US Stock MarketDetailed Quotes

BCDRF BANCO SANTANDER SA

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  • 5.050
  • 0.0000.00%
15min DelayTrading May 1 16:00 ET
78.89BMarket Cap7.02P/E (TTM)

BANCO SANTANDER SA Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
Assets
Cash cash equivalents and federal funds sold
-4.36%293.16B
5.75%302.79B
5.75%302.79B
-2.01%341.91B
3.44%314.72B
4.48%306.53B
10.28%286.34B
10.28%286.34B
26.78%348.92B
50.98%304.25B
-Cash and cash equivalents
-4.36%293.16B
-0.13%246.9B
-0.13%246.9B
-2.01%341.91B
3.44%314.72B
4.48%306.53B
5.29%247.23B
5.29%247.23B
26.78%348.92B
50.98%304.25B
-Money market investments
----
42.92%55.9B
42.92%55.9B
----
----
----
57.43%39.11B
57.43%39.11B
----
----
Receivables
0.87%9.23B
15.47%10.62B
15.47%10.62B
17.00%9.62B
6.03%8.79B
27.01%9.15B
59.83%9.2B
59.83%9.2B
64.18%8.22B
67.33%8.29B
-Other receivables
0.87%9.23B
15.47%10.62B
15.47%10.62B
17.00%9.62B
6.03%8.79B
27.01%9.15B
59.83%9.2B
59.83%9.2B
64.18%8.22B
67.33%8.29B
Prepaid assets
----
-3.06%2.91B
-3.06%2.91B
----
----
----
15.06%3B
15.06%3B
----
----
Net loan
0.78%1.05T
0.11%1.06T
0.11%1.06T
-2.65%1.04T
0.71%1.05T
2.96%1.04T
6.79%1.06T
6.79%1.06T
11.39%1.07T
1.88%1.04T
-Gross loan
0.79%1.07T
0.12%1.09T
0.12%1.09T
-2.67%1.06T
0.66%1.07T
2.75%1.06T
6.61%1.09T
6.61%1.09T
11.14%1.09T
1.83%1.06T
-Allowance for loans and lease losses
1.04%22.84B
0.47%22.8B
0.47%22.8B
-3.50%23.24B
-1.30%23.15B
-5.90%22.61B
-1.23%22.69B
-1.23%22.69B
1.26%24.09B
-0.53%23.45B
Securities and investments
26.77%287.92B
26.10%264.09B
26.10%264.09B
25.92%256.04B
21.80%246.5B
15.46%227.12B
12.95%209.43B
12.95%209.43B
8.43%203.34B
6.42%202.39B
-Trading securities
52.98%91.79B
49.96%77.18B
49.96%77.18B
45.56%68.31B
32.12%69.17B
20.02%60B
23.05%51.47B
23.05%51.47B
3.32%46.93B
9.85%52.35B
-Available for sale securities
31.47%120.58B
23.04%165.4B
23.04%165.4B
43.89%109.74B
52.66%99.59B
57.61%91.71B
17.51%134.43B
17.51%134.43B
84.22%76.27B
80.13%65.24B
-Short term investments
0.20%75.55B
-8.62%21.51B
-8.62%21.51B
-2.69%78B
-8.32%77.74B
-14.82%75.4B
-19.41%23.54B
-19.41%23.54B
-20.41%80.15B
-20.23%84.8B
Long term equity investment
0.22%7.69B
0.41%7.65B
0.41%7.65B
0.18%7.82B
0.18%7.68B
-2.06%7.67B
1.20%7.62B
1.20%7.62B
1.57%7.81B
1.36%7.67B
Derivative assets
-8.61%64.12B
-14.70%60.84B
-14.70%60.84B
-16.89%74.23B
-4.41%70.43B
13.79%70.16B
19.94%71.32B
19.94%71.32B
41.67%89.31B
19.36%73.68B
Net PPE
0.98%33.26B
-0.36%32.93B
-0.36%32.93B
-3.35%33.4B
-1.50%33.12B
0.32%32.94B
2.17%33.04B
2.17%33.04B
9.64%34.55B
6.02%33.62B
-Gross PPE
