CA Stock MarketDetailed Quotes

PAAS Pan American Silver Corp

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  • 31.580
  • -0.530-1.65%
15min DelayMarket Closed May 14 16:00 ET
11.44BMarket Cap25.53P/E (TTM)

Pan American Silver Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
Assets
Current assets
Cash, cash equivalents and short term investments
178.52%923M
101.25%887.3M
101.25%887.3M
21.74%469.9M
-8.81%368.6M
-35.41%331.4M
209.84%440.9M
209.84%440.9M
106.23%386M
67.54%404.2M
-Cash and cash equivalents
198.94%900.1M
115.92%862.8M
115.92%862.8M
26.33%439M
-6.98%337.2M
-26.79%301.1M
273.46%399.6M
273.46%399.6M
127.01%347.5M
86.06%362.5M
-Short term investments
-24.42%22.9M
-40.68%24.5M
-40.68%24.5M
-19.74%30.9M
-24.70%31.4M
-70.24%30.3M
17.00%41.3M
17.00%41.3M
12.93%38.5M
-10.19%41.7M
Receivables
-3.91%201.3M
-2.54%195.8M
-2.54%195.8M
-4.85%204.1M
-7.52%201.8M
-3.72%209.5M
13.76%200.9M
13.76%200.9M
33.23%214.5M
22.61%218.2M
-Accounts receivable
14.92%171.8M
19.71%165.2M
19.71%165.2M
0.33%150.5M
-4.35%149.5M
-13.73%149.5M
1.02%138M
1.02%138M
31.79%150M
15.58%156.3M
-Taxes receivable
-50.83%29.5M
-51.35%30.6M
-51.35%30.6M
-16.90%53.6M
-15.51%52.3M
35.44%60M
57.25%62.9M
57.25%62.9M
36.70%64.5M
44.84%61.9M
Inventory
-20.18%594.6M
-14.88%605.7M
-14.88%605.7M
15.51%810.2M
9.06%743.6M
10.26%744.9M
50.89%711.6M
50.89%711.6M
60.06%701.4M
56.61%681.8M
Prepaid assets
25.48%38.9M
6.40%31.6M
6.40%31.6M
-15.84%25.5M
-21.54%30.6M
-25.48%31M
170.00%29.7M
170.00%29.7M
--30.3M
--39M
Restricted cash
----
----
----
----
----
----
----
----
----
--5M
Hedging assets-current
81.48%4.9M
--0
--0
36.00%3.4M
-93.55%600K
-79.23%2.7M
137.93%6.9M
137.93%6.9M
-34.54%2.5M
34.69%9.3M
Holding assets for sale
----
----
----
----
----
----
----
----
--141.8M
--44.6M
Total current assets
33.59%1.76B
23.77%1.72B
23.77%1.72B
2.48%1.51B
-4.06%1.35B
-9.68%1.32B
72.80%1.39B
72.80%1.39B
85.03%1.48B
60.74%1.4B
Non current assets
Net PPE
-5.80%5.29B
-6.17%5.33B
-6.17%5.33B
-6.27%5.52B
-24.44%5.57B
-24.86%5.61B
154.90%5.68B
154.90%5.68B
165.61%5.89B
228.71%7.37B
-Gross PPE
-1.31%9.56B
-1.28%9.5B
-1.28%9.5B
0.89%9.87B
-11.69%9.76B
-13.32%9.68B
64.05%9.62B
64.05%9.62B
68.87%9.78B
92.66%11.05B
-Accumulated depreciation
-4.90%-4.27B
-5.75%-4.17B
-5.75%-4.17B
-11.73%-4.35B
-13.83%-4.19B
-9.98%-4.07B
-8.45%-3.94B
-8.45%-3.94B
-8.91%-3.89B
-5.34%-3.68B
Investments and advances
----
----
----
----
----
----
----
----
--0
--0
-Financial asset investment
----
----
----
----
----
----
----
----
----
--0
Non current accounts receivable
