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00811 XINHUA WINSHARE

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  • 11.080
  • -0.140-1.25%
Trading May 2 11:33 CST
13.67BMarket Cap7.89P/E (TTM)

XINHUA WINSHARE Key Stats

All
YOY yoy
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(Q3)Mar 31, 2025
(FY)Dec 31, 2024
(Q9)Sep 30, 2024
(Q6)Jun 30, 2024
(Q3)Mar 31, 2024
(FY)Dec 31, 2023
(Q9)Sep 30, 2023
(Q6)Jun 30, 2023
(Q3)Mar 31, 2023
(FY)Dec 31, 2022
Assets
Current assets
Inventory
-9.26%2.66B
-8.28%2.42B
-2.75%3.11B
1.44%2.35B
4.32%2.93B
2.66%2.64B
3.95%3.19B
4.48%2.32B
2.08%2.81B
-6.17%2.57B
Accounts receivable
-3.15%1.99B
3.36%1.53B
-4.28%2.38B
1.22%1.74B
-9.36%2.05B
-13.00%1.48B
2.93%2.48B
1.84%1.72B
5.87%2.26B
9.13%1.7B
Notes receivable
----
-75.15%933.79K
-62.41%929.96K
35.80%2.45M
38.49%3.2M
29.31%3.76M
-39.28%2.47M
-75.86%1.8M
-64.96%2.31M
-72.44%2.91M
Advance deposits and other receivables
10.24%73.63M
16.82%64.82M
-13.80%85.37M
1.28%78.93M
-21.57%66.79M
-29.40%55.48M
15.87%99.04M
2.54%77.94M
4.67%85.15M
-0.93%78.59M
Cash and equivalents
2.48%9.21B
0.68%9.18B
3.38%8.5B
3.34%8.24B
11.98%8.98B
16.87%9.12B
21.42%8.22B
25.70%7.98B
40.15%8.02B
29.17%7.8B
Financial assets at fair value-current assets
-5.26%47.49K
1,051.78%60.12K
--32.33K
--78.71K
1,814.80%50.13K
--5.22K
----
----
-100.00%2.62K
----
Other current assets
-83.76%82.73M
-84.84%77.12M
-72.16%129.2M
-61.67%197.32M
73.58%509.49M
53.63%508.62M
45.80%464.11M
4.37%514.79M
-50.64%293.53M
-34.09%331.07M
Special items of current assets
-35.24%41.97M
-29.39%49.26M
-37.68%57.59M
-22.87%70.71M
-28.86%64.81M
-40.49%69.76M
-20.77%92.4M
-44.43%91.68M
-42.07%91.11M
-31.95%117.24M
Total current assets
-3.42%14.23B
-2.89%13.6B
-2.10%14.43B
0.09%12.96B
7.49%14.74B
9.87%14.01B
13.82%14.74B
16.14%12.95B
16.18%13.71B
13.40%12.75B
Non-current assets
Fixed assets
-1.44%2.33B
-0.88%2.36B
-0.43%2.38B
-0.15%2.39B
-2.53%2.36B
-2.98%2.38B
11.01%2.39B
10.77%2.39B
21.39%2.42B
21.80%2.45B
Investment property
-18.65%75.74M
-18.64%76.6M
-16.17%79.8M
-16.39%80.47M
-4.32%93.1M
-1.93%94.15M
23.54%95.2M
23.39%96.25M
23.64%97.3M
16.14%96M
Construction in progress
220.17%80.84M
86.27%73.67M
82.07%67.39M
-11.17%50.48M
-54.31%25.25M
-16.24%39.55M
14.19%37.01M
88.46%56.83M
-69.58%55.26M
-67.39%47.22M
Long-term receivables
-2.99%33.07M
13.40%39.19M
14.71%32.84M
-75.81%14.76M
-46.93%34.09M
-65.58%34.56M
-67.62%28.63M
-41.43%61.01M
-39.22%64.23M
-30.00%100.43M
Development expenditure
212.14%3.77M
258.26%3.75M
354.62%6.75M
67.66%2.62M
-27.77%1.21M
-26.81%1.05M
-54.57%1.48M
-47.89%1.56M
-22.41%1.67M
-44.23%1.43M
long-term investment
3.32%805.13M
4.52%806.32M
4.35%779.9M
0.09%768.95M
3.43%779.26M
3.08%771.48M
