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AEPPZ American Electric Power Co Inc

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  • 47.120
  • 0.0000.00%
Close Aug 15 09:30 ET
0Market Cap0.00P/E (TTM)

American Electric Power Co Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
(Q1)Mar 31, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q3)Sep 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
-33.87%507.4M
-39.14%538.1M
11.72%696.9M
11.72%696.9M
-54.47%724.4M
43.58%767.3M
87.19%884.1M
5.11%623.8M
5.11%623.8M
157.17%1.59B
-Cash and cash equivalents
-47.00%304.9M
-49.16%343.5M
26.28%509.4M
26.28%509.4M
-61.96%522.2M
83.98%575.3M
147.29%675.6M
2.72%403.4M
2.72%403.4M
235.05%1.37B
-Short-term investments
5.47%202.5M
-6.67%194.6M
-14.93%187.5M
-14.93%187.5M
-7.42%202.2M
-13.40%192M
4.72%208.5M
9.76%220.4M
9.76%220.4M
4.50%218.4M
Receivables
5.35%2.58B
22.00%2.45B
29.40%2.67B
29.40%2.67B
12.08%2.55B
8.10%2.45B
-2.05%2B
1.73%2.06B
1.73%2.06B
23.03%2.28B
-Accounts receivable
6.50%990.8M
27.82%949.8M
50.02%1.08B
50.02%1.08B
26.30%885.6M
17.05%930.3M
-2.61%743.1M
17.49%720.9M
17.49%720.9M
16.77%701.2M
-Taxes receivable
96.52%191.8M
109.19%141.2M
-18.19%99.4M
-18.19%99.4M
-33.45%150.8M
-48.58%97.6M
-64.02%67.5M
-34.43%121.5M
-34.43%121.5M
--226.6M
-Other receivables
5.06%1.27B
12.49%1.17B
17.27%1.26B
17.27%1.26B
15.61%1.3B
13.41%1.21B
9.11%1.04B
1.94%1.07B
1.94%1.07B
1.85%1.12B
-Recievables adjustments allowances
-9.74%-58.6M
-6.62%-58M
-0.90%-56.1M
-0.90%-56.1M
-2.90%-53.2M
-6.16%-53.4M
8.72%-54.4M
21.80%-55.6M
21.80%-55.6M
18.45%-51.7M
Inventory
52.57%1.68B
50.72%1.46B
31.63%1.3B
31.63%1.3B
15.89%1.13B
-7.25%1.1B
-23.99%966.8M
-24.49%989.2M
-24.49%989.2M
-22.79%978.5M
Restricted cash
-0.22%45.8M
0.20%50M
-46.56%129M
-46.56%129M
-56.68%55.1M
-49.28%45.9M
-64.81%49.9M
124.35%241.4M
124.35%241.4M
17.56%127.2M
Other current assets
-2.68%1.57B
59.38%1.72B
87.38%1.46B
87.38%1.46B
228.79%1.45B
412.22%1.61B
324.62%1.08B
257.19%777.6M
257.19%777.6M
16.93%442.1M
Total current assets
-14.19%8.04B
-5.68%7.8B
20.61%9.42B
20.61%9.42B
61.10%9.32B
103.46%9.37B
94.16%8.27B
79.46%7.81B
79.46%7.81B
33.35%5.79B
Non current assets
Net PPE
8.62%75.32B
7.96%73.98B
8.03%71.93B
8.03%71.93B
4.39%70.43B
4.33%69.34B
4.59%68.52B
2.80%66.58B
2.80%66.58B
5.97%67.47B
-Gross PPE
8.72%99.05B
8.37%97.34B
8.07%94.44B
8.07%94.44B
3.78%92.73B
3.70%91.1B
3.92%89.82B
2.59%87.38B
2.59%87.38B
6.64%89.35B
-Accumulated depreciation
-9.06%-23.73B
-9.69%-23.36B
-8.20%-22.51B
-8.20%-22.51B
-1.90%-22.29B
-1.73%-21.76B