0.98%33.26B
-0.37%51.55B
-0.37%51.55B
-3.35%33.4B
-1.50%33.12B
0.32%32.94B
3.57%51.74B
3.57%51.74B
9.64%34.55B
6.02%33.62B
-Accumulated depreciation
----
0.38%-18.62B
0.38%-18.62B
----
----
----
-6.14%-18.69B
-6.14%-18.69B
----
----
Assets held for sale
-9.41%2.99B
-12.71%3.01B
-12.71%3.01B
-16.57%3.09B
-17.84%3.15B
-17.50%3.3B
-15.55%3.45B
-15.55%3.45B
-13.53%3.71B
-24.46%3.84B
Goodwill and other intangible assets
5.46%19.91B
6.58%19.87B
6.58%19.87B
4.50%19.64B
6.43%19.53B
8.19%18.88B
12.43%18.65B
12.43%18.65B
15.65%18.79B
11.52%18.35B
-Goodwill
1.14%14.03B
2.01%14.02B
2.01%14.02B
-0.47%14.07B
1.79%14.13B
2.97%13.87B
8.09%13.74B
8.09%13.74B
11.81%14.14B
7.96%13.88B
-Other intangible assets
17.41%5.88B
19.37%5.85B
19.37%5.85B
19.61%5.56B
20.80%5.4B
25.88%5.01B
26.69%4.9B
26.69%4.9B
29.16%4.65B
24.22%4.47B
Defined pension benefit
-10.89%90M
-24.50%1.09B
-24.50%1.09B
-17.43%90M
-24.22%97M
-20.47%101M
-32.26%1.45B
-32.26%1.45B
-30.57%109M
-20.99%128M
Other assets
-2.79%11.3B
-15.78%5.8B
-15.78%5.8B
-11.94%10.81B
-14.79%10.38B
-10.73%11.62B
39.04%6.88B
39.04%6.88B
25.58%12.28B
11.05%12.18B
Total assets
2.89%1.8T
3.60%1.8T
3.60%1.8T
0.06%1.82T
3.35%1.78T
5.01%1.75T
8.70%1.73T
8.70%1.73T
15.05%1.82T
9.83%1.72T
Liabilities
Total deposits
3.58%1.02T
2.60%1.03T
2.60%1.03T
1.69%1.01T
3.53%993.86B
4.20%984.81B
10.42%1T
10.42%1T
10.19%996.35B
4.19%959.99B
Federal funds purchased and securities sold under agreement to repurchase
----
33.65%133.34B
33.65%133.34B
----
----
----
67.65%99.77B
67.65%99.77B
----
----
Payables
46.13%3.91B
2.49%12.16B
2.49%12.16B
25.53%4.18B
10.90%3.16B
-1.40%2.68B
19.78%11.86B
19.78%11.86B
46.76%3.33B
5.24%2.85B
-Accounts payable
----
9.88%3.32B
9.88%3.32B
----
----
----
26.04%3.03B
26.04%3.03B
----
----
-Total tax payable
46.13%3.91B
-0.05%8.83B
-0.05%8.83B
25.53%4.18B
10.90%3.16B
-1.40%2.68B
17.78%8.84B
17.78%8.84B
46.76%3.33B
5.24%2.85B
Current accrued expenses
----
8.18%9.14B
8.18%9.14B
----
----
----
19.21%8.45B
19.21%8.45B
----
----
Current debt and capital lease obligation
----
6,513.30%46.76B
6,513.30%46.76B
----
----
----
2.46%707M
2.46%707M
----
----
-Current debt
----
--46.17B
--46.17B
----
----
----
----
----
----
----
-Current capital lease obligation
----
-17.11%586M
-17.11%586M
----
----
----
2.46%707M
2.46%707M
----
----
Trading liabilities
28.00%97.95B
15.62%55.65B
15.62%55.65B
30.60%92.01B
19.65%87.38B
16.07%76.52B
52.61%48.13B
52.61%48.13B
38.59%70.45B
-17.34%73.03B
Long term provisions
-3.40%2.67B
-4.10%2.62B
-4.10%2.62B
-3.22%2.71B
-2.33%2.69B
-2.98%2.77B
-13.51%2.73B
