JP Stock MarketDetailed Quotes

7377 DN Holdings

Watchlist
  • 2025
  • -48-2.32%
20min DelayNot Open May 8 15:22 JST
17.05BMarket Cap10.54P/E (Static)

DN Holdings Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Dec 31, 2024
(FY)Jun 30, 2024
(Q4)Jun 30, 2024
(Q3)Mar 31, 2024
(Q2)Dec 31, 2023
(Q1)Sep 30, 2023
(FY)Jun 30, 2023
(Q4)Jun 30, 2023
(Q3)Mar 31, 2023
(Q2)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
46.85%2.26B
-50.39%2.12B
-50.39%2.12B
65.44%2.63B
13.70%1.54B
18.98%2.01B
-7.34%4.27B
-7.34%4.27B
-24.26%1.59B
14.53%1.36B
-Cash and cash equivalents
46.85%2.26B
-50.39%2.12B
-50.39%2.12B
65.44%2.63B
13.70%1.54B
18.98%2.01B
-7.34%4.27B
-7.34%4.27B
-24.26%1.59B
14.53%1.36B
Receivables
14.57%18.22B
45.31%13.58B
45.31%13.58B
2.54%19.26B
8.05%15.9B
-0.79%10.84B
8.93%9.35B
8.93%9.35B
15.15%18.79B
21.09%14.72B
-Accounts receivable
-44.23%462.57M
39.49%1.96B
39.49%1.96B
-22.83%3.38B
57.64%829.36M
35.31%425.31M
50.09%1.41B
50.09%1.41B
112.41%4.38B
135.38%526.12M
-Gross accounts receivable
-44.23%462.57M
39.49%1.96B
39.49%1.96B
-22.83%3.38B
57.64%829.36M
35.31%425.31M
50.09%1.41B
50.09%1.41B
112.41%4.38B
135.38%526.12M
-Other receivables
17.80%17.76B
46.34%11.62B
46.34%11.62B
10.24%15.89B
6.21%15.07B
-1.86%10.41B
3.88%7.94B
3.88%7.94B
1.10%14.41B
18.95%14.19B
Other current assets
-13.23%528.18M
-7.22%374.76M
-7.22%374.76M
-7.11%396.79M
-5.78%608.74M
-25.57%573.91M
-31.39%403.92M
-31.39%403.92M
-3.70%427.17M
31.60%646.06M
Total current assets
16.39%21.01B
14.67%16.07B
14.67%16.07B
7.14%22.29B
7.97%18.05B
0.28%13.42B
1.77%14.02B
1.77%14.02B
10.32%20.8B
20.90%16.72B
Non current assets
Net PPE
4.77%1.92B
5.10%1.96B
5.10%1.96B
-7.30%1.79B
-4.63%1.83B
1.06%1.87B
0.94%1.86B
0.94%1.86B
3.34%1.93B
1.59%1.92B
-Gross PP&E
----
6.32%5.35B
6.32%5.35B
----
----
----
-1.55%5.03B
-1.55%5.03B
----
----
-Accumulated depreciation
----
-7.04%-3.39B
-7.04%-3.39B
----
----
----
2.95%-3.17B
2.95%-3.17B
----
----
Total investment
-3.14%618.58M
44.92%747.51M
44.92%747.51M
46.64%676.78M
35.60%638.62M
44.33%606.29M
23.11%515.8M
23.11%515.8M
14.36%461.52M
16.37%470.96M
-Financial asset investment
-3.14%618.58M
44.92%747.51M
44.92%747.51M
46.64%676.78M
35.60%638.62M
44.33%606.29M
23.11%515.8M
23.11%515.8M
14.36%461.52M
16.37%470.96M
-Including:Available-for-sale securities
-3.14%618.58M
44.92%747.51M
44.92%747.51M
46.64%676.78M
35.60%638.62M
44.33%606.29M
23.11%515.8M
23.11%515.8M
14.36%461.52M
16.37%470.96M
Goodwill and other intangible assets
70.52%608.19M
81.07%676.73M
81.07%676.73M
-5.82%356.12M
-2.53%356.67M
1.44%373.54M
2.95%373.73M
2.95%373.73M
7.80%378.13M
1.85%365.92M
-Goodwill
----
--332.12M
--332.12M
----
----
----
--0
--0
----
----
-Other intangible assets
----
-7.79%344.61M
