BERKSHIRE HATHAWAY INC., Last 5 Year Stock Graph
The above graph shows the monthly share price for Berkshire Hathaway Inc., over the graph period. The share price tells us how much it would cost to buy one share in the company and the graph highlights recent trends.
The official name of the company is Berkshire Hathaway Inc.,, and the company was incorporated in 1998. The official description of the company is as follows Berkshire Hathaway Inc. (Berkshire) is a holding company owning subsidiaries engaged in various business activities. Berkshire’s various business activities include insurance businesses conducted on both a primary basis and a reinsurance basis. Its segments include Insurance, which consists of GEICO, Berkshire Hathaway Primary Group and Berkshire Hathaway Reinsurance Group; Railroad (BNSF), which includes operations of railroad systems in North America through Burlington Northern Santa Fe LLC; Berkshire Hathaway Energy, which includes regulated electric and gas utility; Manufacturing, which include manufacture of various products, including industrial, consumer and building products; McLane Company, which include wholesale distribution of groceries and non-food items; Service and retailing, which provide shared aircraft ownership programs, aviation pilot training, electronic components distribution and various retailing businesses, and Pilot Travel Centers (Pilot). The company is one of the largest in the world with a market capitalization of764548400000. This is calculated by multiplying the number of shares outstanding by the current share price and gives an indication of market value
Berkshire Hathaway Inc., – Financial Overview
The company is currently trading at -2.93% below its 52-week high. The 52 week high provides interested parties with the idea of how much the security has moved in the last year and whether it is trading near this high.
The price to earnings ratio of the company is 8.9641, this number indicates the amount a company earns compared to the price it costs to buy the company. Some investors would see a low price to earnings ratio provides as providing value. Analysts will usually compare price to earnings ratio of companies within the same industry group. Companies with high price to earnings ratio are considered as growth stocks, whilst companies with low price to earnings ratio are considered as value stocks. The beta of Berkshire Hathaway Inc., is 0.8633, this is a technical term for the level of volatility a company has when compared to the overall market. The S&P 500 has a beta of 1, so stocks with beta values greater than 1 tend to move with more momentum when compared to the overall stock market and is therefore more volatile than the overall stock market. Whilst betas of less than 1 signal that the stock is less volatile than the market and may be safer, in times of uncertainty, certain investors will increase the number of stocks that have betas less than one.
Berkshire Hathaway Inc., – Investment Profits
If you would have invested $100 in BERKSHIRE HATHAWAY INC., 5 years ago today, you would have made a profit of $70.33.
Berkshire Hathaway Inc., – Key Metrics Updated Daily
Official Name Berkshire Hathaway Inc.,
52 Week High: 364.63
52 Week Low: 259.85
Number of Employees: 383000
Exchange: New York Stock Exchange
Headquarters: 3555 Farnam St, OMAHA, NE, 68131 US
Industry: Consumer Goods Conglomerates
Year incorporated: 1998
Berkshire Hathaway Inc., – What to look out for in 2023
Investing in Berkshire Hathaway Inc. can be a smart move for investors looking for long-term growth and stability. However, before making any investment decisions, it’s important to understand the company’s financial performance, operations, and future prospects. Here are ten key bullet points that investors should look out for when investing in Berkshire Hathaway Inc.