-13.51%2.73B
-11.41%2.8B
-18.34%2.75B
Long term debt and capital lease obligation
10.39%316.56B
-6.39%264.22B
-6.39%264.22B
5.70%301.27B
11.86%291.55B
15.72%286.76B
13.66%282.25B
13.66%282.25B
16.68%285.03B
7.16%260.65B
-Long term debt
10.39%316.56B
-6.40%262.41B
-6.40%262.41B
5.70%301.27B
11.86%291.55B
15.72%286.76B
13.88%280.34B
13.88%280.34B
16.68%285.03B
7.16%260.65B
-Long term capital lease obligation
----
-5.27%1.81B
-5.27%1.81B
----
----
----
-11.59%1.92B
-11.59%1.92B
----
----
Non current deferred liabilities
-10.10%6.16B
-5.32%6.09B
-5.32%6.09B
-9.91%6.41B
-10.34%6.48B
-0.75%6.85B
-0.53%6.43B
-0.53%6.43B
13.83%7.11B
12.25%7.23B
Employee benefits
-4.75%2.95B
-7.09%3.11B
-7.09%3.11B
-12.51%3.03B
-12.60%3.14B
-24.82%3.1B
-24.51%3.34B
-24.51%3.34B
-25.35%3.46B
-26.02%3.6B
Derivative product liabilities
-15.52%61.07B
-21.22%58.3B
-21.22%58.3B
-21.88%73.25B
-5.36%72.24B
13.05%72.29B
24.84%74B
24.84%74B
52.94%93.77B
28.41%76.33B
Liabilities of discontinued operations
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Other liabilities
-14.26%183.6B
-24.79%72.95B
-24.79%72.95B
-14.25%217.96B
-8.79%217.94B
-5.77%214.14B
-39.62%96.98B
-39.62%96.98B
23.56%254.18B
66.99%238.95B
Total liabilities
2.73%1.69T
3.41%1.69T
3.41%1.69T
-0.15%1.71T
3.27%1.68T
5.32%1.65T
9.23%1.64T
9.23%1.64T
15.77%1.72T
10.35%1.63T
Shareholders'equity
Share capital
-3.82%7.91B
-3.63%8.09B
-3.63%8.09B
-3.63%8.09B
-3.63%8.09B
-5.11%8.23B
-3.15%8.4B
-3.15%8.4B
-3.15%8.4B
-3.15%8.4B
-common stock
-3.82%7.91B
-3.63%8.09B
-3.63%8.09B
-3.63%8.09B
-3.63%8.09B
-5.11%8.23B
-3.15%8.4B
-3.15%8.4B
-3.15%8.4B
-3.15%8.4B
Paid-in capital
-4.93%43.06B
-4.11%44.37B
-4.11%44.37B
-4.11%44.37B
-4.11%44.37B
-5.60%45.29B
-3.56%46.27B
-3.56%46.27B
-3.56%46.27B
-3.56%46.27B
Retained earnings
11.09%85.19B
11.64%85.19B
11.64%85.19B
11.13%82.26B
10.84%79.35B
8.00%76.69B
11.56%76.31B
11.56%76.31B
11.94%74.02B
11.94%71.59B
Less: Treasury stock
-31.65%434M
59.70%1.08B
59.70%1.08B
-48.15%28M
370.00%47M
-40.54%635M
-24.50%675M
-24.50%675M
86.21%54M
-89.58%10M
Gains losses not affecting retained earnings
-1.29%-40.39B
-0.02%-42.07B
-0.02%-42.07B
-7.65%-41.41B
-4.36%-39.2B
-7.75%-39.88B
-10.59%-42.06B
-10.59%-42.06B
-0.78%-38.47B
-4.51%-37.56B
Other equity interest
5.16%917M
6.03%915M
6.03%915M
5.95%908M
9.36%900M
7.13%872M
6.54%863M
6.54%863M
5.15%857M
2.11%823M
Total stockholders'equity
6.29%96.26B
7.09%95.42B
7.09%95.42B
3.48%94.2B
4.42%93.47B
0.19%90.56B
2.50%89.1B
2.50%89.1B
6.60%91.02B
4.85%89.51B
Non controlling interests
-1.77%8.77B
3.97%8.82B
3.97%8.82B
