.28x0.30x0.29x0.28x0.25x0.27x0.23x0.27x0.23x0.20x
Revenue Growth8.08%6.64%9.2%0.62%4.63%-13.89%25.62%7.49%24.43%1.24%

Revenue by Segment

2015201620172018201920202021202220232024
Berkshire Hathaway Insurance Group45.86B50.4B65.51B62.94B67.69B69.36B75.14B82.38B95.02B105.07B
Berkshire Hathaway Insurance Group Growth-9.92%29.97%-3.93%7.56%2.46%8.33%9.63%15.35%10.57%
Manufacturing Businesses36.14B46.51B50.45B61.88B62.73B59.08B68.73B75.78B75.41B77.23B
Manufacturing Businesses Growth-28.70%8.47%22.67%1.37%-5.82%16.34%10.26%-0.50%2.42%
Mc Lane Company48.22B48.08B49.77B49.99B50.46B46.84B49.45B53.21B52.61B51.91B
Mc Lane Company Growth--0.31%3.54%0.43%0.94%-7.17%5.57%7.60%-1.13%-1.33%
Pilot Travel Centers ("Pilot)--------51.74B46.89B
Pilot Travel Centers ("Pilot) Growth----------9.37%
Service And Retailing Businesses23.47B25.48B26.31B28.94B29.49B28.18B34.83B38.3B40B39.87B
Service And Retailing Businesses Growth-8.57%3.28%9.98%1.89%-4.44%23.61%9.96%4.42%-0.31%
Berkshire Hathaway Energy Company18.23B17.86B18.94B19.99B20.11B21.03B24.99B26.39B26.01B26.35B
Berkshire Hathaway Energy Company Growth--2.04%6.05%5.53%0.64%4.56%18.81%5.63%-1.46%1.31%
Burlington Northern Santa Fe Corporation21.97B19.83B21.39B23.86B23.52B20.87B23.28B25.89B23.88B23.57B
Burlington Northern Santa Fe Corporation Growth--9.73%7.86%11.54%-1.43%-11.25%11.56%11.19%-7.77%-1.27%
Finance and Financial Products Reportable6.96B7.67B8.38B-------
Finance and Financial Products Reportable Growth-10.21%9.13%-------

Revenue by Geography

2015201620172018201920202021202220232024

Frequently Asked Questions

Valuation & Price

Berkshire Hathaway Inc. (BRK-A) has a price-to-earnings (P/E) ratio of 11.9x. This may indicate the stock is undervalued or faces growth challenges.

Growth & Financials

Berkshire Hathaway Inc. (BRK-A) grew revenue by 1.2% over the past year. Growth has been modest.

Yes, Berkshire Hathaway Inc. (BRK-A) is profitable, generating $67.46B in net income for fiscal year 2024 (23.6% net margin).

Dividend & Returns

Berkshire Hathaway Inc. (BRK-A) has a return on equity (ROE) of 14.6%. This is reasonable for most industries.

Industry Metrics

Berkshire Hathaway Inc. (BRK-A) has a combined ratio of 71.2%. A ratio below 100% indicates underwriting profitability.

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