-0.46%747.43M
2.80%768.26M
2.27%753.42M
-0.85%748.39M
Intangible assets
-8.60%329.02M
-9.15%336.02M
-8.69%344.09M
-9.07%351.38M
-8.89%359.97M
-5.49%369.85M
5.90%376.84M
5.92%386.43M
5.73%395.08M
3.12%391.32M
Goodwill
0.00%622.65M
0.00%622.65M
0.00%622.65M
0.00%622.65M
0.00%622.65M
0.00%622.65M
24.39%622.65M
24.39%622.65M
24.39%622.65M
24.39%622.65M
Deferred tax assets
-89.24%7.22M
-85.68%7.22M
317.02%99.33M
174.66%65.42M
180.62%67.04M
110.96%50.4M
-21.01%23.82M
-18.11%23.82M
-13.00%23.89M
-0.17%23.89M
Other illiquid assets
150.53%2.18B
131.30%2B
167.67%1.85B
231.07%1.79B
30.97%869.33M
33.03%865.43M
-0.99%692.23M
-27.51%541.49M
-15.62%663.78M
-17.81%650.54M
Special items of non-current assets
-19.96%24.33M
-19.67%26.46M
-16.09%29.52M
-24.32%30.89M
-31.75%30.4M
-25.74%32.94M
25.61%35.18M
73.97%40.81M
169.62%44.53M
190.66%44.36M
Total non-current assets
19.15%9.52B
19.49%9.3B
16.05%9.14B
12.57%8.93B
2.42%7.99B
-1.55%7.78B
5.59%7.88B
2.80%7.93B
1.07%7.8B
4.93%7.9B
Total assets
4.51%23.75B
5.10%22.9B
4.22%23.58B
4.83%21.89B
5.65%22.72B
5.50%21.79B
10.81%22.62B
10.68%20.88B
10.21%21.51B
10.00%20.65B
Liabilities
Current liabilities
Accounts payable
-1.86%5.88B
-0.31%5.45B
3.26%6.46B
6.03%5.43B
4.01%5.99B
0.84%5.47B
4.18%6.25B
5.36%5.12B
6.36%5.76B
0.33%5.42B
Notes payable
-84.54%4.23M
-87.64%4.49M
-65.00%14.25M
373.61%23.68M
-12.65%27.35M
21.91%36.3M
65.84%40.73M
-69.30%5M
99.52%31.31M
-34.25%29.78M
Tax payable
-71.05%25.9M
-40.39%42.02M
69.72%112.76M
76.45%98.28M
28.61%89.47M
-0.18%70.5M
-31.31%66.44M
23.07%55.7M
30.80%69.56M
13.13%70.62M
Other payables and accrued expenses
-19.49%327.14M
-45.33%308.45M
-20.11%298.42M
-14.30%476.47M
-8.21%406.33M
39.52%564.18M
-15.83%373.52M
3.26%556M
5.44%442.66M
4.52%404.37M
Advance payment
653.88%2.82M
220.19%1.66M
-18.13%1.84M
124.34%3.05M
-72.68%373.66K
-55.50%519.38K
--2.25M
--1.36M
--1.37M
--1.17M
Short-term borrowing
0.00%10M
0.00%10M
----
-44.44%10M
-44.44%10M
-44.44%10M
--28M
--18M
--18M
--18M
Other current liabilities
-15.27%190.64M
-18.03%184.33M
-10.91%209.88M
-6.28%211.77M
1.37%224.99M
5.16%224.86M
4.36%235.59M
6.00%225.97M
3.61%221.94M
6.12%213.83M
Special items of current liabilities
-6.35%83.72M
-18.90%76.86M
-20.66%75.18M
-11.52%81.92M
-0.26%89.4M
3.43%94.78M
2.37%94.76M
8.21%92.59M
4.53%89.64M
-9.90%91.63M
Total current liabilities
-3.05%8.11B
-3.56%7.59B
-0.47%8.87B
4.01%7.45B
2.06%8.37B
4.40%7.87B
7.28%8.91B
6.54%7.16B
7.98%8.2B
2.75%7.54B
Net current assets
-3.92%6.12B
-2.03%6.01B
-4.60%5.56B
-4.75%5.51B
15.57%6.37B
17.80%6.13B
25.51%5.83B
30.70%5.79B
30.98%5.51B
33.42%5.21B
Total assets less current liabilities
8.92%15.64B
10.00%15.31B
7.27%14.71B
5.26%14.44B
7.87%14.36B
6.14%13.91B
13.23%13.71B
12.98%13.72B