4.98%8.7B
7.85%8.58B
-0.68%8.93B
-16.22%8.48B
-16.22%8.48B
-19.03%8.29B
-23.36%7.95B
Total equity
5.56%105.03B
6.82%104.24B
6.82%104.24B
3.61%102.9B
4.70%102.04B
0.11%99.49B
0.55%97.59B
0.55%97.59B
3.86%99.31B
1.79%97.46B
Currency Unit
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
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
--
--
--
(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022
Assets
Cash cash equivalents and federal funds sold -4.36%293.16B5.75%302.79B5.75%302.79B-2.01%341.91B3.44%314.72B4.48%306.53B10.28%286.34B10.28%286.34B26.78%348.92B50.98%304.25B
-Cash and cash equivalents -4.36%293.16B-0.13%246.9B-0.13%246.9B-2.01%341.91B3.44%314.72B4.48%306.53B5.29%247.23B5.29%247.23B26.78%348.92B50.98%304.25B
-Money market investments ----42.92%55.9B42.92%55.9B------------57.43%39.11B57.43%39.11B--------
Receivables 0.87%9.23B15.47%10.62B15.47%10.62B17.00%9.62B6.03%8.79B27.01%9.15B59.83%9.2B59.83%9.2B64.18%8.22B67.33%8.29B
-Other receivables 0.87%9.23B15.47%10.62B15.47%10.62B17.00%9.62B6.03%8.79B27.01%9.15B59.83%9.2B59.83%9.2B64.18%8.22B67.33%8.29B
Prepaid assets -----3.06%2.91B-3.06%2.91B------------15.06%3B15.06%3B--------
Net loan 0.78%1.05T0.11%1.06T0.11%1.06T-2.65%1.04T0.71%1.05T2.96%1.04T6.79%1.06T6.79%1.06T11.39%1.07T1.88%1.04T
-Gross loan 0.79%1.07T0.12%1.09T0.12%1.09T-2.67%1.06T0.66%1.07T2.75%1.06T6.61%1.09T6.61%1.09T11.14%1.09T1.83%1.06T
-Allowance for loans and lease losses 1.04%22.84B0.47%22.8B0.47%22.8B-3.50%23.24B-1.30%23.15B-5.90%22.61B-1.23%22.69B-1.23%22.69B1.26%24.09B-0.53%23.45B
Securities and investments 26.77%287.92B26.10%264.09B26.10%264.09B25.92%256.04B21.80%246.5B15.46%227.12B12.95%209.43B12.95%209.43B8.43%203.34B6.42%202.39B
-Trading securities 52.98%91.79B49.96%77.18B49.96%77.18B45.56%68.31B32.12%69.17B20.02%60B23.05%51.47B23.05%51.47B3.32%46.93B9.85%52.35B
-Available for sale securities 31.47%120.58B23.04%165.4B23.04%165.4B43.89%109.74B52.66%99.59B57.61%91.71B17.51%134.43B17.51%134.43B84.22%76.27B80.13%65.24B
-Short term investments 0.20%75.55B-8.62%21.51B-8.62%21.51B-2.69%78B-8.32%77.74B-14.82%75.4B-19.41%23.54B-19.41%23.54B-20.41%80.15B-20.23%84.8B
Long term equity investment 0.22%7.69B0.41%7.65B0.41%7.65B0.18%7.82B0.18%7.68B-2.06%7.67B1.20%7.62B1.20%7.62B1.57%7.81B1.36%7.67B
Derivative assets -8.61%64.12B-14.70%60.84B-14.70%60.84B-16.89%74.23B-4.41%70.43B13.79%70.16B19.94%71.32B19.94%71.32B41.67%89.31B19.36%73.68B
Net PPE 0.98%33.26B-0.36%32.93B-0.36%32.93B-3.35%33.4B-1.50%33.12B0.32%32.94B2.17%33.04B2.17%33.04B9.64%34.55B6.02%33.62B