40.00%18.9M
-24.49%11.1M
-24.49%11.1M
-41.83%12.1M
-48.65%13.3M
-44.90%13.5M
72.94%14.7M
72.94%14.7M
138.45%20.8M
194.02%25.9M
Non current prepaid assets
119.72%15.6M
156.67%23.1M
156.67%23.1M
11.02%13.1M
-53.69%6.9M
--7.1M
--9M
--9M
--11.8M
--14.9M
Goodwill and other intangible assets
----
----
----
----
----
----
----
----
-53.26%2.8M
-47.49%2.8M
-Goodwill
----
----
----
----
----
----
----
----
-53.26%2.8M
-47.49%2.8M
Non current deferred assets
-59.05%33.5M
-44.65%44.5M
-44.65%44.5M
-15.76%55.6M
-5.48%65.5M
31.72%81.8M
43.83%80.4M
43.83%80.4M
14.96%66M
26.60%69.3M
Other non current assets
98.16%86.2M
79.04%78.6M
79.04%78.6M
-40.70%42.1M
-43.77%41.5M
-53.13%43.5M
36.76%43.9M
36.76%43.9M
165.49%71M
175.65%73.8M
Total non current assets
-5.51%5.44B
-5.85%5.48B
-5.85%5.48B
-6.91%5.64B
-24.62%5.7B
-24.72%5.76B
138.25%5.82B
138.25%5.82B
152.23%6.06B
208.42%7.56B
Total assets
1.77%7.21B
-0.14%7.2B
-0.14%7.2B
-5.07%7.15B
-21.40%7.04B
-22.31%7.08B
122.04%7.21B
122.04%7.21B
135.47%7.53B
169.66%8.96B
Liabilities
Current liabilities
Current debt and capital lease obligation
-5.98%47.2M
-9.54%47.4M
-9.54%47.4M
-2.76%52.9M
-19.75%51.2M
-29.89%50.2M
91.94%52.4M
91.94%52.4M
116.77%54.4M
204.88%63.8M
-Current debt
1.49%6.8M
1.49%6.8M
1.49%6.8M
-54.05%6.8M
-73.20%6.7M
-77.89%6.7M
-51.09%6.7M
-51.09%6.7M
49.57%14.8M
--25M
-Current capital lease obligation
-7.13%40.4M
-11.16%40.6M
-11.16%40.6M
16.41%46.1M
14.69%44.5M
5.33%43.5M
236.03%45.7M
236.03%45.7M
160.51%39.6M
186.24%38.8M
Payables
-5.97%420.2M
8.69%483.8M
8.69%483.8M
18.41%500.3M
1.02%444.1M
3.95%446.9M
66.58%445.1M
66.58%445.1M
58.37%422.5M
62.05%439.6M
-accounts payable
-11.28%165.2M
-1.92%194.4M
-1.92%194.4M
-8.93%174.3M
-4.72%193.6M
-8.09%186.2M
123.20%198.2M
123.20%198.2M
154.24%191.4M
212.24%203.2M
-Total tax payable
13.12%100.9M
82.51%132.5M
82.51%132.5M
112.81%161.1M
32.96%106.5M
16.91%89.2M
56.80%72.6M
56.80%72.6M
74.45%75.7M
81.76%80.1M
-Other payable
-10.15%154.1M
-9.98%156.9M
-9.98%156.9M
6.11%164.9M
-7.87%144M
13.58%171.5M
31.95%174.3M
31.95%174.3M
4.93%155.4M
-3.59%156.3M
Current accrued expenses
19.89%86.8M
26.71%107.7M
26.71%107.7M
22.66%116.4M
9.26%96.8M
-10.62%72.4M
27.63%85M
27.63%85M
41.86%94.9M
64.66%88.6M
Current provisions
-10.98%44.6M
-15.14%35.3M
-15.14%35.3M
112.89%61.1M
25.51%55.6M
-1.38%50.1M
132.40%41.6M
132.40%41.6M
135.03%28.7M
265.15%44.3M
Other current liabilities
-67.19%2.1M
12,700.00%12.8M
12,700.00%12.8M
-94.53%2.4M
-75.00%5.5M
540.00%6.4M
-94.44%100K
-94.44%100K
792.82%43.9M
8,879.59%22M
