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Berkshire Hathaway CDR (CAD Hedged) (BRK)

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  • 34.250
  • -0.100-0.29%
15min DelayMarket Closed Apr 24 16:00 ET
1.34TMarket Cap14.57P/E (TTM)

Berkshire Hathaway CDR (CAD Hedged) (BRK) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
Assets
Total investments
8.62%686.84B
8.62%686.84B
4.49%661.4B
-1.99%580.66B
14.61%643.55B
12.73%632.36B
12.73%632.36B
21.97%632.96B
13.04%592.44B
11.38%561.5B
-Fixed maturity investments
15.96%17.82B
15.96%17.82B
11.85%17.94B
-10.22%15.08B
-12.42%15.04B
-35.33%15.36B
-35.33%15.36B
-28.50%16.04B
-24.83%16.8B
-23.93%17.17B
-Equity investments
9.64%297.78B
9.64%297.78B
4.27%283.24B
-5.95%267.92B
-21.48%263.74B
-23.25%271.59B
-23.25%271.59B
-14.74%271.65B
-19.39%284.87B
2.35%335.86B
-Net loan
7.33%29.84B
7.33%29.84B
8.19%29.33B
10.11%28.72B
10.60%28.13B
12.63%27.8B
12.63%27.8B
12.90%27.11B
10.86%26.09B
9.90%25.44B
Long term equity investment
-35.83%19.98B
-35.83%19.98B
-15.30%25.52B
-15.77%25.32B
5.27%31.14B
7.11%31.13B
7.11%31.13B
9.59%30.13B
9.36%30.07B
12.05%29.59B
-Investments in other ventures under equity method
-35.83%19.98B
-35.83%19.98B
-15.30%25.52B
-15.77%25.32B
5.27%31.14B
7.11%31.13B
7.11%31.13B
9.59%30.13B
9.36%30.07B
12.05%29.59B
-Short term investments
12.20%321.43B
12.20%321.43B
6.02%305.37B
3.83%243.61B
99.10%305.5B
121.01%286.47B
121.01%286.47B
127.87%288.03B
141.07%234.62B
47.73%153.44B
Cash and cash equivalents
8.69%51.88B
8.69%51.88B
105.23%76.31B
137.42%100.49B
18.65%42.18B
25.53%47.73B
25.53%47.73B
20.56%37.18B
-15.45%42.32B
32.91%35.55B
Receivables
0.68%48.72B
0.68%48.72B
2.72%53.46B
-1.28%51.8B
-2.16%51.69B
-5.60%48.39B
-5.60%48.39B
-1.29%52.05B
1.57%52.47B
0.66%52.84B
-Accounts receivable
0.96%43.54B
0.96%43.54B
1.93%47.02B
703.18%46.66B
757.70%46.13B
-7.44%43.13B
-7.44%43.13B
695.98%46.13B
11.11%5.81B
-8.15%5.38B
-Other receivables
-1.39%5.98B
-1.39%5.98B
7.53%7.25B
-87.35%5.92B
-86.63%6.37B
10.26%6.06B
10.26%6.06B
-85.68%6.75B
0.50%46.82B
1.79%47.62B
-Recievables adjustments allowances
0.00%-798M
0.00%-798M
2.18%-808M
-388.75%-782M
-381.93%-800M
4.20%-798M
4.20%-798M
-397.59%-826M
-0.63%-160M
-8.50%-166M
Deferred assets
-7.88%8.1B
-7.88%8.1B
-6.61%8.3B
-6.51%8.47B
-7.41%8.63B
-7.35%8.8B
-7.35%8.8B
-4.10%8.89B
-4.13%9.06B
-3.93%9.32B
Net PPE
5.49%235.16B
5.49%235.16B
3.73%230.57B
3.82%227.86B
3.34%224.76B
2.93%222.93B
2.93%222.93B
5.09%222.27B
4.91%219.47B
5.66%217.5B
Goodwill and other intangible assets
-1.39%116.88B
-1.39%116.88B
4.56%118.58B
4.53%118.33B
4.18%118.34B
-1.65%118.52B
-1.65%118.52B
-1.51%113.41B
-2.14%113.2B
0.08%113.59B
-Goodwill
-0.96%83.07B
-0.96%83.07B
-0.10%84.53B
-0.19%84.25B
-0.64%84.01B
-0.88%83.88B
-0.88%83.88B
-1.22%84.61B
-1.68%84.41B
1.25%84.55B
-Other intangible assets
-2.41%33.8B
-2.41%33.8B
18.26%34.06B
18.38%34.08B