-1.82%-21.3B
-1.93%-20.81B
-1.93%-20.81B
-8.75%-21.88B
Goodwill and other intangible assets
0.00%52.5M
0.00%52.5M
0.00%52.5M
0.00%52.5M
0.00%52.5M
0.00%52.5M
0.00%52.5M
0.00%52.5M
0.00%52.5M
0.00%52.5M
-Goodwill
0.00%52.5M
0.00%52.5M
0.00%52.5M
0.00%52.5M
0.00%52.5M
0.00%52.5M
0.00%52.5M
0.00%52.5M
0.00%52.5M
0.00%52.5M
Investments and advances
6.87%4.04B
-6.77%3.92B
-14.31%3.79B
-14.31%3.79B
-13.97%3.6B
-10.36%3.78B
3.93%4.21B
11.51%4.42B
11.51%4.42B
11.44%4.19B
Financial assets
61.80%266.8M
22.01%318.2M
6.40%284.1M
6.40%284.1M
-4.49%265.8M
-31.66%164.9M
-1.51%260.8M
10.24%267M
10.24%267M
14.57%278.3M
Non current deferred assets
----
----
----
----
4.74%3.7B
7.11%3.99B
11.87%4.43B
----
----
13.47%3.53B
Other non current assets
--3.61B
--3.87B
-15.47%3.72B
-15.47%3.72B
----
----
----
--4.4B
--4.4B
----
Total non current assets
7.94%87.96B
6.32%86.72B
5.25%84.05B
5.25%84.05B
1.71%81.93B
2.18%81.49B
3.60%81.56B
4.52%79.86B
4.52%79.86B
8.34%80.55B
Total assets
5.66%96B
5.22%94.52B
6.62%93.47B
6.62%93.47B
5.69%91.25B
7.71%90.86B
8.25%89.83B
8.56%87.67B
8.56%87.67B
9.72%86.34B
Liabilities
Current liabilities
Payables
7.10%3.8B
21.69%3.87B
17.71%4.29B
17.71%4.29B
26.98%3.36B
22.99%3.55B
2.50%3.18B
14.28%3.64B
14.28%3.64B
1.59%2.64B
-accounts payable
10.72%2.43B
33.94%2.27B
27.18%2.61B
27.18%2.61B
40.27%2.24B
33.91%2.2B
-0.56%1.69B
20.17%2.05B
20.17%2.05B
-3.77%1.6B
-Total tax payable
1.21%1.37B
7.72%1.6B
5.45%1.67B
5.45%1.67B
6.72%1.12B
8.58%1.35B
6.25%1.49B
7.45%1.59B
7.45%1.59B
11.02%1.05B
Current accrued expenses
36.39%402.9M
29.90%440.5M
19.91%327.6M
19.91%327.6M
7.35%375.4M
7.81%295.4M
4.60%339.1M
2.09%273.2M
2.09%273.2M
5.65%349.7M
Current debt and capital lease obligation
56.66%7.36B
2.47%6.64B
27.88%6.22B
27.88%6.22B
-20.31%4.2B
-19.36%4.7B
19.64%6.48B
1.22%4.87B
1.22%4.87B
15.90%5.27B
-Current debt
57.33%7.25B
2.17%6.53B
28.12%6.11B
28.12%6.11B
-18.31%4.11B
-17.54%4.61B
23.37%6.39B
4.43%4.77B
4.43%4.77B
16.65%5.03B
-Current capital lease obligation
23.91%116.6M
22.53%116.4M
16.19%113.4M
16.19%113.4M
-62.08%91.7M
-61.23%94.1M
-60.52%95M
-59.55%97.6M
-59.55%97.6M
2.24%241.8M
Current deferred liabilities
-20.89%382.2M
9.49%390M
15.05%370M
15.05%370M
-6.17%375.5M
37.99%483.1M
7.61%356.2M
-4.17%321.6M
-4.17%321.6M
17.81%400.2M
Other current liabilities
-61.49%1.32B
-60.18%1.28B
1.10%3.36B
1.10%3.36B
173.12%3.53B
213.73%3.42B
207.51%3.21B
149.91%3.33B
149.91%3.33B
5.18%1.29B
Current liabilities
6.58%13.27B
-6.98%12.62B
17.23%14.57B
17.23%14.57B
18.91%11.84B
19.36%12.45B
32.76%13.57B