Current liabilities
-4.01%600.9M
10.06%687M
10.06%687M
13.76%733.1M
-0.77%653.2M
-1.31%626M
63.92%624.2M
63.92%624.2M
71.43%644.4M
83.69%658.3M
Non current liabilities
Long term debt and capital lease obligation
0.11%757.2M
0.89%755.9M
0.89%755.9M
1.01%762.3M
-29.23%758.3M
-32.19%756.4M
275.54%749.2M
275.54%749.2M
1,640.18%754.7M
2,433.28%1.07B
-Long term debt
0.74%703.4M
0.72%702M
0.72%702M
-0.60%700.7M
-31.02%699.5M
-34.00%698.2M
287.22%697M
287.22%697M
3,153.03%704.9M
4,246.52%1.01B
-Long term capital lease obligation
-7.56%53.8M
3.26%53.9M
3.26%53.9M
23.69%61.6M
2.26%58.8M
1.04%58.2M
167.69%52.2M
167.69%52.2M
129.49%49.8M
203.14%57.5M
Long term accounts payable and other payables
----
----
----
----
-44.59%12.8M
-40.83%12.9M
----
----
175,900.00%17.6M
177,592.31%23.1M
Long term provisions
5.04%429.6M
-1.23%427.1M
-1.23%427.1M
5.28%408.6M
-27.15%391M
-23.86%409M
51.56%432.4M
51.56%432.4M
66.76%388.1M
119.34%536.7M
Employee benefits
12.73%61.1M
-1.71%57.5M
-1.71%57.5M
14.74%61.5M
-2.70%57.6M
-8.91%54.2M
828.57%58.5M
828.57%58.5M
862.82%53.6M
980.49%59.2M
Non current deferred liabilities
-2.59%526.5M
-3.07%558.6M
-3.07%558.6M
-29.53%541.6M
-54.29%547.6M
-56.59%540.5M
229.31%576.3M
229.31%576.3M
329.47%768.5M
514.08%1.2B
Other non current liabilities
----
----
----
----
----
----
----
----
----
--6.3M
Total non current liabilities
0.08%1.77B
-0.95%1.8B
-0.95%1.8B
-10.52%1.77B
-38.95%1.77B
-40.61%1.77B
172.69%1.82B
172.69%1.82B
330.40%1.98B
493.72%2.89B
Total liabilities
-0.99%2.38B
1.86%2.49B
1.86%2.49B
-4.56%2.51B
-31.88%2.42B
-33.73%2.4B
133.13%2.44B
133.13%2.44B
214.03%2.63B
320.01%3.55B
Shareholders'equity
Share capital
-0.21%5.93B
-0.45%5.94B
-0.45%5.94B
-0.40%5.94B
-0.41%5.94B
-0.41%5.94B
90.02%5.97B
90.02%5.97B
90.04%5.96B
90.06%5.96B
-common stock
-0.21%5.93B
-0.45%5.94B
-0.45%5.94B
-0.40%5.94B
-0.41%5.94B
-0.41%5.94B
90.02%5.97B
90.02%5.97B
90.04%5.96B
90.06%5.96B
Retained earnings
11.98%-1.17B
-2.36%-1.3B
-2.36%-1.3B
-16.05%-1.37B
-23.89%-1.39B
-28.21%-1.33B
-22.68%-1.27B
-22.68%-1.27B
-40.50%-1.18B
-50.52%-1.12B
Gains losses not affecting retained earnings
-1.31%-30.9M
-1.98%-30.9M
-1.98%-30.9M
-11.36%-30.4M
-27.73%-30.4M
-57.22%-30.5M
-910.00%-30.3M
-910.00%-30.3M
16.27%-27.3M
-95.00%-23.8M
Other equity interest
0.74%94.9M
0.21%94.2M
0.21%94.2M
0.43%94.2M
0.64%94.2M
0.75%94.2M
0.75%94M
0.75%94M
0.61%93.8M
0.36%93.6M
Total stockholders'equity
3.16%4.82B
-1.20%4.7B
-1.20%4.7B
-4.46%4.63B
-6.09%4.61B
-6.57%4.67B
116.84%4.76B
116.84%4.76B
105.65%4.85B
98.58%4.91B