11.62%13.31B
14.66%13.11B
Non-current liabilities
Long-term remuneration payable to staff and workers
----
----
----
----
----
-7.73%30.58M
--30.58M
--30.58M
--32.47M
--33.14M
Financial lease liabilities-non-current liabilities
33.23%302.63M
-22.08%179.94M
-22.82%179.1M
-20.86%226.33M
-23.35%227.15M
-26.58%230.93M
-26.52%232.07M
-17.26%286M
-15.51%296.35M
21.16%314.53M
Deferred tax liability
-74.73%64.62M
-70.20%64.86M
281.90%276.16M
240.80%252.68M
212.43%255.69M
194.63%217.64M
407.62%72.31M
265.40%74.14M
319.24%81.84M
124.71%73.87M
Deferred income-non-current liabilities
175.15%52.83M
166.07%53.44M
24.44%28.25M
4.56%27.01M
-37.71%19.2M
-20.80%20.08M
-15.95%22.7M
-9.51%25.83M
3.19%30.82M
-18.58%25.36M
Total non-current liabilities
-16.33%420.07M
-40.26%298.24M
35.19%483.51M
21.48%506.02M
13.72%502.04M
11.71%499.23M
0.16%357.66M
5.59%416.56M
10.33%441.48M
38.10%446.9M
Total liabilities
-3.80%8.53B
-5.75%7.89B
0.91%9.35B
4.97%7.95B
2.65%8.87B
4.81%8.37B
6.99%9.27B
6.49%7.58B
8.10%8.64B
4.24%7.99B
Total assets less total liabilities
9.84%15.22B
11.87%15.01B
6.52%14.22B
4.76%13.94B
7.67%13.86B
5.94%13.41B
13.63%13.35B
13.23%13.31B
11.67%12.87B
13.97%12.66B
Total equity and non-current liabilities
8.92%15.64B
10.00%15.31B
7.27%14.71B
5.26%14.44B
7.87%14.36B
6.14%13.91B
13.23%13.71B
12.98%13.72B
11.62%13.31B
14.66%13.11B
Equity
Share capital
0.00%1.23B
0.00%1.23B
0.00%1.23B
0.00%1.23B
0.00%1.23B
0.00%1.23B
0.00%1.23B
0.00%1.23B
0.00%1.23B
0.00%1.23B
Capital reserve
0.04%2.52B
0.04%2.52B
-1.90%2.52B
-1.90%2.52B
-1.90%2.52B
-1.90%2.52B
0.00%2.57B
0.00%2.57B
0.00%2.57B
0.00%2.57B
Undistributed profit
10.35%7.82B
9.89%7.56B
10.20%7.28B
10.53%7.1B
12.79%7.09B
13.10%6.88B
17.84%6.6B
15.79%6.43B
16.44%6.28B
16.39%6.08B
Shareholders' Equity
9.67%14.81B
11.75%14.61B
5.29%13.84B
3.45%13.56B
6.42%13.51B
4.65%13.07B
10.76%13.14B
10.45%13.11B
9.06%12.69B
11.30%12.49B
Non-controlling interest
16.37%406.11M
16.69%400.47M
83.30%385.7M
91.02%379.77M
97.13%348.97M
99.48%343.21M
284.62%210.42M
272.42%198.81M
255.70%177.03M
253.80%172.05M
Total equity
9.84%15.22B
11.87%15.01B
6.52%14.22B
4.76%13.94B
7.67%13.86B
5.94%13.41B
13.63%13.35B
13.23%13.31B
11.67%12.87B
13.97%12.66B
Total equity and total liabilities
4.51%23.75B
5.10%22.9B
4.22%23.58B
4.83%21.89B
5.65%22.72B
5.50%21.79B
10.81%22.62B
10.68%20.88B
10.21%21.51B
10.00%20.65B
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
Accounting Standards
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
Audit Opinions
--
Unqualified Opinion
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--
--
Unqualified Opinion
--
--
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Unqualified Opinion
Auditor
--
