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Notes payable and other borrowings (Tables)
9 Months Ended
Sep. 30, 2013
Insurance and Other [Member]
 
Schedule of short and long term outstanding debt disclosure

Notes payable and other borrowings are summarized below (in millions). The weighted average interest rates and maturity date ranges shown in the following tables are based on borrowings as of September 30, 2013.

 

    Weighted
Average
Interest Rate
    September 30,
2013
    December 31,
2012
 

Insurance and other:

     

Issued by Berkshire parent company due 2013-2047

    2.7     $ 8,305        $ 8,323   

Short-term subsidiary borrowings

    0.3     1,063        1,416   

Other subsidiary borrowings due 2013-2035

    5.9     3,655        3,796   
   

 

 

   

 

 

 
      $ 13,023        $ 13,535   
   

 

 

   

 

 

 
Railroad, Utilities and Energy [Member]
 
Schedule of short and long term outstanding debt disclosure
  Weighted
Average
Interest Rate
    September 30,
2013
    December 31,
2012
 

Railroad, utilities and energy:

     

Issued by MidAmerican Energy Holdings Company (“MidAmerican”) and its subsidiaries:

     

MidAmerican senior unsecured debt due 2014-2037

    6.3     $ 4,621        $ 4,621   

Subsidiary and other debt due 2013-2043

    5.0     18,329        17,002   

Issued by BNSF due 2013-2097

    5.3     17,066        14,533   
   

 

 

   

 

 

 
      $ 40,016        $ 36,156   
Finance and Financial Products [Member]
 
Schedule of short and long term outstanding debt disclosure
  Weighted
Average
Interest Rate
    September 30,
2013
    December 31,
2012
 

Finance and financial products:

     

Issued by Berkshire Hathaway Finance Corporation (“BHFC”) due 2013-2043

    3.5     $ 11,182        $ 11,186   

Issued by other subsidiaries due 2013-2036

    4.7     1,528        1,859   
   

 

 

   

 

 

 
      $ 12,710        $ 13,045