18.20%34.33B
-3.47%34.64B
-3.47%34.64B
-2.37%28.8B
-3.46%28.79B
-3.19%29.05B
Other assets
-0.75%74.6B
-0.75%74.6B
-3.91%77.35B
-4.42%76.36B
-5.46%75.39B
2.78%75.16B
2.78%75.16B
-1.22%80.5B
-1.90%79.89B
-5.78%79.74B
Total assets
5.92%1.22T
5.92%1.22T
6.86%1.23T
4.97%1.16T
8.83%1.16T
7.84%1.15T
7.84%1.15T
12.48%1.15T
6.46%1.11T
7.32%1.07T
Liabilities
Policy holders liabilities reserve
2.22%211.3B
2.22%211.3B
0.96%213.65B
2.29%211.43B
1.73%209.92B
-0.61%206.72B
-0.61%206.72B
3.07%211.61B
0.77%206.7B
0.88%206.35B
Short term debt and capital lease obligation
36.10%3.32B
36.10%3.32B
50.15%3.04B
32.48%2.99B
-27.73%1.92B
-54.30%2.44B
-54.30%2.44B
-19.81%2.02B
-26.48%2.25B
-9.07%2.66B
-Current debt
36.10%3.32B
36.10%3.32B
50.15%3.04B
32.48%2.99B
-27.73%1.92B
-54.30%2.44B
-54.30%2.44B
-19.81%2.02B
-26.48%2.25B
-9.07%2.66B
Payables
-98.69%167M
-98.69%167M
56.32%23.24B
----
--14.38B
--12.77B
--12.77B
--14.87B
----
----
-Other payable
-98.69%167M
-98.69%167M
56.32%23.24B
----
--14.38B
--12.77B
--12.77B
--14.87B
----
----
Long term debt and capital lease obligation
2.81%125.76B
2.81%125.76B
1.41%124.2B
2.19%124.03B
3.26%124.01B
-0.50%122.32B
-0.50%122.32B
0.18%122.48B
-0.74%121.37B
-0.50%120.1B
-Long term debt
2.81%125.76B
2.81%125.76B
1.41%124.2B
2.19%124.03B
3.26%124.01B
-0.50%122.32B
-0.50%122.32B
0.18%122.48B
-0.74%121.37B
-0.50%120.1B
Non current deferred liabilities
1.26%86.96B
1.26%86.96B
-5.12%87.39B
-18.17%82.99B
-10.09%86B
-7.68%85.87B
-7.68%85.87B
7.36%92.11B
9.03%101.41B
10.96%95.65B
Other liabilities
3.97%74.97B
3.97%74.97B
2.28%74B
4.49%72.25B
6.03%71.56B
3.10%72.1B
3.10%72.1B
4.38%72.35B
4.25%69.15B
1.59%67.49B
Total liabilities
0.05%502.47B
0.05%502.47B
1.96%525.52B
-1.44%493.69B
3.16%507.79B
0.60%502.23B
0.60%502.23B
6.23%515.45B
2.26%500.89B
2.38%492.25B
Shareholders'equity
Share capital
0.00%8M
0.00%8M
0.00%8M
0.00%8M
0.00%8M
0.00%8M
0.00%8M
0.00%8M
0.00%8M
0.00%8M
-common stock
0.00%8M
0.00%8M
0.00%8M
0.00%8M
0.00%8M
0.00%8M
0.00%8M
0.00%8M
0.00%8M
0.00%8M
Additional paid-in capital
-0.15%35.61B
-0.15%35.61B
0.41%35.62B
1.81%35.62B
1.95%35.67B
3.44%35.67B
3.44%35.67B
2.92%35.48B
-0.42%34.99B
-0.49%34.98B
Retained earnings
9.62%763.19B
9.62%763.19B
9.97%743.99B
9.68%713.19B
13.05%700.82B
14.63%696.22B
14.63%696.22B
18.74%676.52B
11.63%650.27B
13.41%619.93B
Less: Treasury stock
0.00%78.94B
0.00%78.94B
-0.39%78.94B
-0.98%78.94B
-0.55%78.94B
2.78%78.94B
2.78%78.94B
6.15%79.25B
8.36%79.72B
9.84%79.38B
Gains losses not affecting retained earnings
31.70%-2.45B
31.70%-2.45B
31.66%-2.52B
50.84%-1.9B
23.85%-3.08B
4.76%-3.58B
4.76%-3.58B
13.58%-3.69B
9.08%-3.86B
18.61%-4.05B
Total stockholders equity
10.48%717.42B
10.48%717.42B
10.98%698.16B
11.02%667.99B
14.52%654.47B
15.70%649.37B
15.70%649.37B
19.75%629.07B
11.45%601.7B
13.27%571.49B
Noncontrolling interests
-0.13%2.28B
-0.13%2.28B
-16.48%2.29B
-63.55%2.29B