KPMG Huazhen Certified Public Accountants (Special General Partnership)
--
--
--
Deloitte Guan Huang Chen Fang Certified Public Accountants
--
--
--
Deloitte Guan Huang Chen Fang Certified Public Accountants
(Q3)Mar 31, 2025(FY)Dec 31, 2024(Q9)Sep 30, 2024(Q6)Jun 30, 2024(Q3)Mar 31, 2024(FY)Dec 31, 2023(Q9)Sep 30, 2023(Q6)Jun 30, 2023(Q3)Mar 31, 2023(FY)Dec 31, 2022
Assets
Current assets
Inventory -9.26%2.66B-8.28%2.42B-2.75%3.11B1.44%2.35B4.32%2.93B2.66%2.64B3.95%3.19B4.48%2.32B2.08%2.81B-6.17%2.57B
Accounts receivable -3.15%1.99B3.36%1.53B-4.28%2.38B1.22%1.74B-9.36%2.05B-13.00%1.48B2.93%2.48B1.84%1.72B5.87%2.26B9.13%1.7B
Notes receivable -----75.15%933.79K-62.41%929.96K35.80%2.45M38.49%3.2M29.31%3.76M-39.28%2.47M-75.86%1.8M-64.96%2.31M-72.44%2.91M
Advance deposits and other receivables 10.24%73.63M16.82%64.82M-13.80%85.37M1.28%78.93M-21.57%66.79M-29.40%55.48M15.87%99.04M2.54%77.94M4.67%85.15M-0.93%78.59M
Cash and equivalents 2.48%9.21B0.68%9.18B3.38%8.5B3.34%8.24B11.98%8.98B16.87%9.12B21.42%8.22B25.70%7.98B40.15%8.02B29.17%7.8B
Financial assets at fair value-current assets -5.26%47.49K1,051.78%60.12K--32.33K--78.71K1,814.80%50.13K--5.22K---------100.00%2.62K----
Other current assets -83.76%82.73M-84.84%77.12M-72.16%129.2M-61.67%197.32M73.58%509.49M53.63%508.62M45.80%464.11M4.37%514.79M-50.64%293.53M-34.09%331.07M
Special items of current assets -35.24%41.97M-29.39%49.26M-37.68%57.59M-22.87%70.71M-28.86%64.81M-40.49%69.76M-20.77%92.4M-44.43%91.68M-42.07%91.11M-31.95%117.24M
Total current assets -3.42%14.23B-2.89%13.6B-2.10%14.43B0.09%12.96B7.49%14.74B9.87%14.01B13.82%14.74B16.14%12.95B16.18%13.71B13.40%12.75B
Non-current assets
Fixed assets -1.44%2.33B-0.88%2.36B-0.43%2.38B-0.15%2.39B-2.53%2.36B-2.98%2.38B11.01%2.39B10.77%2.39B21.39%2.42B21.80%2.45B
Investment property -18.65%75.74M-18.64%76.6M-16.17%79.8M-16.39%80.47M-4.32%93.1M-1.93%94.15M23.54%95.2M23.39%96.25M23.64%97.3M16.14%96M
Construction in progress 220.17%80.84M86.27%73.67M82.07%67.39M-11.17%50.48M-54.31%25.25M-16.24%39.55M14.19%37.01M88.46%56.83M-69.58%55.26M-67.39%47.22M
Long-term receivables -2.99%33.07M13.40%39.19M14.71%32.84M-75.81%14.76M-46.93%34.09M-65.58%34.56M-67.62%28.63M-41.43%61.01M-39.22%64.23M-30.00%100.43M
Development expenditure 212.14%3.77M258.26%3.75M354.62%6.75M67.66%2.62M-27.77%1.21M-26.81%1.05M-54.57%1.48M-47.89%1.56M-22.41%1.67M-44.23%1.43M
long-term investment 3.32%805.13M4.52%806.32M4.35%779.9M0.09%768.95M3.43%779.26M3.08%771.48M-0.46%747.43M2.80%768.26M2.27%753.42M-0.85%748.39M
Intangible assets -8.60%329.02M-9.15%336.02M-8.69%344.09M-9.07%351.38M-8.89%359.97M-5.49%369.85M5.90%376.84M5.92%386.43M5.73%395.08M3.12%391.32M