25.18%12.43B
25.18%12.43B
10.02%9.95B
Non current liabilities
Long term provisions
3.24%2.88B
4.64%2.88B
6.90%2.86B
6.90%2.86B
9.31%2.86B
8.28%2.79B
10.72%2.75B
8.38%2.68B
8.38%2.68B
6.69%2.61B
Long term debt and capital lease obligation
11.22%37.3B
17.05%36.78B
7.50%34.18B
7.50%34.18B
4.73%34.19B
7.38%33.53B
1.88%31.42B
7.32%31.79B
7.32%31.79B
13.16%32.64B
-Long term debt
11.46%36.76B
17.45%36.24B
7.43%33.63B
7.43%33.63B
4.96%33.65B
7.58%32.98B
2.12%30.86B
7.98%31.3B
7.98%31.3B
13.86%32.06B
-Long term capital lease obligation
-2.91%533.6M
-4.86%535.9M
12.03%552.1M
12.03%552.1M
-7.98%540M
-3.31%549.6M
-9.89%563.3M
-22.81%492.8M
-22.81%492.8M
-15.02%586.8M
Non current deferred liabilities
0.96%9.16B
1.02%8.99B
3.55%8.49B
3.55%8.49B
-1.44%9.18B
-0.40%9.07B
-2.04%8.9B
-8.55%8.2B
-8.55%8.2B
5.81%9.32B
Employee benefits
-14.38%248.9M
-21.82%246.5M
-21.65%257.3M
-21.65%257.3M
-13.13%279.9M
-14.53%290.7M
-8.18%315.3M
-2.38%328.4M
-2.38%328.4M
-8.75%322.2M
Derivative product liabilities
-11.76%275.3M
4.99%315.4M
49.93%345.3M
49.93%345.3M
94.49%388.2M
44.24%312M
10.04%300.4M
-1.07%230.3M
-1.07%230.3M
-14.11%199.6M
Preferred securities outside stock equity
1.73%64.7M
2.72%56.6M
6.00%45.9M
6.00%45.9M
0.00%73.3M
-2.00%63.6M
-0.36%55.1M
-4.20%43.3M
-4.20%43.3M
1.10%73.3M
Other non current liabilities
--568.2M
--573.1M
-0.37%599.1M
-0.37%599.1M
----
----
----
--601.3M
--601.3M
----
Total non current liabilities
8.31%58.61B
10.92%57.93B
4.22%54.78B
4.22%54.78B
1.94%54.9B
3.47%54.12B
1.32%52.22B
5.01%52.56B
5.01%52.56B
9.89%53.86B
Total liabilities
7.98%71.88B
7.23%70.55B
6.71%69.35B
6.71%69.35B
4.59%66.74B
6.12%66.56B
6.52%65.79B
8.35%64.99B
8.35%64.99B
9.91%63.81B
Shareholders'equity
Share capital
0.28%3.42B
0.21%3.42B
0.13%3.41B
0.13%3.41B
0.23%3.41B
0.87%3.41B
1.03%3.41B
1.47%3.41B
1.47%3.41B
1.40%3.4B
-common stock
0.28%3.42B
0.21%3.42B
0.13%3.41B
0.13%3.41B
0.23%3.41B
0.87%3.41B
1.03%3.41B
1.47%3.41B
1.47%3.41B
1.40%3.4B
Retained earnings
2.45%12.41B
2.74%12.31B
5.82%12.35B
5.82%12.35B
7.52%12.39B
9.10%12.11B
10.03%11.99B
9.16%11.67B
9.16%11.67B
8.49%11.52B
Paid-in capital
1.59%8.11B
1.38%8.07B
12.25%8.05B
12.25%8.05B
13.07%8B
17.41%7.98B
18.26%7.96B
8.86%7.17B
8.86%7.17B
8.49%7.08B
Gains losses not affecting retained earnings
-106.60%-36.4M
-115.82%-68.1M
-54.71%83.7M
-54.71%83.7M
72.88%474.9M
468.45%551.4M
1,498.05%430.6M
317.16%184.8M
317.16%184.8M
302.88%274.7M
Total stockholders'equity
-0.64%23.9B
-0.22%23.74B
6.51%23.89B
6.51%23.89B
8.98%24.28B
12.52%24.06B
13.44%23.79B
9.16%22.43B