-7.79%344.61M
----
----
----
--373.73M
--373.73M
----
----
Defined pension benefit
8.16%3.51B
7.44%3.46B
7.44%3.46B
39.05%3.26B
39.27%3.24B
39.88%3.24B
39.97%3.22B
39.97%3.22B
1.26%2.34B
1.86%2.33B
Deferred tax assets-non current
16.70%91.43M
4.53%72.94M
4.53%72.94M
339.61%74.97M
2,364.58%78.35M
579.57%81.34M
2,066.89%69.77M
2,066.89%69.77M
-38.31%17.05M
-81.71%3.18M
Other non current assets
4.43%928.25M
9.47%1.06B
9.47%1.06B
0.02%892.51M
0.11%888.84M
0.81%892.85M
9.80%967.66M
9.80%967.66M
0.74%892.29M
1.83%887.89M
Total non current assets
9.03%7.68B
13.76%7.97B
13.76%7.97B
17.03%7.04B
17.73%7.04B
20.69%7.06B
20.59%7.01B
20.59%7.01B
2.95%6.02B
2.52%5.98B
Total assets
14.32%28.69B
14.36%24.05B
14.36%24.05B
9.36%29.33B
10.54%25.09B
6.49%20.49B
7.35%21.03B
7.35%21.03B
8.58%26.82B
15.45%22.7B
Liabilities
Current liabilities
Financial liabilities
7.44%7.43B
412.30%1.13B
412.30%1.13B
20.53%8.51B
25.39%6.91B
21.86%2.82B
2.80%220.28M
2.80%220.28M
32.93%7.06B
66.38%5.51B
-Current debt and capital lease obligation
7.44%7.43B
412.30%1.13B
412.30%1.13B
20.53%8.51B
25.39%6.91B
21.86%2.82B
2.80%220.28M
2.80%220.28M
32.93%7.06B
66.38%5.51B
-Including:Current debt
7.44%7.43B
412.30%1.13B
412.30%1.13B
20.53%8.51B
25.39%6.91B
21.86%2.82B
2.80%220.28M
2.80%220.28M
32.93%7.06B
66.38%5.51B
Payables
22.09%2.4B
39.22%4.27B
39.22%4.27B
-0.21%3B
11.69%1.96B
-24.52%1.09B
-22.66%3.07B
-22.66%3.07B
-17.48%3.01B
-7.69%1.76B
-accounts payable
9.42%2.02B
25.05%1.9B
25.05%1.9B
7.19%2.44B
30.62%1.85B
-13.18%1.03B
11.10%1.52B
11.10%1.52B
-11.98%2.28B
-0.77%1.41B
-Total tax payable
225.51%374.54M
82.36%900.34M
82.36%900.34M
-23.38%557.86M
-66.44%115.06M
-77.20%58.18M
-69.51%493.72M
-69.51%493.72M
-30.97%728.04M
-28.30%342.82M
-Other payable
----
39.47%1.47B
39.47%1.47B
----
----
----
7.58%1.06B
7.58%1.06B
----
----
Current provisions
-11.59%242M
-22.35%264.97M
-22.35%264.97M
-40.92%236.5M
-36.42%273.73M
-28.27%291.46M
2.27%341.24M
2.27%341.24M
9.62%400.28M
71.71%430.5M
Pension and other retirement benefit plans
51.34%43.82M
71.98%58.99M
71.98%58.99M
22.64%895.18M
85.31%28.95M
3.67%512.45M
--34.3M
--34.3M
4.32%729.89M
--15.62M
Accrued and deferred income
-6.44%1.04B
-8.17%1.11B
-8.17%1.11B
-6.57%1.26B
-19.73%1.11B
-41.02%1.11B
-46.53%1.21B
-46.53%1.21B
-18.54%1.35B
-4.41%1.39B
Other current liabilities
7.71%1.87B
-34.80%1.31B
-34.80%1.31B
-9.37%1.43B
13.05%1.73B
33.48%1.57B
195.75%2.01B
195.75%2.01B
54.88%1.58B
0.11%1.53B
Current liabilities
8.26%13.02B
18.32%8.15B
18.32%8.15B
8.56%15.34B
13.05%12.03B
-4.16%7.39B
-7.66%6.89B
-7.66%6.89B
11.26%14.13B
25.87%10.64B
Non current liabilities
Non current financial liabilities
-18.08%629.07M
-3.52%850.96M
-3.52%850.96M
-23.08%714.29M
-21.82%767.86M
-20.16%826.93M
-19.03%882.01M