-Gross PPE 0.98%33.26B-0.37%51.55B-0.37%51.55B-3.35%33.4B-1.50%33.12B0.32%32.94B3.57%51.74B3.57%51.74B9.64%34.55B6.02%33.62B
-Accumulated depreciation ----0.38%-18.62B0.38%-18.62B-------------6.14%-18.69B-6.14%-18.69B--------
Assets held for sale -9.41%2.99B-12.71%3.01B-12.71%3.01B-16.57%3.09B-17.84%3.15B-17.50%3.3B-15.55%3.45B-15.55%3.45B-13.53%3.71B-24.46%3.84B
Goodwill and other intangible assets 5.46%19.91B6.58%19.87B6.58%19.87B4.50%19.64B6.43%19.53B8.19%18.88B12.43%18.65B12.43%18.65B15.65%18.79B11.52%18.35B
-Goodwill 1.14%14.03B2.01%14.02B2.01%14.02B-0.47%14.07B1.79%14.13B2.97%13.87B8.09%13.74B8.09%13.74B11.81%14.14B7.96%13.88B
-Other intangible assets 17.41%5.88B19.37%5.85B19.37%5.85B19.61%5.56B20.80%5.4B25.88%5.01B26.69%4.9B26.69%4.9B29.16%4.65B24.22%4.47B
Defined pension benefit -10.89%90M-24.50%1.09B-24.50%1.09B-17.43%90M-24.22%97M-20.47%101M-32.26%1.45B-32.26%1.45B-30.57%109M-20.99%128M
Other assets -2.79%11.3B-15.78%5.8B-15.78%5.8B-11.94%10.81B-14.79%10.38B-10.73%11.62B39.04%6.88B39.04%6.88B25.58%12.28B11.05%12.18B
Total assets 2.89%1.8T3.60%1.8T3.60%1.8T0.06%1.82T3.35%1.78T5.01%1.75T8.70%1.73T8.70%1.73T15.05%1.82T9.83%1.72T
Liabilities
Total deposits 3.58%1.02T2.60%1.03T2.60%1.03T1.69%1.01T3.53%993.86B4.20%984.81B10.42%1T10.42%1T10.19%996.35B4.19%959.99B
Federal funds purchased and securities sold under agreement to repurchase ----33.65%133.34B33.65%133.34B------------67.65%99.77B67.65%99.77B--------
Payables 46.13%3.91B2.49%12.16B2.49%12.16B25.53%4.18B10.90%3.16B-1.40%2.68B19.78%11.86B19.78%11.86B46.76%3.33B5.24%2.85B
-Accounts payable ----9.88%3.32B9.88%3.32B------------26.04%3.03B26.04%3.03B--------
-Total tax payable 46.13%3.91B-0.05%8.83B-0.05%8.83B25.53%4.18B10.90%3.16B-1.40%2.68B17.78%8.84B17.78%8.84B46.76%3.33B5.24%2.85B
Current accrued expenses ----8.18%9.14B8.18%9.14B------------19.21%8.45B19.21%8.45B--------
Current debt and capital lease obligation ----6,513.30%46.76B6,513.30%46.76B------------2.46%707M2.46%707M--------
-Current debt ------46.17B--46.17B----------------------------
-Current capital lease obligation -----17.11%586M-17.11%586M------------2.46%707M2.46%707M--------
Trading liabilities 28.00%97.95B15.62%55.65B15.62%55.65B30.60%92.01B19.65%87.38B16.07%76.52B52.61%48.13B52.61%48.13B38.59%70.45B-17.34%73.03B
Long term provisions -3.40%2.67B-4.10%2.62B-4.10%2.62B-3.22%2.71B-2.33%2.69B-2.98%2.77B-13.51%2.73B-13.51%2.73B-11.41%2.8B-18.34%2.75B
Long term debt and capital lease obligation 10.39%316.56B-6.39%264.22B-6.39%264.22B5.70%301.27B11.86%291.55B15.72%286.76B13.66%282.25B13.66%282.25B16.68%285.03B7.16%260.65B
