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BRK.B.NYSE
Berkshire Hathaway
Financials · Diversified Financial Services

Warren Buffett's multinational conglomerate holding company with diverse investments in insurance, railroads, utilities, and manufacturing.

HQ: United StatesListed: United States

Historical AI Forecasts

Audit every published iPulse AI forecast batch and immutable historical research document for Berkshire Hathaway.

Berkshire Hathaway Inc. (BRK.B.NYSE) AI FORECASTS & ADVISOR ANALYSIS

Read and compare the 12 individual AI Advisor deep-dive reports, including their forecast paths, ratings, price targets, and reasoning.

Updated on 5 July 2026Deep analysis 5 July 2026

25 min readAudit All Past Forecasts
Ray Dalio AI advisor icon

Ray Dalio AI

The Strategist FrameworkAI Thinker

Model rating

Buy

5-Year Return Est.

+58.7%

BRK.B.NYSE does not currently pay dividends

1. Investment Thesis — Base Case

Berkshire Hathaway is fundamentally an 'All-Weather ' executing a textbook late-cycle transition. The base case projects steady, low-volatility appreciation as the firm monetizes the structurally higher interest rate environment via its immense cash pile and insurance . Over the next five years, the will definitively shift into contraction, punishing the heavily leveraged and overvalued segments of the market. Berkshire will endure a brief sympathetic drawdown but will vastly outperform on a relative basis.

  • The $380+ billion cash pile generates $15-$20 billion in baseline annual risk-free income.
  • A major market dislocation between 2027-2028 serves as the catalyst for deploying $100+ billion at trough multiples.
  • BHE quietly absorbs massive capital to solve the physical energy constraints of the AI boom, securing decades of regulated returns.
  • BNSF and manufacturing weather a brief cyclical recession but emerge with enhanced .
  • Implied of $1.5 to $1.7 trillion is highly realistic given the organic compounding of its operating businesses and the mathematical certainty of growth, making it a definitive risk-adjusted anchor for any portfolio.

Historical prices and published forecast

Historical prices and published forecastObserved prices and the selected advisor's published projection share a split-adjusted price basis. Prices after the forecast start are later observations, not information known at publication. Forecasts are uncertain. Values in USD.211.44373.53535.61697.69859.78Jun 2021Dec 2023Jun 2026Dec 2028Jul 2031Forecast starts
  • Observed price
  • Published advisor forecast
Observed prices and the selected advisor's published projection share a split-adjusted price basis. Prices after the forecast start are later observations, not information known at publication. Forecasts are uncertain. Values in USD.
View chart values
Historical prices and published forecast — published chart values
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Observed price2021-06-28277
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2. Scenarios & Signals

Bull case

The bull case emerges if the base case converges with a and a generational acquisition. A swift, sharp market dislocation allows Berkshire to deploy $150 billion into high-yield energy and industrial assets without enduring a prolonged macro depression.

  • yields remain elevated at 4-5% while operating earnings from a new megadeal kick in immediately.
  • BHE becomes the indispensable national partner for power infrastructure.
  • The transition to new leadership is seamless, preserving the conglomerate structure.
  • Price-to-book expands toward 1.6x-1.7x as structurally shifts upward.

Bear case

The bear case materializes if an ugly coincides with severe localized catastrophes. An inflationary depression crushes BNSF volumes and consumer , while a cluster of extreme climate events decimates the insurance capital.

  • Persistently high inflation breaks consumer demand, neutralizing .
  • Post-Buffett transition exposes governance fissures or triggers activists pushing to break up the conglomerate.
  • The cash pile yields less in real terms if outpaces nominal yields.
  • stagnates, forcing the multiple to compress toward 1.2x.

Current crowd narrative

The crowd views Berkshire Hathaway as a safe but unexciting defensive proxy, an anachronism in the AI-dominated era. The media fixates on the record $380 billion cash pile as evidence that the firm has lost its edge or grown too large to maneuver, viewing the 14 consecutive quarters of equity selling as stubborn boomer pessimism rather than a calculated cycle-timing maneuver. It is priced as a stable bond alternative with succession risk, not as a coiled spring.

Alpha-gap assessment

The market profoundly misprices the option value of Berkshire's liquidity in a regime transition. Investors treat the $380 billion cash pile as a drag on return-on-equity, anchoring to the zero-interest-rate decade where holding cash was punitive. In the current Warsh-led, structurally inflationary environment with acute Treasury liquidity stress, this cash is not neutral; it is a high-yielding, synthetic short on the AI hardware bubble and a long option on imminent systemic distress. The gap lies in valuing Berkshire based on its peak-cycle trailing equity portfolio rather than its trough-cycle deployment capacity.

Convergence catalyst

A broad equity market correction triggered by ROI failures or an acute Treasury market liquidity event. When high-beta growth severely contracts and credit freezes, Berkshire will execute a massive, highly , abruptly pivoting the narrative from 'cash drag' to 'masterful cycle timing.'

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