9.16%22.43B
9.39%22.28B
Noncontrolling interests
-7.80%222.2M
-6.97%229.6M
-7.29%229M
-7.29%229M
-6.02%234.1M
-4.06%241M
-0.16%246.8M
10.47%247M
10.47%247M
-7.29%249.1M
Total equity
-0.71%24.12B
-0.29%23.97B
6.36%24.12B
6.36%24.12B
8.81%24.51B
12.33%24.3B
13.28%24.04B
9.17%22.68B
9.17%22.68B
9.17%22.53B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022(Q1)Mar 31, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q3)Sep 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments -33.87%507.4M-39.14%538.1M11.72%696.9M11.72%696.9M-54.47%724.4M43.58%767.3M87.19%884.1M5.11%623.8M5.11%623.8M157.17%1.59B
-Cash and cash equivalents -47.00%304.9M-49.16%343.5M26.28%509.4M26.28%509.4M-61.96%522.2M83.98%575.3M147.29%675.6M2.72%403.4M2.72%403.4M235.05%1.37B
-Short-term investments 5.47%202.5M-6.67%194.6M-14.93%187.5M-14.93%187.5M-7.42%202.2M-13.40%192M4.72%208.5M9.76%220.4M9.76%220.4M4.50%218.4M
Receivables 5.35%2.58B22.00%2.45B29.40%2.67B29.40%2.67B12.08%2.55B8.10%2.45B-2.05%2B1.73%2.06B1.73%2.06B23.03%2.28B
-Accounts receivable 6.50%990.8M27.82%949.8M50.02%1.08B50.02%1.08B26.30%885.6M17.05%930.3M-2.61%743.1M17.49%720.9M17.49%720.9M16.77%701.2M
-Taxes receivable 96.52%191.8M109.19%141.2M-18.19%99.4M-18.19%99.4M-33.45%150.8M-48.58%97.6M-64.02%67.5M-34.43%121.5M-34.43%121.5M--226.6M
-Other receivables 5.06%1.27B12.49%1.17B17.27%1.26B17.27%1.26B15.61%1.3B13.41%1.21B9.11%1.04B1.94%1.07B1.94%1.07B1.85%1.12B
-Recievables adjustments allowances -9.74%-58.6M-6.62%-58M-0.90%-56.1M-0.90%-56.1M-2.90%-53.2M-6.16%-53.4M8.72%-54.4M21.80%-55.6M21.80%-55.6M18.45%-51.7M
Inventory 52.57%1.68B50.72%1.46B31.63%1.3B31.63%1.3B15.89%1.13B-7.25%1.1B-23.99%966.8M-24.49%989.2M-24.49%989.2M-22.79%978.5M
Restricted cash -0.22%45.8M0.20%50M-46.56%129M-46.56%129M-56.68%55.1M-49.28%45.9M-64.81%49.9M124.35%241.4M124.35%241.4M17.56%127.2M
Other current assets -2.68%1.57B59.38%1.72B87.38%1.46B87.38%1.46B228.79%1.45B412.22%1.61B324.62%1.08B257.19%777.6M257.19%777.6M16.93%442.1M
Total current assets -14.19%8.04B-5.68%7.8B20.61%9.42B20.61%9.42B61.10%9.32B103.46%9.37B94.16%8.27B79.46%7.81B79.46%7.81B33.35%5.79B
Non current assets
Net PPE 8.62%75.32B7.96%73.98B8.03%71.93B8.03%71.93B4.39%70.43B4.33%69.34B4.59%68.52B2.80%66.58B2.80%66.58B5.97%67.47B
-Gross PPE 8.72%99.05B8.37%97.34B8.07%94.44B8.07%94.44B3.78%92.73B3.70%91.1B3.92%89.82B2.59%87.38B2.59%87.38B6.64%89.35B
-Accumulated depreciation -9.06%-23.73B-9.69%-23.36B-8.20%-22.51B-8.20%-22.51B-1.90%-22.29B-1.73%-21.76B-1.82%-21.3B-1.93%-20.81B-1.93%-20.81B-8.75%-21.88B