Noncontrolling interests
15.00%13.8M
11.02%13.1M
11.02%13.1M
-78.06%12.9M
-97.50%12.5M
-97.58%12M
93.44%11.8M
93.44%11.8M
980.29%58.8M
9,653.81%499.2M
Total equity
3.19%4.83B
-1.17%4.72B
-1.17%4.72B
-5.34%4.64B
-14.53%4.62B
-14.78%4.68B
116.77%4.77B
116.77%4.77B
107.66%4.91B
118.32%5.41B
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023
Assets
Current assets
Cash, cash equivalents and short term investments 178.52%923M101.25%887.3M101.25%887.3M21.74%469.9M-8.81%368.6M-35.41%331.4M209.84%440.9M209.84%440.9M106.23%386M67.54%404.2M
-Cash and cash equivalents 198.94%900.1M115.92%862.8M115.92%862.8M26.33%439M-6.98%337.2M-26.79%301.1M273.46%399.6M273.46%399.6M127.01%347.5M86.06%362.5M
-Short term investments -24.42%22.9M-40.68%24.5M-40.68%24.5M-19.74%30.9M-24.70%31.4M-70.24%30.3M17.00%41.3M17.00%41.3M12.93%38.5M-10.19%41.7M
Receivables -3.91%201.3M-2.54%195.8M-2.54%195.8M-4.85%204.1M-7.52%201.8M-3.72%209.5M13.76%200.9M13.76%200.9M33.23%214.5M22.61%218.2M
-Accounts receivable 14.92%171.8M19.71%165.2M19.71%165.2M0.33%150.5M-4.35%149.5M-13.73%149.5M1.02%138M1.02%138M31.79%150M15.58%156.3M
-Taxes receivable -50.83%29.5M-51.35%30.6M-51.35%30.6M-16.90%53.6M-15.51%52.3M35.44%60M57.25%62.9M57.25%62.9M36.70%64.5M44.84%61.9M
Inventory -20.18%594.6M-14.88%605.7M-14.88%605.7M15.51%810.2M9.06%743.6M10.26%744.9M50.89%711.6M50.89%711.6M60.06%701.4M56.61%681.8M
Prepaid assets 25.48%38.9M6.40%31.6M6.40%31.6M-15.84%25.5M-21.54%30.6M-25.48%31M170.00%29.7M170.00%29.7M--30.3M--39M
Restricted cash --------------------------------------5M
Hedging assets-current 81.48%4.9M--0--036.00%3.4M-93.55%600K-79.23%2.7M137.93%6.9M137.93%6.9M-34.54%2.5M34.69%9.3M
Holding assets for sale ----------------------------------141.8M--44.6M
Total current assets 33.59%1.76B23.77%1.72B23.77%1.72B2.48%1.51B-4.06%1.35B-9.68%1.32B72.80%1.39B72.80%1.39B85.03%1.48B60.74%1.4B
Non current assets
Net PPE -5.80%5.29B-6.17%5.33B-6.17%5.33B-6.27%5.52B-24.44%5.57B-24.86%5.61B154.90%5.68B154.90%5.68B165.61%5.89B228.71%7.37B
-Gross PPE -1.31%9.56B-1.28%9.5B-1.28%9.5B0.89%9.87B-11.69%9.76B-13.32%9.68B64.05%9.62B64.05%9.62B68.87%9.78B92.66%11.05B
-Accumulated depreciation -4.90%-4.27B-5.75%-4.17B-5.75%-4.17B-11.73%-4.35B-13.83%-4.19B-9.98%-4.07B-8.45%-3.94B-8.45%-3.94B-8.91%-3.89B-5.34%-3.68B
Investments and advances ----------------------------------0--0
-Financial asset investment --------------------------------------0
Non current accounts receivable 40.00%18.9M-24.49%11.1M-24.49%11.1M-41.83%12.1M-48.65%13.3M-44.90%13.5M72.94%14.7M72.94%14.7M138.45%20.8M194.02%25.9M