-63.92%2.27B
-75.92%2.29B
-75.92%2.29B
-70.87%2.74B
-47.18%6.27B
-46.22%6.3B
Total equity
10.44%719.7B
10.44%719.7B
10.86%700.44B
10.25%670.28B
13.67%656.74B
14.17%651.66B
14.17%651.66B
18.15%631.81B
10.19%607.97B
11.92%577.79B
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
--
(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024
Assets
Total investments 8.62%686.84B8.62%686.84B4.49%661.4B-1.99%580.66B14.61%643.55B12.73%632.36B12.73%632.36B21.97%632.96B13.04%592.44B11.38%561.5B
-Fixed maturity investments 15.96%17.82B15.96%17.82B11.85%17.94B-10.22%15.08B-12.42%15.04B-35.33%15.36B-35.33%15.36B-28.50%16.04B-24.83%16.8B-23.93%17.17B
-Equity investments 9.64%297.78B9.64%297.78B4.27%283.24B-5.95%267.92B-21.48%263.74B-23.25%271.59B-23.25%271.59B-14.74%271.65B-19.39%284.87B2.35%335.86B
-Net loan 7.33%29.84B7.33%29.84B8.19%29.33B10.11%28.72B10.60%28.13B12.63%27.8B12.63%27.8B12.90%27.11B10.86%26.09B9.90%25.44B
Long term equity investment -35.83%19.98B-35.83%19.98B-15.30%25.52B-15.77%25.32B5.27%31.14B7.11%31.13B7.11%31.13B9.59%30.13B9.36%30.07B12.05%29.59B
-Investments in other ventures under equity method -35.83%19.98B-35.83%19.98B-15.30%25.52B-15.77%25.32B5.27%31.14B7.11%31.13B7.11%31.13B9.59%30.13B9.36%30.07B12.05%29.59B
-Short term investments 12.20%321.43B12.20%321.43B6.02%305.37B3.83%243.61B99.10%305.5B121.01%286.47B121.01%286.47B127.87%288.03B141.07%234.62B47.73%153.44B
Cash and cash equivalents 8.69%51.88B8.69%51.88B105.23%76.31B137.42%100.49B18.65%42.18B25.53%47.73B25.53%47.73B20.56%37.18B-15.45%42.32B32.91%35.55B
Receivables 0.68%48.72B0.68%48.72B2.72%53.46B-1.28%51.8B-2.16%51.69B-5.60%48.39B-5.60%48.39B-1.29%52.05B1.57%52.47B0.66%52.84B
-Accounts receivable 0.96%43.54B0.96%43.54B1.93%47.02B703.18%46.66B757.70%46.13B-7.44%43.13B-7.44%43.13B695.98%46.13B11.11%5.81B-8.15%5.38B
-Other receivables -1.39%5.98B-1.39%5.98B7.53%7.25B-87.35%5.92B-86.63%6.37B10.26%6.06B10.26%6.06B-85.68%6.75B0.50%46.82B1.79%47.62B
-Recievables adjustments allowances 0.00%-798M0.00%-798M2.18%-808M-388.75%-782M-381.93%-800M4.20%-798M4.20%-798M-397.59%-826M-0.63%-160M-8.50%-166M
Deferred assets -7.88%8.1B-7.88%8.1B-6.61%8.3B-6.51%8.47B-7.41%8.63B-7.35%8.8B-7.35%8.8B-4.10%8.89B-4.13%9.06B-3.93%9.32B
Net PPE 5.49%235.16B5.49%235.16B3.73%230.57B3.82%227.86B3.34%224.76B2.93%222.93B2.93%222.93B5.09%222.27B4.91%219.47B5.66%217.5B
Goodwill and other intangible assets -1.39%116.88B-1.39%116.88B4.56%118.58B4.53%118.33B4.18%118.34B-1.65%118.52B-1.65%118.52B-1.51%113.41B-2.14%113.2B0.08%113.59B
-Goodwill -0.96%83.07B-0.96%83.07B-0.10%84.53B-0.19%84.25B-0.64%84.01B-0.88%83.88B-0.88%83.88B-1.22%84.61B-1.68%84.41B1.25%84.55B
-Other intangible assets -2.41%33.8B-2.41%33.8B18.26%34.06B18.38%34.08B18.20%34.33B-3.47%34.64B-3.47%34.64B-2.37%28.8B-3.46%28.79B-3.19%29.05B
Other assets -0.75%74.6B-0.75%74.6B-3.91%77.35B-4.42%76.36B-5.46%75.39B2.78%75.16B2.78%75.16B-1.22%80.5B-1.90%79.89B-5.78%79.74B
