Exhibit 1.1
Execution Version
¥281,800,000,000
Berkshire Hathaway Inc.
¥155,400,000,000 1.031% Senior Notes due 2027
¥58,000,000,000 1.265% Senior Notes due 2029
¥23,300,000,000 1.465% Senior Notes due 2031
¥16,000,000,000 1.737% Senior Notes due 2034
¥11,800,000,000 2.373% Senior Notes due 2044
¥5,000,000,000 2.577% Senior Notes due 2052
¥12,300,000,000 2.625% Senior Notes due 2054
Underwriting Agreement
October 10, 2024
Merrill Lynch
International
2 King Edward Street
London, EC1A 1HQ
United Kingdom
Mizuho Securities USA LLC
1271 Avenue of the Americas
New York, New York 10020
Ladies and Gentlemen:
Berkshire Hathaway Inc.,
a Delaware corporation (the Issuer), proposes to issue and sell to Merrill Lynch International and Mizuho Securities USA LLC (each, an Underwriter and together, the Underwriters), (i) ¥155,400,000,000
aggregate principal amount of its 1.031% Senior Notes due 2027 (the 2027 Notes), (ii) ¥58,000,000,000 aggregate principal amount of its 1.265% Senior Notes due 2029 (the 2029 Notes), (iii) ¥23,300,000,000 aggregate
principal amount of its 1.465% Senior Notes due 2031 (the 2031 Notes), (iv) ¥16,000,000,000 aggregate principal amount of its 1.737% Senior Notes due 2034 (the 2034 Notes), (v) ¥11,800,000,000 aggregate principal
amount of its 2.373% Senior Notes due 2044 (the 2044 Notes), (vi) ¥5,000,000,000 aggregate principal amount of its 2.577% Senior Notes due 2052 (the 2052 Notes) and (vii) ¥12,300,000,000 aggregate principal amount of
its 2.625% Senior Notes due 2054 (the 2054 Notes and, together with the 2027 Notes, the 2029 Notes, the 2031 Notes, the 2034 Notes, the 2044 Notes and the 2052 Notes, the Securities). The Securities will be issued pursuant to
an Indenture dated as of January 28, 2022 (including the terms of the Securities to be established pursuant thereto, the Indenture) among the Issuer, Berkshire Hathaway Finance Corporation and The Bank of New York Mellon Trust
Company, N.A., as trustee (the Trustee). In connection with the issuance of the Securities, the Issuer will enter into a Paying Agency Agreement (the Agency Agreement), to be dated as of the Closing Date (as defined below)
between the Issuer and The Bank of New York Mellon, London Branch, as paying agent (the Paying Agent).