-19.03%882.01M
-18.75%928.58M
-17.91%982.15M
-Long term debt and capital lease obligation
-18.08%629.07M
-3.52%850.96M
-3.52%850.96M
-23.08%714.29M
-21.82%767.86M
-20.16%826.93M
-19.03%882.01M
-19.03%882.01M
-18.75%928.58M
-17.91%982.15M
-Including:Long term debt
-18.08%629.07M
-3.52%850.96M
-3.52%850.96M
-23.08%714.29M
-21.82%767.86M
-20.16%826.93M
-19.03%882.01M
-19.03%882.01M
-18.75%928.58M
-17.91%982.15M
Long term provisions
-20.97%97.09M
-0.68%122.94M
-0.68%122.94M
-1.32%122.15M
-1.54%122.86M
-0.62%124.36M
-0.06%123.78M
-0.06%123.78M
1.43%123.78M
2.27%124.78M
Long term pension and other post-retirement benefit plans
-61.79%166.3M
-61.72%154.38M
-61.72%154.38M
-23.27%454.08M
-23.13%435.26M
-22.29%420.36M
-26.38%403.24M
-26.38%403.24M
8.02%591.76M
5.74%566.2M
Non current deferred liabilities
52.42%988.79M
27.86%1.01B
27.86%1.01B
285.66%623.98M
50.67%648.73M
128.00%659.16M
97.28%788.23M
97.28%788.23M
-18.10%161.8M
-1.75%430.56M
Other non current liabilities
250.17%256.2M
227.02%272.32M
227.02%272.32M
314.03%68.01M
400.23%73.16M
374.72%78.24M
350.41%83.27M
350.41%83.27M
-18.32%16.43M
-32.01%14.63M
Total non current liabilities
4.37%2.14B
5.61%2.41B
5.61%2.41B
8.79%1.98B
-3.33%2.05B
5.07%2.11B
4.66%2.28B
4.66%2.28B
-10.25%1.82B
-8.44%2.12B
Total liabilities
7.69%15.16B
15.16%10.56B
15.16%10.56B
8.58%17.32B
10.33%14.08B
-2.26%9.5B
-4.88%9.17B
-4.88%9.17B
8.30%15.95B
18.50%12.76B
Shareholders'equity
Share capital
0.00%2B
0.00%2B
0.00%2B
0.00%2B
0.00%2B
0.00%2B
0.00%2B
0.00%2B
0.00%2B
0.00%2B
-common stock
0.00%2B
0.00%2B
0.00%2B
0.00%2B
0.00%2B
0.00%2B
0.00%2B
0.00%2B
0.00%2B
0.00%2B
Additional paid-in capital
5.40%1.7B
1.69%1.61B
1.69%1.61B
1.69%1.61B
1.69%1.61B
0.05%1.58B
0.05%1.58B
0.05%1.58B
0.05%1.58B
0.14%1.58B
Retained earnings
30.18%8.9B
12.70%8.82B
12.70%8.82B
4.33%7.8B
4.60%6.84B
11.36%6.9B
18.04%7.83B
18.04%7.83B
15.89%7.48B
21.68%6.54B
Less: Treasury stock
-19.86%22.84M
-63.13%28.55M
-63.13%28.55M
-63.16%28.49M
-63.13%28.49M
-38.04%77.43M
-38.01%77.43M
-38.01%77.43M
-38.07%77.35M
-46.51%77.28M
Other reserves
61.97%942.38M
110.41%1.07B
110.41%1.07B
595.47%617.63M
598.19%581.81M
448.80%565.93M
400.42%507.58M
400.42%507.58M
-414.35%-124.65M
-404.19%-116.79M
Other equity interest
-32.51%11.24M
0.00%16.65M
0.00%16.65M
0.00%16.65M
0.00%16.65M
-40.61%16.65M
-40.61%16.65M
-40.61%16.65M
-40.61%16.65M
-66.06%16.65M
Total stockholders'equity
22.80%13.53B
13.75%13.49B
13.75%13.49B
10.50%12.01B
10.81%11.02B
15.43%10.98B
19.20%11.86B
19.20%11.86B
9.00%10.87B
11.76%9.94B
Total equity
22.80%13.53B
13.75%13.49B
13.75%13.49B
10.50%12.01B
10.81%11.02B
15.43%10.98B
19.20%11.86B
19.20%11.86B
9.00%10.87B
11.76%9.94B
Currency Unit
JPY
JPY
JPY
JPY
JPY
JPY
JPY
JPY
JPY
JPY
