Berkshire Hathaway Inc. (BRK-B) vs Palantir Technologies Inc. (PLTR)

See how Berkshire Hathaway Inc. and Palantir Technologies Inc. differ across market data and performance, so you can decide which asset best fits your strategy.

$517.22
NYSE
Berkshire Hathaway Inc. is a publicly traded diversified holding company with major businesses and investments across insurance, freight rail, energy, manufacturing, retail, and financial assets. Its shares give investors exposure to the operating performance of its subsidiaries as well as the value of its large public-equity portfolio. The company's performance is influenced by insurance underwriting results, investment returns, economic activity, interest rates, capital allocation, and broader market conditions.
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$162.66
NasdaqGS
Palantir Technologies is an artificial intelligence, data analytics, and automated decision-making company that helps organizations improve efficiency through data-driven operations. It serves commercial customers through its Foundry platform and government clients through Gotham. Palantir works exclusively with organizations in Western-allied nations and maintains the right to decline engagements it views as contrary to Western values. Founded in 2003, the company became publicly traded in 2020.
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Key Metrics Comparison

Berkshire Hathaway Inc.BRK-B
Market Cap
$1.116T
Price
$517.22
24h Change
+0.80%
24h Volume
$3.48M
Employees
387,800
Shares Outstanding
N/A
Palantir Technologies Inc.PLTR
Market Cap
$389.947B
Price
$162.66
24h Change
+29.45%
24h Volume
$172.01M
Employees
4,395
Shares Outstanding
2,295,915,766

Category Performance

Visual comparison across key categories. Ring fill represents relative strength or share between the two assets.

Market Share

Share of combined market cap

Market Share
BRK-B
74.1%
PLTR
25.9%

Volume Share

Share of combined 24h volume

Volume Share
BRK-B
2.0%
PLTR
98.0%

24h Performance

Price change over last 24 hours

24h Performance
BRK-B
0.80%
PLTR
29.45%
Price Comparison
Berkshire Hathaway Inc.
Palantir Technologies Inc.