Goodwill 0.00%622.65M0.00%622.65M0.00%622.65M0.00%622.65M0.00%622.65M0.00%622.65M24.39%622.65M24.39%622.65M24.39%622.65M24.39%622.65M
Deferred tax assets -89.24%7.22M-85.68%7.22M317.02%99.33M174.66%65.42M180.62%67.04M110.96%50.4M-21.01%23.82M-18.11%23.82M-13.00%23.89M-0.17%23.89M
Other illiquid assets 150.53%2.18B131.30%2B167.67%1.85B231.07%1.79B30.97%869.33M33.03%865.43M-0.99%692.23M-27.51%541.49M-15.62%663.78M-17.81%650.54M
Special items of non-current assets -19.96%24.33M-19.67%26.46M-16.09%29.52M-24.32%30.89M-31.75%30.4M-25.74%32.94M25.61%35.18M73.97%40.81M169.62%44.53M190.66%44.36M
Total non-current assets 19.15%9.52B19.49%9.3B16.05%9.14B12.57%8.93B2.42%7.99B-1.55%7.78B5.59%7.88B2.80%7.93B1.07%7.8B4.93%7.9B
Total assets 4.51%23.75B5.10%22.9B4.22%23.58B4.83%21.89B5.65%22.72B5.50%21.79B10.81%22.62B10.68%20.88B10.21%21.51B10.00%20.65B
Liabilities
Current liabilities
Accounts payable -1.86%5.88B-0.31%5.45B3.26%6.46B6.03%5.43B4.01%5.99B0.84%5.47B4.18%6.25B5.36%5.12B6.36%5.76B0.33%5.42B
Notes payable -84.54%4.23M-87.64%4.49M-65.00%14.25M373.61%23.68M-12.65%27.35M21.91%36.3M65.84%40.73M-69.30%5M99.52%31.31M-34.25%29.78M
Tax payable -71.05%25.9M-40.39%42.02M69.72%112.76M76.45%98.28M28.61%89.47M-0.18%70.5M-31.31%66.44M23.07%55.7M30.80%69.56M13.13%70.62M
Other payables and accrued expenses -19.49%327.14M-45.33%308.45M-20.11%298.42M-14.30%476.47M-8.21%406.33M39.52%564.18M-15.83%373.52M3.26%556M5.44%442.66M4.52%404.37M
Advance payment 653.88%2.82M220.19%1.66M-18.13%1.84M124.34%3.05M-72.68%373.66K-55.50%519.38K--2.25M--1.36M--1.37M--1.17M
Short-term borrowing 0.00%10M0.00%10M-----44.44%10M-44.44%10M-44.44%10M--28M--18M--18M--18M
Other current liabilities -15.27%190.64M-18.03%184.33M-10.91%209.88M-6.28%211.77M1.37%224.99M5.16%224.86M4.36%235.59M6.00%225.97M3.61%221.94M6.12%213.83M
Special items of current liabilities -6.35%83.72M-18.90%76.86M-20.66%75.18M-11.52%81.92M-0.26%89.4M3.43%94.78M2.37%94.76M8.21%92.59M4.53%89.64M-9.90%91.63M
Total current liabilities -3.05%8.11B-3.56%7.59B-0.47%8.87B4.01%7.45B2.06%8.37B4.40%7.87B7.28%8.91B6.54%7.16B7.98%8.2B2.75%7.54B
Net current assets -3.92%6.12B-2.03%6.01B-4.60%5.56B-4.75%5.51B15.57%6.37B17.80%6.13B25.51%5.83B30.70%5.79B30.98%5.51B33.42%5.21B
Total assets less current liabilities 8.92%15.64B10.00%15.31B7.27%14.71B5.26%14.44B7.87%14.36B6.14%13.91B13.23%13.71B12.98%13.72B11.62%13.31B14.66%13.11B
Non-current liabilities
Long-term remuneration payable to staff and workers ---------------------7.73%30.58M--30.58M--30.58M--32.47M--33.14M
Financial lease liabilities-non-current liabilities 33.23%302.63M-22.08%179.94M-22.82%179.1M-20.86%226.33M-23.35%227.15M-26.58%230.93M-26.52%232.07M-17.26%286M-15.51%296.35M21.16%314.53M
