|Bid||37.70 x 1300|
|Ask||37.72 x 1300|
|Day's range||37.56 - 37.87|
|52-week range||29.31 - 50.11|
|Beta (5Y monthly)||1.39|
|PE ratio (TTM)||11.93|
|Earnings date||13 Jan 2023|
|Forward dividend & yield||0.88 (2.33%)|
|Ex-dividend date||01 Dec 2022|
|1y target est||41.31|
Regular readers will know that we love our dividends at Simply Wall St, which is why it's exciting to see Bank of...
In the latest trading session, Bank of America (BAC) closed at $37.70, marking a +0.24% move from the previous day.
Since becoming CEO of Berkshire Hathaway (NYSE: BRK.A)(NYSE: BRK.B) in 1965, Buffett has overseen the creation of more than $680 billion in shareholder value and delivered an aggregate return on his company's Class A shares (BRK.A) of better than 3,600,000%. While there is a long list of reasons for Buffett's success, one of the most overlooked catalysts is portfolio concentration. Despite having more than $345 billion invested in around four dozen securities, 93% of Warren Buffett's portfolio can be traced to just four sectors.