Berkshire Hathaway
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- Stock Price
- Market Cap
- Employees
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Income Statement
- Revenue
- Revenue by Product / Services
- Revenue by Geography
- Research and Development
- Operating Income
- Tax Rate (%)
- Net Income
-
Assets & Liabilities | Cash Flow
- Total Assets
- Total Liabilities
- Capital Expenditures (Capex)
-
Profitability
- Operating Income Margin (%)
- Net Income Margin (%)
- EBITDA
- Free Cash Flow (FCF)
-
Ratios
- Return on Equity (ROE)
- Return on Assets (ROA)
- Debt to Equity
-
Valuation
- Enterprise value
- Enterprise value to Revenue
- Enterprise value to EBITDA
Company
Ticker
BRK-B
Headquarter
Omaha
,NE
US
CEO
Mr. Warren E. Buffett
Industry
Insurance - Diversified
Stock Price
Stock Price
Market Cap
$1.01T
Employees
Years
- 2021
- 2022
- 2023
Employees
- 372.00K
- 383.00K
- 396.50K
Y/Y
3.33%
2.96%
3.52%
Income Statement
Revenue
Years
- 2021
- 2022
- 2023
Revenue
- $354.64B
- $302.09B
- $364.48B
Y/Y
23.89%
14.82%
20.65%
Revenue by Products / Services
Revenue by Geography
Research and Development
Years
- 2021
- 2022
- 2023
Research and Development
- -
- -
- -
Y/Y
0%
0%
0%
Operating Income
Years
- 2021
- 2022
- 2023
Operating Income
- $111.69B
- $37.32B
- $123.20B
Y/Y
100.54%
66.58%
230.08%
Tax Rate (%)
Years
- 2021
- 2022
- 2023
Tax Rate (%)
- 19.00%
- 28.00%
- 19.00%
Y/Y
16.34%
49.06%
31.23%
Net Income
Years
- 2021
- 2022
- 2023
Net Income
- $89.94B
- -$22.82B
- $96.22B
Y/Y
111.51%
125.37%
521.68%
Assets & Liabilities | Cash Flow
Total Assets
Years
- 2021
- 2022
- 2023
Total Assets
- $958.78B
- $948.45B
- $1.07T
Y/Y
9.73%
1.08%
12.81%
Total Liabilities
Years
- 2021
- 2022
- 2023
Total Liabilities
- $443.85B
- $467.84B
- $499.21B
Y/Y
5.08%
5.4%
6.71%
Capital Expenditures (Capex)
Years
- 2021
- 2022
- 2023
Capital Expenditures (Capex)
- -$13.28B
- -$15.46B
- -$19.41B
Y/Y
2.03%
16.48%
25.51%
Profitability
Operating Income Margin (%)
Years
- 2021
- 2022
- 2023
Operating Income Margin (%)
- 31.49%
- 12.35%
- 33.80%
Y/Y
61.82%
60.78%
173.68%
Net Income Margin (%)
Years
- 2021
- 2022
- 2023
Net Income Margin (%)
- 25.36%
- -7.55%
- 26.40%
Y/Y
70.77%
129.77%
449.67%
EBITDA
2020 | 80386000000.00 |
---|---|
2021 | 126576000000.00 |
2022 | -15249000000.00 |
2023 | 137655000000.00 |
Years
- 2021
- 2022
- 2023
EBITDA
- $126.58B
- -$-15.25B
- $137.66B
Y/Y
57.46%
112.05%
1002.71%
Free Cash Flow (FCF)
2020 | 26761000000.00 |
---|---|
2021 | 26145000000.00 |
2022 | 21760000000.00 |
2023 | 29787000000.00 |
Years
- 2021
- 2022
- 2023
Free Cash Flow (FCF)
- $26.15B
- $21.76B
- $29.79B
Y/Y
2.3%
16.77%
36.89%
Ratios
Return on Equity (ROE)
Years
- 2021
- 2022
- 2023
Return on Equity (ROE)
- 17.77%
- -4.83%
- 17.14%
Y/Y
85.3%
127.18%
454.87%
Return on Assets (ROA)
Years
- 2021
- 2022
- 2023
Return on Assets (ROA)
- 9.38%
- -2.41%
- 8.99%
Y/Y
92.61%
125.69%
473.03%
Debt to Equity
Years
- 2021
- 2022
- 2023
Debt to Equity
- 22.57%
- 25.99%
- 22.85%
Y/Y
14.44%
15.15%
12.08%
Valuation
Enterprise Value
Years
- 2021
- 2022
- 2023
Enterprise value
- $703.39B
- $767.54B
- $865.39B
Y/Y
12.82%
9.12%
12.75%
Enterprise value to Revenue
Years
- 2021
- 2022
- 2023
Enterprise value to Revenue
- 1.98
- 2.54
- 2.37
Y/Y
8.93%
28.1%
6.55%
Enterprise value to EBITDA
Years
- 2021
- 2022
- 2023
Enterprise value to EBITDA
- 5.56
- -50.33
- 6.29
Y/Y
28.35%
1005.75%
112.49%