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(Q2)Dec 31, 2024(FY)Jun 30, 2024(Q4)Jun 30, 2024(Q3)Mar 31, 2024(Q2)Dec 31, 2023(Q1)Sep 30, 2023(FY)Jun 30, 2023(Q4)Jun 30, 2023(Q3)Mar 31, 2023(Q2)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 46.85%2.26B-50.39%2.12B-50.39%2.12B65.44%2.63B13.70%1.54B18.98%2.01B-7.34%4.27B-7.34%4.27B-24.26%1.59B14.53%1.36B
-Cash and cash equivalents 46.85%2.26B-50.39%2.12B-50.39%2.12B65.44%2.63B13.70%1.54B18.98%2.01B-7.34%4.27B-7.34%4.27B-24.26%1.59B14.53%1.36B
Receivables 14.57%18.22B45.31%13.58B45.31%13.58B2.54%19.26B8.05%15.9B-0.79%10.84B8.93%9.35B8.93%9.35B15.15%18.79B21.09%14.72B
-Accounts receivable -44.23%462.57M39.49%1.96B39.49%1.96B-22.83%3.38B57.64%829.36M35.31%425.31M50.09%1.41B50.09%1.41B112.41%4.38B135.38%526.12M
-Gross accounts receivable -44.23%462.57M39.49%1.96B39.49%1.96B-22.83%3.38B57.64%829.36M35.31%425.31M50.09%1.41B50.09%1.41B112.41%4.38B135.38%526.12M
-Other receivables 17.80%17.76B46.34%11.62B46.34%11.62B10.24%15.89B6.21%15.07B-1.86%10.41B3.88%7.94B3.88%7.94B1.10%14.41B18.95%14.19B
Other current assets -13.23%528.18M-7.22%374.76M-7.22%374.76M-7.11%396.79M-5.78%608.74M-25.57%573.91M-31.39%403.92M-31.39%403.92M-3.70%427.17M31.60%646.06M
Total current assets 16.39%21.01B14.67%16.07B14.67%16.07B7.14%22.29B7.97%18.05B0.28%13.42B1.77%14.02B1.77%14.02B10.32%20.8B20.90%16.72B
Non current assets
Net PPE 4.77%1.92B5.10%1.96B5.10%1.96B-7.30%1.79B-4.63%1.83B1.06%1.87B0.94%1.86B0.94%1.86B3.34%1.93B1.59%1.92B
-Gross PP&E ----6.32%5.35B6.32%5.35B-------------1.55%5.03B-1.55%5.03B--------
-Accumulated depreciation -----7.04%-3.39B-7.04%-3.39B------------2.95%-3.17B2.95%-3.17B--------
Total investment -3.14%618.58M44.92%747.51M44.92%747.51M46.64%676.78M35.60%638.62M44.33%606.29M23.11%515.8M23.11%515.8M14.36%461.52M16.37%470.96M
-Financial asset investment -3.14%618.58M44.92%747.51M44.92%747.51M46.64%676.78M35.60%638.62M44.33%606.29M23.11%515.8M23.11%515.8M14.36%461.52M16.37%470.96M
-Including:Available-for-sale securities -3.14%618.58M44.92%747.51M44.92%747.51M46.64%676.78M35.60%638.62M44.33%606.29M23.11%515.8M23.11%515.8M14.36%461.52M16.37%470.96M
Goodwill and other intangible assets 70.52%608.19M81.07%676.73M81.07%676.73M-5.82%356.12M-2.53%356.67M1.44%373.54M2.95%373.73M2.95%373.73M7.80%378.13M1.85%365.92M
-Goodwill ------332.12M--332.12M--------------0--0--------
-Other intangible assets -----7.79%344.61M-7.79%344.61M--------------373.73M--373.73M--------
Defined pension benefit 8.16%3.51B7.44%3.46B7.44%3.46B39.05%3.26B39.27%3.24B39.88%3.24B39.97%3.22B39.97%3.22B1.26%2.34B1.86%2.33B
Deferred tax assets-non current 16.70%91.43M4.53%72.94M4.53%72.94M339.61%74.97M2,364.58%78.35M579.57%81.34M2,066.89%69.77M2,066.89%69.77M-38.31%17.05M-81.71%3.18M
