Recent Annual Filings for BRK.B

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,153,881,000,000 $371,433,000,000 $315,697,000,000 $89,731,000,000 $30,592,000,000 $-10,360,000,000 $9,733,000,000
2023 $1,069,978,000,000 $364,482,000,000 $321,144,000,000 $98,465,000,000 $49,196,000,000 $-14,405,000,000 $2,244,000,000
2022 $948,452,000,000 $302,089,000,000 $266,629,000,000 $-24,683,000,000 $37,224,000,000 $-1,662,000,000 $-52,307,000,000
2021 $958,784,000,000 $276,094,000,000 $243,945,000,000 $91,041,000,000 $39,421,000,000 $-28,508,000,000 $40,310,000,000
2020 $873,729,000,000 $245,510,000,000 $231,289,000,000 $44,272,000,000 $39,773,000,000 $-18,344,000,000 $-16,236,000,000
2019 $817,729,000,000 $254,616,000,000 $225,703,000,000 $81,594,000,000 $38,687,000,000 $730,000,000 $33,821,000,000
2018 $707,794,000,000 $247,837,000,000 $219,214,000,000 $2,059,000,000 $37,400,000,000 $-5,812,000,000 $-1,401,000,000
2017 $702,095,000,000 $242,137,000,000 $221,237,000,000 $66,768,000,000 $45,776,000,000 $-1,398,000,000 $3,535,000,000