Deferred tax liability -74.73%64.62M-70.20%64.86M281.90%276.16M240.80%252.68M212.43%255.69M194.63%217.64M407.62%72.31M265.40%74.14M319.24%81.84M124.71%73.87M
Deferred income-non-current liabilities 175.15%52.83M166.07%53.44M24.44%28.25M4.56%27.01M-37.71%19.2M-20.80%20.08M-15.95%22.7M-9.51%25.83M3.19%30.82M-18.58%25.36M
Total non-current liabilities -16.33%420.07M-40.26%298.24M35.19%483.51M21.48%506.02M13.72%502.04M11.71%499.23M0.16%357.66M5.59%416.56M10.33%441.48M38.10%446.9M
Total liabilities -3.80%8.53B-5.75%7.89B0.91%9.35B4.97%7.95B2.65%8.87B4.81%8.37B6.99%9.27B6.49%7.58B8.10%8.64B4.24%7.99B
Total assets less total liabilities 9.84%15.22B11.87%15.01B6.52%14.22B4.76%13.94B7.67%13.86B5.94%13.41B13.63%13.35B13.23%13.31B11.67%12.87B13.97%12.66B
Total equity and non-current liabilities 8.92%15.64B10.00%15.31B7.27%14.71B5.26%14.44B7.87%14.36B6.14%13.91B13.23%13.71B12.98%13.72B11.62%13.31B14.66%13.11B
Equity
Share capital 0.00%1.23B0.00%1.23B0.00%1.23B0.00%1.23B0.00%1.23B0.00%1.23B0.00%1.23B0.00%1.23B0.00%1.23B0.00%1.23B
Capital reserve 0.04%2.52B0.04%2.52B-1.90%2.52B-1.90%2.52B-1.90%2.52B-1.90%2.52B0.00%2.57B0.00%2.57B0.00%2.57B0.00%2.57B
Undistributed profit 10.35%7.82B9.89%7.56B10.20%7.28B10.53%7.1B12.79%7.09B13.10%6.88B17.84%6.6B15.79%6.43B16.44%6.28B16.39%6.08B
Shareholders' Equity 9.67%14.81B11.75%14.61B5.29%13.84B3.45%13.56B6.42%13.51B4.65%13.07B10.76%13.14B10.45%13.11B9.06%12.69B11.30%12.49B
Non-controlling interest 16.37%406.11M16.69%400.47M83.30%385.7M91.02%379.77M97.13%348.97M99.48%343.21M284.62%210.42M272.42%198.81M255.70%177.03M253.80%172.05M
Total equity 9.84%15.22B11.87%15.01B6.52%14.22B4.76%13.94B7.67%13.86B5.94%13.41B13.63%13.35B13.23%13.31B11.67%12.87B13.97%12.66B
Total equity and total liabilities 4.51%23.75B5.10%22.9B4.22%23.58B4.83%21.89B5.65%22.72B5.50%21.79B10.81%22.62B10.68%20.88B10.21%21.51B10.00%20.65B
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards CAS (2007)CAS (2007)CAS (2007)CAS (2007)CAS (2007)CAS (2007)CAS (2007)CAS (2007)CAS (2007)CAS (2007)
Audit Opinions --Unqualified Opinion------Unqualified Opinion------Unqualified Opinion
Auditor --KPMG Huazhen Certified Public Accountants (Special General Partnership)------Deloitte Guan Huang Chen Fang Certified Public Accountants------Deloitte Guan Huang Chen Fang Certified Public Accountants

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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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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2025 Buffett shareholders' meeting: What's the new buzz in value investing?
🎙️Discussion 1. Do you think Buffett was scooping up stocks during the recent dip? 2. In the face of market changes, do you prefer to stick Show More