Other non current assets 4.43%928.25M9.47%1.06B9.47%1.06B0.02%892.51M0.11%888.84M0.81%892.85M9.80%967.66M9.80%967.66M0.74%892.29M1.83%887.89M
Total non current assets 9.03%7.68B13.76%7.97B13.76%7.97B17.03%7.04B17.73%7.04B20.69%7.06B20.59%7.01B20.59%7.01B2.95%6.02B2.52%5.98B
Total assets 14.32%28.69B14.36%24.05B14.36%24.05B9.36%29.33B10.54%25.09B6.49%20.49B7.35%21.03B7.35%21.03B8.58%26.82B15.45%22.7B
Liabilities
Current liabilities
Financial liabilities 7.44%7.43B412.30%1.13B412.30%1.13B20.53%8.51B25.39%6.91B21.86%2.82B2.80%220.28M2.80%220.28M32.93%7.06B66.38%5.51B
-Current debt and capital lease obligation 7.44%7.43B412.30%1.13B412.30%1.13B20.53%8.51B25.39%6.91B21.86%2.82B2.80%220.28M2.80%220.28M32.93%7.06B66.38%5.51B
-Including:Current debt 7.44%7.43B412.30%1.13B412.30%1.13B20.53%8.51B25.39%6.91B21.86%2.82B2.80%220.28M2.80%220.28M32.93%7.06B66.38%5.51B
Payables 22.09%2.4B39.22%4.27B39.22%4.27B-0.21%3B11.69%1.96B-24.52%1.09B-22.66%3.07B-22.66%3.07B-17.48%3.01B-7.69%1.76B
-accounts payable 9.42%2.02B25.05%1.9B25.05%1.9B7.19%2.44B30.62%1.85B-13.18%1.03B11.10%1.52B11.10%1.52B-11.98%2.28B-0.77%1.41B
-Total tax payable 225.51%374.54M82.36%900.34M82.36%900.34M-23.38%557.86M-66.44%115.06M-77.20%58.18M-69.51%493.72M-69.51%493.72M-30.97%728.04M-28.30%342.82M
-Other payable ----39.47%1.47B39.47%1.47B------------7.58%1.06B7.58%1.06B--------
Current provisions -11.59%242M-22.35%264.97M-22.35%264.97M-40.92%236.5M-36.42%273.73M-28.27%291.46M2.27%341.24M2.27%341.24M9.62%400.28M71.71%430.5M
Pension and other retirement benefit plans 51.34%43.82M71.98%58.99M71.98%58.99M22.64%895.18M85.31%28.95M3.67%512.45M--34.3M--34.3M4.32%729.89M--15.62M
Accrued and deferred income -6.44%1.04B-8.17%1.11B-8.17%1.11B-6.57%1.26B-19.73%1.11B-41.02%1.11B-46.53%1.21B-46.53%1.21B-18.54%1.35B-4.41%1.39B
Other current liabilities 7.71%1.87B-34.80%1.31B-34.80%1.31B-9.37%1.43B13.05%1.73B33.48%1.57B195.75%2.01B195.75%2.01B54.88%1.58B0.11%1.53B
Current liabilities 8.26%13.02B18.32%8.15B18.32%8.15B8.56%15.34B13.05%12.03B-4.16%7.39B-7.66%6.89B-7.66%6.89B11.26%14.13B25.87%10.64B
Non current liabilities
Non current financial liabilities -18.08%629.07M-3.52%850.96M-3.52%850.96M-23.08%714.29M-21.82%767.86M-20.16%826.93M-19.03%882.01M-19.03%882.01M-18.75%928.58M-17.91%982.15M
-Long term debt and capital lease obligation -18.08%629.07M-3.52%850.96M-3.52%850.96M-23.08%714.29M-21.82%767.86M-20.16%826.93M-19.03%882.01M-19.03%882.01M-18.75%928.58M-17.91%982.15M
-Including:Long term debt -18.08%629.07M-3.52%850.96M-3.52%850.96M-23.08%714.29M-21.82%767.86M-20.16%826.93M-19.03%882.01M-19.03%882.01M-18.75%928.58M-17.91%982.15M
Long term provisions -20.97%97.09M-0.68%122.94M-0.68%122.94M-1.32%122.15M-1.54%122.86M-0.62%124.36M-0.06%123.78M-0.06%123.78M1.43%123.78M2.27%124.78M