Goodwill and other intangible assets 0.00%52.5M0.00%52.5M0.00%52.5M0.00%52.5M0.00%52.5M0.00%52.5M0.00%52.5M0.00%52.5M0.00%52.5M0.00%52.5M
-Goodwill 0.00%52.5M0.00%52.5M0.00%52.5M0.00%52.5M0.00%52.5M0.00%52.5M0.00%52.5M0.00%52.5M0.00%52.5M0.00%52.5M
Investments and advances 6.87%4.04B-6.77%3.92B-14.31%3.79B-14.31%3.79B-13.97%3.6B-10.36%3.78B3.93%4.21B11.51%4.42B11.51%4.42B11.44%4.19B
Financial assets 61.80%266.8M22.01%318.2M6.40%284.1M6.40%284.1M-4.49%265.8M-31.66%164.9M-1.51%260.8M10.24%267M10.24%267M14.57%278.3M
Non current deferred assets ----------------4.74%3.7B7.11%3.99B11.87%4.43B--------13.47%3.53B
Other non current assets --3.61B--3.87B-15.47%3.72B-15.47%3.72B--------------4.4B--4.4B----
Total non current assets 7.94%87.96B6.32%86.72B5.25%84.05B5.25%84.05B1.71%81.93B2.18%81.49B3.60%81.56B4.52%79.86B4.52%79.86B8.34%80.55B
Total assets 5.66%96B5.22%94.52B6.62%93.47B6.62%93.47B5.69%91.25B7.71%90.86B8.25%89.83B8.56%87.67B8.56%87.67B9.72%86.34B
Liabilities
Current liabilities
Payables 7.10%3.8B21.69%3.87B17.71%4.29B17.71%4.29B26.98%3.36B22.99%3.55B2.50%3.18B14.28%3.64B14.28%3.64B1.59%2.64B
-accounts payable 10.72%2.43B33.94%2.27B27.18%2.61B27.18%2.61B40.27%2.24B33.91%2.2B-0.56%1.69B20.17%2.05B20.17%2.05B-3.77%1.6B
-Total tax payable 1.21%1.37B7.72%1.6B5.45%1.67B5.45%1.67B6.72%1.12B8.58%1.35B6.25%1.49B7.45%1.59B7.45%1.59B11.02%1.05B
Current accrued expenses 36.39%402.9M29.90%440.5M19.91%327.6M19.91%327.6M7.35%375.4M7.81%295.4M4.60%339.1M2.09%273.2M2.09%273.2M5.65%349.7M
Current debt and capital lease obligation 56.66%7.36B2.47%6.64B27.88%6.22B27.88%6.22B-20.31%4.2B-19.36%4.7B19.64%6.48B1.22%4.87B1.22%4.87B15.90%5.27B
-Current debt 57.33%7.25B2.17%6.53B28.12%6.11B28.12%6.11B-18.31%4.11B-17.54%4.61B23.37%6.39B4.43%4.77B4.43%4.77B16.65%5.03B
-Current capital lease obligation 23.91%116.6M22.53%116.4M16.19%113.4M16.19%113.4M-62.08%91.7M-61.23%94.1M-60.52%95M-59.55%97.6M-59.55%97.6M2.24%241.8M
Current deferred liabilities -20.89%382.2M9.49%390M15.05%370M15.05%370M-6.17%375.5M37.99%483.1M7.61%356.2M-4.17%321.6M-4.17%321.6M17.81%400.2M
Other current liabilities -61.49%1.32B-60.18%1.28B1.10%3.36B1.10%3.36B173.12%3.53B213.73%3.42B207.51%3.21B149.91%3.33B149.91%3.33B5.18%1.29B
Current liabilities 6.58%13.27B-6.98%12.62B17.23%14.57B17.23%14.57B18.91%11.84B19.36%12.45B32.76%13.57B25.18%12.43B25.18%12.43B10.02%9.95B
Non current liabilities
Long term provisions 3.24%2.88B4.64%2.88B6.90%2.86B6.90%2.86B9.31%2.86B8.28%2.79B10.72%2.75B8.38%2.68B8.38%2.68B6.69%2.61B
