Secteur Berkshire Hathaway Inc. Wiener Boerse

Actions

BRKA

US0846701086

Conglomérats spécialisés dans les biens de consommation

Cours en clôture Wiener Boerse 10/07/2026 Varia. 5j. Varia. 1 janv.
650 000,00 EUR -0,61% Graphique intraday de Berkshire Hathaway Inc. -1,96% +2,04%
Principaux concurrents
Varia. Varia. 5j. Variation 1 mois Variation 3 mois Varia. 1 janv. Varia. 1an Varia. 3ans Varia. 5ans Varia. 10ans Capi.($)
0,00%-1,04%-1,30%-2,69%-4,88%-5,19%-3,82%+194,80% - 226 Md
-0,12%-2,95%+2,98%-3,25%-2,16%+17,29%+171,27%+262,24%+967,44% 133 Md
+2,52%+1,59%+1,40%+5,23%+0,27%+1,66%+56,92%-20,85%-11,26% 81,67 Md
-0,32%+0,12%+5,43%-0,31%+10,19%+5,35%+8,75%+18,53%+144,40% 78,33 Md
+2,19%-4,51%+8,14%-19,39%-0,31%+15,65%+504,07%+1 088,08%+724,29% 77,73 Md
+3,08%-3,08%+3,95%-1,62%+25,71%+87,94%+183,31%+280,34%+364,46% 70,68 Md
+0,07%-0,98%-49,43%-52,23%-42,89%-53,20%-45,95%-51,08%-6,44% 70,55 Md
+0,41%-2,17%+13,58%+32,88%+21,90%-5,84%-18,08% - - 24,01 Md
+0,85%-3,15%-2,62%-14,83%-9,94%+24,35%+23,16%-2,70%+6,89% 17,98 Md
+0,56%-1,99%-8,59%-8,74%-8,97%-13,81%-8,89%-18,71%+6,26% 18,05 Md
+1,52%+5,07%+1,18%+4,03%+11,49%+19,57%+7,02%+4,37%+109,17% 17,46 Md
+0,79%+5,39%+8,26%-4,79%+11,40%+47,44%+69,06%+120,04%+106,26% 15,97 Md
+0,43%-0,87%-8,08%-15,21%+7,94%-6,29%+0,74%+107,51%+58,68% 16,41 Md
-1,62%+1,36%+6,50%+9,56%-6,88%-9,80%+63,00%+46,60%+566,26% 15,71 Md
+1,32%-7,23%-3,83%-20,89%+31,29%+33,28%+297,42%+479,40%+386,70% 13,88 Md
+5,92%+28,90%+28,90%+28,90%+65,04%+125,74%+1 369,78%+1 050,89%+1 082,03% 12,27 Md
-0,61%-1,62%+2,32%-21,14%-27,61%+3,19%-28,15%+2,54%-31,69% 10,8 Md
+0,80%-0,24%-0,36%-1,41%+6,89%+8,64%+55,67%+56,29%+107,25% 9,96 Md
+1,20%+4,98%+6,75%+18,22%+37,87%+40,95%-22,87%-40,61%-48,37% 8,98 Md
Moyenne +1,00%-0,58%+0,80%-3,56%+6,65%+17,73%+141,18%+198,76%+266,61% 48,37 Md
Moyenne pondérée par Capi. +0,78%-1,69%-1,42%-6,20%+0,14%+9,51%+107,90%+227,07%+378,35%
Conglomérats spécialisés dans les biens de consommation
  1. Bourse
  2. Actions
  3. Action BRK.A
  4. Action BRKA
  5. Secteur Berkshire Hathaway Inc.