Total assets 5.92%1.22T5.92%1.22T6.86%1.23T4.97%1.16T8.83%1.16T7.84%1.15T7.84%1.15T12.48%1.15T6.46%1.11T7.32%1.07T
Liabilities
Policy holders liabilities reserve 2.22%211.3B2.22%211.3B0.96%213.65B2.29%211.43B1.73%209.92B-0.61%206.72B-0.61%206.72B3.07%211.61B0.77%206.7B0.88%206.35B
Short term debt and capital lease obligation 36.10%3.32B36.10%3.32B50.15%3.04B32.48%2.99B-27.73%1.92B-54.30%2.44B-54.30%2.44B-19.81%2.02B-26.48%2.25B-9.07%2.66B
-Current debt 36.10%3.32B36.10%3.32B50.15%3.04B32.48%2.99B-27.73%1.92B-54.30%2.44B-54.30%2.44B-19.81%2.02B-26.48%2.25B-9.07%2.66B
Payables -98.69%167M-98.69%167M56.32%23.24B------14.38B--12.77B--12.77B--14.87B--------
-Other payable -98.69%167M-98.69%167M56.32%23.24B------14.38B--12.77B--12.77B--14.87B--------
Long term debt and capital lease obligation 2.81%125.76B2.81%125.76B1.41%124.2B2.19%124.03B3.26%124.01B-0.50%122.32B-0.50%122.32B0.18%122.48B-0.74%121.37B-0.50%120.1B
-Long term debt 2.81%125.76B2.81%125.76B1.41%124.2B2.19%124.03B3.26%124.01B-0.50%122.32B-0.50%122.32B0.18%122.48B-0.74%121.37B-0.50%120.1B
Non current deferred liabilities 1.26%86.96B1.26%86.96B-5.12%87.39B-18.17%82.99B-10.09%86B-7.68%85.87B-7.68%85.87B7.36%92.11B9.03%101.41B10.96%95.65B
Other liabilities 3.97%74.97B3.97%74.97B2.28%74B4.49%72.25B6.03%71.56B3.10%72.1B3.10%72.1B4.38%72.35B4.25%69.15B1.59%67.49B
Total liabilities 0.05%502.47B0.05%502.47B1.96%525.52B-1.44%493.69B3.16%507.79B0.60%502.23B0.60%502.23B6.23%515.45B2.26%500.89B2.38%492.25B
Shareholders'equity
Share capital 0.00%8M0.00%8M0.00%8M0.00%8M0.00%8M0.00%8M0.00%8M0.00%8M0.00%8M0.00%8M
-common stock 0.00%8M0.00%8M0.00%8M0.00%8M0.00%8M0.00%8M0.00%8M0.00%8M0.00%8M0.00%8M
Additional paid-in capital -0.15%35.61B-0.15%35.61B0.41%35.62B1.81%35.62B1.95%35.67B3.44%35.67B3.44%35.67B2.92%35.48B-0.42%34.99B-0.49%34.98B
Retained earnings 9.62%763.19B9.62%763.19B9.97%743.99B9.68%713.19B13.05%700.82B14.63%696.22B14.63%696.22B18.74%676.52B11.63%650.27B13.41%619.93B
Less: Treasury stock 0.00%78.94B0.00%78.94B-0.39%78.94B-0.98%78.94B-0.55%78.94B2.78%78.94B2.78%78.94B6.15%79.25B8.36%79.72B9.84%79.38B
Gains losses not affecting retained earnings 31.70%-2.45B31.70%-2.45B31.66%-2.52B50.84%-1.9B23.85%-3.08B4.76%-3.58B4.76%-3.58B13.58%-3.69B9.08%-3.86B18.61%-4.05B
Total stockholders equity 10.48%717.42B10.48%717.42B10.98%698.16B11.02%667.99B14.52%654.47B15.70%649.37B15.70%649.37B19.75%629.07B11.45%601.7B13.27%571.49B
Noncontrolling interests -0.13%2.28B-0.13%2.28B-16.48%2.29B-63.55%2.29B-63.92%2.27B-75.92%2.29B-75.92%2.29B-70.87%2.74B-47.18%6.27B-46.22%6.3B
Total equity 10.44%719.7B10.44%719.7B10.86%700.44B10.25%670.28B13.67%656.74B14.17%651.66B14.17%651.66B18.15%631.81B10.19%607.97B11.92%577.79B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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