Long term pension and other post-retirement benefit plans -61.79%166.3M-61.72%154.38M-61.72%154.38M-23.27%454.08M-23.13%435.26M-22.29%420.36M-26.38%403.24M-26.38%403.24M8.02%591.76M5.74%566.2M
Non current deferred liabilities 52.42%988.79M27.86%1.01B27.86%1.01B285.66%623.98M50.67%648.73M128.00%659.16M97.28%788.23M97.28%788.23M-18.10%161.8M-1.75%430.56M
Other non current liabilities 250.17%256.2M227.02%272.32M227.02%272.32M314.03%68.01M400.23%73.16M374.72%78.24M350.41%83.27M350.41%83.27M-18.32%16.43M-32.01%14.63M
Total non current liabilities 4.37%2.14B5.61%2.41B5.61%2.41B8.79%1.98B-3.33%2.05B5.07%2.11B4.66%2.28B4.66%2.28B-10.25%1.82B-8.44%2.12B
Total liabilities 7.69%15.16B15.16%10.56B15.16%10.56B8.58%17.32B10.33%14.08B-2.26%9.5B-4.88%9.17B-4.88%9.17B8.30%15.95B18.50%12.76B
Shareholders'equity
Share capital 0.00%2B0.00%2B0.00%2B0.00%2B0.00%2B0.00%2B0.00%2B0.00%2B0.00%2B0.00%2B
-common stock 0.00%2B0.00%2B0.00%2B0.00%2B0.00%2B0.00%2B0.00%2B0.00%2B0.00%2B0.00%2B
Additional paid-in capital 5.40%1.7B1.69%1.61B1.69%1.61B1.69%1.61B1.69%1.61B0.05%1.58B0.05%1.58B0.05%1.58B0.05%1.58B0.14%1.58B
Retained earnings 30.18%8.9B12.70%8.82B12.70%8.82B4.33%7.8B4.60%6.84B11.36%6.9B18.04%7.83B18.04%7.83B15.89%7.48B21.68%6.54B
Less: Treasury stock -19.86%22.84M-63.13%28.55M-63.13%28.55M-63.16%28.49M-63.13%28.49M-38.04%77.43M-38.01%77.43M-38.01%77.43M-38.07%77.35M-46.51%77.28M
Other reserves 61.97%942.38M110.41%1.07B110.41%1.07B595.47%617.63M598.19%581.81M448.80%565.93M400.42%507.58M400.42%507.58M-414.35%-124.65M-404.19%-116.79M
Other equity interest -32.51%11.24M0.00%16.65M0.00%16.65M0.00%16.65M0.00%16.65M-40.61%16.65M-40.61%16.65M-40.61%16.65M-40.61%16.65M-66.06%16.65M
Total stockholders'equity 22.80%13.53B13.75%13.49B13.75%13.49B10.50%12.01B10.81%11.02B15.43%10.98B19.20%11.86B19.20%11.86B9.00%10.87B11.76%9.94B
Total equity 22.80%13.53B13.75%13.49B13.75%13.49B10.50%12.01B10.81%11.02B15.43%10.98B19.20%11.86B19.20%11.86B9.00%10.87B11.76%9.94B
Currency Unit JPYJPYJPYJPYJPYJPYJPYJPYJPYJPY
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

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Warren Buffett Portfolio Warren Buffett Portfolio

Buffett's holdings are the latest portfolio from Berkshire Hathaway. Regarded as a top investor, his trades often signal the market and influence the industry. Buffett's holdings are the latest portfolio from Berkshire Hathaway. Regarded as a top investor, his trades often signal the market and influence the industry.

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Berkshire 2025 highlights: Stepping aside as CEO, trade and market volatility
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