-Long term debt 10.39%316.56B-6.40%262.41B-6.40%262.41B5.70%301.27B11.86%291.55B15.72%286.76B13.88%280.34B13.88%280.34B16.68%285.03B7.16%260.65B
-Long term capital lease obligation -----5.27%1.81B-5.27%1.81B-------------11.59%1.92B-11.59%1.92B--------
Non current deferred liabilities -10.10%6.16B-5.32%6.09B-5.32%6.09B-9.91%6.41B-10.34%6.48B-0.75%6.85B-0.53%6.43B-0.53%6.43B13.83%7.11B12.25%7.23B
Employee benefits -4.75%2.95B-7.09%3.11B-7.09%3.11B-12.51%3.03B-12.60%3.14B-24.82%3.1B-24.51%3.34B-24.51%3.34B-25.35%3.46B-26.02%3.6B
Derivative product liabilities -15.52%61.07B-21.22%58.3B-21.22%58.3B-21.88%73.25B-5.36%72.24B13.05%72.29B24.84%74B24.84%74B52.94%93.77B28.41%76.33B
Liabilities of discontinued operations --0--0--0--0--0--0--0--0--0--0
Other liabilities -14.26%183.6B-24.79%72.95B-24.79%72.95B-14.25%217.96B-8.79%217.94B-5.77%214.14B-39.62%96.98B-39.62%96.98B23.56%254.18B66.99%238.95B
Total liabilities 2.73%1.69T3.41%1.69T3.41%1.69T-0.15%1.71T3.27%1.68T5.32%1.65T9.23%1.64T9.23%1.64T15.77%1.72T10.35%1.63T
Shareholders'equity
Share capital -3.82%7.91B-3.63%8.09B-3.63%8.09B-3.63%8.09B-3.63%8.09B-5.11%8.23B-3.15%8.4B-3.15%8.4B-3.15%8.4B-3.15%8.4B
-common stock -3.82%7.91B-3.63%8.09B-3.63%8.09B-3.63%8.09B-3.63%8.09B-5.11%8.23B-3.15%8.4B-3.15%8.4B-3.15%8.4B-3.15%8.4B
Paid-in capital -4.93%43.06B-4.11%44.37B-4.11%44.37B-4.11%44.37B-4.11%44.37B-5.60%45.29B-3.56%46.27B-3.56%46.27B-3.56%46.27B-3.56%46.27B
Retained earnings 11.09%85.19B11.64%85.19B11.64%85.19B11.13%82.26B10.84%79.35B8.00%76.69B11.56%76.31B11.56%76.31B11.94%74.02B11.94%71.59B
Less: Treasury stock -31.65%434M59.70%1.08B59.70%1.08B-48.15%28M370.00%47M-40.54%635M-24.50%675M-24.50%675M86.21%54M-89.58%10M
Gains losses not affecting retained earnings -1.29%-40.39B-0.02%-42.07B-0.02%-42.07B-7.65%-41.41B-4.36%-39.2B-7.75%-39.88B-10.59%-42.06B-10.59%-42.06B-0.78%-38.47B-4.51%-37.56B
Other equity interest 5.16%917M6.03%915M6.03%915M5.95%908M9.36%900M7.13%872M6.54%863M6.54%863M5.15%857M2.11%823M
Total stockholders'equity 6.29%96.26B7.09%95.42B7.09%95.42B3.48%94.2B4.42%93.47B0.19%90.56B2.50%89.1B2.50%89.1B6.60%91.02B4.85%89.51B
Non controlling interests -1.77%8.77B3.97%8.82B3.97%8.82B4.98%8.7B7.85%8.58B-0.68%8.93B-16.22%8.48B-16.22%8.48B-19.03%8.29B-23.36%7.95B
Total equity 5.56%105.03B6.82%104.24B6.82%104.24B3.61%102.9B4.70%102.04B0.11%99.49B0.55%97.59B0.55%97.59B3.86%99.31B1.79%97.46B
Currency Unit EUREUREUREUREUREUREUREUREUREUR
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

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