Mar Vista PartnersBRK.B history

Issuer:
BERKSHIRE HATHAWAY INC-CL B
Quarters tracked:
48 (Q3 2014Q2 2026)
Current shares:
54,156
Current value:
$27.10M
Peak shares:
1,191,943 (Q3 2019)
Overall change:
-93%
QuarterSharesValue$/ShareShare ΔΔ%
Q2 202654,156$27.10M$500.39-5,903-10%
Q1 202660,059$28.78M$479.20+1570%
Q4 202559,902$30.11M$502.65-4,745-7%
Q3 202564,647$32.50M$502.75-12,350-16%
Q2 202576,997$37.40M$485.77+702+1%
Q1 202576,295$40.63M$532.58-14,502-16%
Q4 202490,797$41.16M$453.27-6,217-6%
Q3 202497,014$44.65M$460.26-34,329-26%
Q2 2024131,343$53.43M$406.80-16,880-11%
Q1 2024148,223$62.33M$420.52-5,598-4%
Q4 2023153,821$54.86M$356.66-8,683-5%
Q3 2023162,504$56.92M$350.30-103,614-39%
Q2 2023266,118$90.75M$341.00-7,821-3%
Q1 2023273,939$84.58M$308.77-4,859-2%
Q4 2022278,798$86.12M$308.90-19,147-6%
Q3 2022297,945$79.56M$267.02+3450%
Q2 2022297,600$81.25M$273.02-42,494-12%
Q1 2022340,094$120.02M$352.91-235,980-41%
Q4 2021576,074$172.25M$299.00-124,039-18%
Q3 2021700,113$191.09M$272.94-33,986-5%
Q2 2021734,099$204.02M$277.92-105,899-13%
Q1 2021839,998$214.59M$255.47-49,417-6%
Q4 2020889,415$206.23M$231.87-61,811-6%
Q3 2020951,226$202.55M$212.94-58,508-6%
Q2 20201,009,734$180.25M$178.51-59,801-6%
Q1 20201,069,535$195.54M$182.83-53,685-5%
Q4 20191,123,220$254.41M$226.50-68,723-6%
Q3 20191,191,943$247.95M$208.02+212,196+22%
Q2 2019979,747$208.85M$213.17-15,170-2%
Q1 2019994,917$199.87M$200.89+90,101+10%
Q4 2018904,816$184.75M$204.18+16,332+2%
Q3 2018888,484$190.23M$214.11+170,310+24%
Q2 2018718,174$134.05M$186.65-48,889-6%
Q1 2018767,063$153.01M$199.48-25,996-3%
Q4 2017793,059$157.20M$198.22-8,253-1%
Q3 2017801,312$146.90M$183.32-6,023-1%
Q2 2017807,335$136.74M$169.37-20,541-2%
Q1 2017827,876$137.99M$166.68-298,801-27%
Q4 20161,126,677$183.63M$162.98-56,331-5%
Q3 20161,183,008$170.91M$144.47+295,429+33%
Q2 2016887,579$128.51M$144.79+37,381+4%
Q1 2016850,198$120.63M$141.88-51,450-6%
Q4 2015901,648$119.05M$132.04+94,133+12%
Q3 2015807,515$105.30M$130.40-10,128-1%
Q2 2015817,643$111.29M$136.11-3,1100%
Q1 2015820,753$118.45M$144.32+55,345+7%
Q4 2014765,408$114.93M$150.15-6,958-1%
Q3 2014772,366$106.69M$138.14NEW