Non current prepaid assets 119.72%15.6M156.67%23.1M156.67%23.1M11.02%13.1M-53.69%6.9M--7.1M--9M--9M--11.8M--14.9M
Goodwill and other intangible assets ---------------------------------53.26%2.8M-47.49%2.8M
-Goodwill ---------------------------------53.26%2.8M-47.49%2.8M
Non current deferred assets -59.05%33.5M-44.65%44.5M-44.65%44.5M-15.76%55.6M-5.48%65.5M31.72%81.8M43.83%80.4M43.83%80.4M14.96%66M26.60%69.3M
Other non current assets 98.16%86.2M79.04%78.6M79.04%78.6M-40.70%42.1M-43.77%41.5M-53.13%43.5M36.76%43.9M36.76%43.9M165.49%71M175.65%73.8M
Total non current assets -5.51%5.44B-5.85%5.48B-5.85%5.48B-6.91%5.64B-24.62%5.7B-24.72%5.76B138.25%5.82B138.25%5.82B152.23%6.06B208.42%7.56B
Total assets 1.77%7.21B-0.14%7.2B-0.14%7.2B-5.07%7.15B-21.40%7.04B-22.31%7.08B122.04%7.21B122.04%7.21B135.47%7.53B169.66%8.96B
Liabilities
Current liabilities
Current debt and capital lease obligation -5.98%47.2M-9.54%47.4M-9.54%47.4M-2.76%52.9M-19.75%51.2M-29.89%50.2M91.94%52.4M91.94%52.4M116.77%54.4M204.88%63.8M
-Current debt 1.49%6.8M1.49%6.8M1.49%6.8M-54.05%6.8M-73.20%6.7M-77.89%6.7M-51.09%6.7M-51.09%6.7M49.57%14.8M--25M
-Current capital lease obligation -7.13%40.4M-11.16%40.6M-11.16%40.6M16.41%46.1M14.69%44.5M5.33%43.5M236.03%45.7M236.03%45.7M160.51%39.6M186.24%38.8M
Payables -5.97%420.2M8.69%483.8M8.69%483.8M18.41%500.3M1.02%444.1M3.95%446.9M66.58%445.1M66.58%445.1M58.37%422.5M62.05%439.6M
-accounts payable -11.28%165.2M-1.92%194.4M-1.92%194.4M-8.93%174.3M-4.72%193.6M-8.09%186.2M123.20%198.2M123.20%198.2M154.24%191.4M212.24%203.2M
-Total tax payable 13.12%100.9M82.51%132.5M82.51%132.5M112.81%161.1M32.96%106.5M16.91%89.2M56.80%72.6M56.80%72.6M74.45%75.7M81.76%80.1M
-Other payable -10.15%154.1M-9.98%156.9M-9.98%156.9M6.11%164.9M-7.87%144M13.58%171.5M31.95%174.3M31.95%174.3M4.93%155.4M-3.59%156.3M
Current accrued expenses 19.89%86.8M26.71%107.7M26.71%107.7M22.66%116.4M9.26%96.8M-10.62%72.4M27.63%85M27.63%85M41.86%94.9M64.66%88.6M
Current provisions -10.98%44.6M-15.14%35.3M-15.14%35.3M112.89%61.1M25.51%55.6M-1.38%50.1M132.40%41.6M132.40%41.6M135.03%28.7M265.15%44.3M
Other current liabilities -67.19%2.1M12,700.00%12.8M12,700.00%12.8M-94.53%2.4M-75.00%5.5M540.00%6.4M-94.44%100K-94.44%100K792.82%43.9M8,879.59%22M
Current liabilities -4.01%600.9M10.06%687M10.06%687M13.76%733.1M-0.77%653.2M-1.31%626M63.92%624.2M63.92%624.2M71.43%644.4M83.69%658.3M
Non current liabilities
Long term debt and capital lease obligation 0.11%757.2M0.89%755.9M0.89%755.9M1.01%762.3M-29.23%758.3M-32.19%756.4M275.54%749.2M275.54%749.2M1,640.18%754.7M2,433.28%1.07B