Long term debt and capital lease obligation 11.22%37.3B17.05%36.78B7.50%34.18B7.50%34.18B4.73%34.19B7.38%33.53B1.88%31.42B7.32%31.79B7.32%31.79B13.16%32.64B
-Long term debt 11.46%36.76B17.45%36.24B7.43%33.63B7.43%33.63B4.96%33.65B7.58%32.98B2.12%30.86B7.98%31.3B7.98%31.3B13.86%32.06B
-Long term capital lease obligation -2.91%533.6M-4.86%535.9M12.03%552.1M12.03%552.1M-7.98%540M-3.31%549.6M-9.89%563.3M-22.81%492.8M-22.81%492.8M-15.02%586.8M
Non current deferred liabilities 0.96%9.16B1.02%8.99B3.55%8.49B3.55%8.49B-1.44%9.18B-0.40%9.07B-2.04%8.9B-8.55%8.2B-8.55%8.2B5.81%9.32B
Employee benefits -14.38%248.9M-21.82%246.5M-21.65%257.3M-21.65%257.3M-13.13%279.9M-14.53%290.7M-8.18%315.3M-2.38%328.4M-2.38%328.4M-8.75%322.2M
Derivative product liabilities -11.76%275.3M4.99%315.4M49.93%345.3M49.93%345.3M94.49%388.2M44.24%312M10.04%300.4M-1.07%230.3M-1.07%230.3M-14.11%199.6M
Preferred securities outside stock equity 1.73%64.7M2.72%56.6M6.00%45.9M6.00%45.9M0.00%73.3M-2.00%63.6M-0.36%55.1M-4.20%43.3M-4.20%43.3M1.10%73.3M
Other non current liabilities --568.2M--573.1M-0.37%599.1M-0.37%599.1M--------------601.3M--601.3M----
Total non current liabilities 8.31%58.61B10.92%57.93B4.22%54.78B4.22%54.78B1.94%54.9B3.47%54.12B1.32%52.22B5.01%52.56B5.01%52.56B9.89%53.86B
Total liabilities 7.98%71.88B7.23%70.55B6.71%69.35B6.71%69.35B4.59%66.74B6.12%66.56B6.52%65.79B8.35%64.99B8.35%64.99B9.91%63.81B
Shareholders'equity
Share capital 0.28%3.42B0.21%3.42B0.13%3.41B0.13%3.41B0.23%3.41B0.87%3.41B1.03%3.41B1.47%3.41B1.47%3.41B1.40%3.4B
-common stock 0.28%3.42B0.21%3.42B0.13%3.41B0.13%3.41B0.23%3.41B0.87%3.41B1.03%3.41B1.47%3.41B1.47%3.41B1.40%3.4B
Retained earnings 2.45%12.41B2.74%12.31B5.82%12.35B5.82%12.35B7.52%12.39B9.10%12.11B10.03%11.99B9.16%11.67B9.16%11.67B8.49%11.52B
Paid-in capital 1.59%8.11B1.38%8.07B12.25%8.05B12.25%8.05B13.07%8B17.41%7.98B18.26%7.96B8.86%7.17B8.86%7.17B8.49%7.08B
Gains losses not affecting retained earnings -106.60%-36.4M-115.82%-68.1M-54.71%83.7M-54.71%83.7M72.88%474.9M468.45%551.4M1,498.05%430.6M317.16%184.8M317.16%184.8M302.88%274.7M
Total stockholders'equity -0.64%23.9B-0.22%23.74B6.51%23.89B6.51%23.89B8.98%24.28B12.52%24.06B13.44%23.79B9.16%22.43B9.16%22.43B9.39%22.28B
Noncontrolling interests -7.80%222.2M-6.97%229.6M-7.29%229M-7.29%229M-6.02%234.1M-4.06%241M-0.16%246.8M10.47%247M10.47%247M-7.29%249.1M
Total equity -0.71%24.12B-0.29%23.97B6.36%24.12B6.36%24.12B8.81%24.51B12.33%24.3B13.28%24.04B9.17%22.68B9.17%22.68B9.17%22.53B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

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