Ruane CunniffBRK.A history

Issuer:
BERKSHIRE HATHAWAY INC DEL
Quarters tracked:
53 (Q2 2013Q2 2026)
Current shares:
103
Current value:
$77.13M
Peak shares:
10,723 (Q2 2013)
Overall change:
-99%
QuarterSharesValue$/ShareShare ΔΔ%
Q2 2026103$77.13M$748854.37-7-6%
Q1 2026110$79.00M$718136.36-5-4%
Q4 2025115$86.80M$754800.00-2-2%
Q3 2025117$88.24M$754196.5800%
Q2 2025117$85.27M$728803.42-9-7%
Q1 2025126$100.60M$798444.4400%
Q4 2024126$85.80M$680920.63-8-6%
Q3 2024134$92.62M$691179.10-4-3%
Q2 2024138$84.49M$612239.13-11-7%
Q1 2024149$94.53M$634442.95-19-11%
Q4 2023168$91.16M$542625.00-2-1%
Q3 2023170$90.35M$531476.47-4-2%
Q2 2023174$90.10M$517810.34-8-4%
Q1 2023182$84.74M$465598.90-6-3%
Q4 2022188$88.12M$468712.77-11-6%
Q3 2022199$80.89M$406472.36-18-8%
Q2 2022217$88.74M$408949.31-359-62%
Q1 2022576$304.66M$528920.14-21-4%
Q4 2021597$269.05M$450661.64-141-19%
Q3 2021738$303.60M$411379.40-23-3%
Q2 2021761$318.56M$418600.53-45-6%
Q1 2021806$310.88M$385702.23-189-19%
Q4 2020995$346.08M$347815.08-8-1%
Q3 20201,003$320.96M$320001.00-25-2%
Q2 20201,028$274.78M$267299.61-124-11%
Q1 20201,152$313.34M$272000.00-760-40%
Q4 20191,912$649.30M$339589.96-307-14%
Q3 20192,219$691.96M$311831.91-37-2%
Q2 20192,256$718.20M$318350.18-16-1%
Q1 20192,272$684.36M$301214.79-192-8%
Q4 20182,464$753.98M$306000.00-391-14%
Q3 20182,855$913.60M$320000.00-81-3%
Q2 20182,936$828.07M$282039.85-436-13%
Q1 20183,372$994.88M$295040.93-309-8%
Q4 20173,681$1.10B$297600.11-148-4%
Q3 20173,829$1.05B$274739.88+149+4%
Q2 20173,680$937.30M$254700.00-422-10%
Q1 20174,102$1.02B$249850.07-698-15%
Q4 20164,800$1.17B$244121.04-1,178-20%
Q3 20165,978$1.29B$216219.97-932-13%
Q2 20166,910$1.50B$216974.96-1,676-20%
Q1 20168,586$1.83B$213450.03-626-7%
Q4 20159,212$1.82B$197800.04-202-2%
Q3 20159,414$1.84B$195239.96-54-1%
Q2 20159,468$1.94B$204850.02-290%
Q1 20159,497$2.07B$217500.05-327-3%
Q4 20149,824$2.22B$226000.00-399-4%
Q3 201410,223$2.12B$206900.03-238-2%
Q2 201410,461$1.99B$189900.49-120-1%
Q1 201410,581$1.98B$187350.06-290%
Q4 201310,610$1.89B$177900.00-100-1%
Q3 201310,710$1.83B$170409.99-130%
Q2 201310,723$1.81B$168600.02NEW