-Long term debt 0.74%703.4M0.72%702M0.72%702M-0.60%700.7M-31.02%699.5M-34.00%698.2M287.22%697M287.22%697M3,153.03%704.9M4,246.52%1.01B
-Long term capital lease obligation -7.56%53.8M3.26%53.9M3.26%53.9M23.69%61.6M2.26%58.8M1.04%58.2M167.69%52.2M167.69%52.2M129.49%49.8M203.14%57.5M
Long term accounts payable and other payables -----------------44.59%12.8M-40.83%12.9M--------175,900.00%17.6M177,592.31%23.1M
Long term provisions 5.04%429.6M-1.23%427.1M-1.23%427.1M5.28%408.6M-27.15%391M-23.86%409M51.56%432.4M51.56%432.4M66.76%388.1M119.34%536.7M
Employee benefits 12.73%61.1M-1.71%57.5M-1.71%57.5M14.74%61.5M-2.70%57.6M-8.91%54.2M828.57%58.5M828.57%58.5M862.82%53.6M980.49%59.2M
Non current deferred liabilities -2.59%526.5M-3.07%558.6M-3.07%558.6M-29.53%541.6M-54.29%547.6M-56.59%540.5M229.31%576.3M229.31%576.3M329.47%768.5M514.08%1.2B
Other non current liabilities --------------------------------------6.3M
Total non current liabilities 0.08%1.77B-0.95%1.8B-0.95%1.8B-10.52%1.77B-38.95%1.77B-40.61%1.77B172.69%1.82B172.69%1.82B330.40%1.98B493.72%2.89B
Total liabilities -0.99%2.38B1.86%2.49B1.86%2.49B-4.56%2.51B-31.88%2.42B-33.73%2.4B133.13%2.44B133.13%2.44B214.03%2.63B320.01%3.55B
Shareholders'equity
Share capital -0.21%5.93B-0.45%5.94B-0.45%5.94B-0.40%5.94B-0.41%5.94B-0.41%5.94B90.02%5.97B90.02%5.97B90.04%5.96B90.06%5.96B
-common stock -0.21%5.93B-0.45%5.94B-0.45%5.94B-0.40%5.94B-0.41%5.94B-0.41%5.94B90.02%5.97B90.02%5.97B90.04%5.96B90.06%5.96B
Retained earnings 11.98%-1.17B-2.36%-1.3B-2.36%-1.3B-16.05%-1.37B-23.89%-1.39B-28.21%-1.33B-22.68%-1.27B-22.68%-1.27B-40.50%-1.18B-50.52%-1.12B
Gains losses not affecting retained earnings -1.31%-30.9M-1.98%-30.9M-1.98%-30.9M-11.36%-30.4M-27.73%-30.4M-57.22%-30.5M-910.00%-30.3M-910.00%-30.3M16.27%-27.3M-95.00%-23.8M
Other equity interest 0.74%94.9M0.21%94.2M0.21%94.2M0.43%94.2M0.64%94.2M0.75%94.2M0.75%94M0.75%94M0.61%93.8M0.36%93.6M
Total stockholders'equity 3.16%4.82B-1.20%4.7B-1.20%4.7B-4.46%4.63B-6.09%4.61B-6.57%4.67B116.84%4.76B116.84%4.76B105.65%4.85B98.58%4.91B
Noncontrolling interests 15.00%13.8M11.02%13.1M11.02%13.1M-78.06%12.9M-97.50%12.5M-97.58%12M93.44%11.8M93.44%11.8M980.29%58.8M9,653.81%499.2M
Total equity 3.19%4.83B-1.17%4.72B-1.17%4.72B-5.34%4.64B-14.53%4.62B-14.78%4.68B116.77%4.77B116.77%4.77B107.66%4.91B118.32%5.41B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

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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