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BUD Anheuser-Busch Inbev

Watchlist
  • 59.940
  • -0.320-0.53%
Close Apr 25 16:00 ET
  • 60.440
  • +0.500+0.83%
Post 19:35 ET
118.31BMarket Cap23.05P/E (TTM)

Anheuser-Busch Inbev Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q2)Jun 30, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q2)Jun 30, 2021
(FY)Dec 31, 2020
(Q4)Dec 31, 2020
Assets
Current assets
Cash, cash equivalents and short term investments
3.27%10.4B
3.27%10.4B
-19.25%10.07B
-19.25%10.07B
4.04%7.36B
-20.30%12.47B
-20.30%12.47B
-71.84%7.08B
113.48%15.65B
113.48%15.65B
-Cash and cash equivalents
3.60%10.33B
3.60%10.33B
-17.56%9.97B
-17.56%9.97B
3.51%7.03B
-20.69%12.1B
-20.69%12.1B
-72.86%6.79B
110.72%15.25B
110.72%15.25B
-Short-term investments
-30.93%67M
-30.93%67M
-74.06%97M
-74.06%97M
16.78%334M
-5.56%374M
-5.56%374M
180.39%286M
330.43%396M
330.43%396M
Receivables
11.13%6.37B
11.13%6.37B
12.94%5.73B
12.94%5.73B
4.72%5.84B
-1.11%5.08B
-1.11%5.08B
-1.59%5.57B
-17.86%5.13B
-17.86%5.13B
-Accounts receivable
19.52%4.35B
19.52%4.35B
4.96%3.64B
4.96%3.64B
2.53%4.01B
5.51%3.47B
5.51%3.47B
12.78%3.91B
-18.83%3.28B
-18.83%3.28B
-Loans receivable
-1.41%70M
-1.41%70M
-28.28%71M
-28.28%71M
-3.19%91M
-15.38%99M
-15.38%99M
-10.48%94M
-1.68%117M
-1.68%117M
-Accrued interest receivable
-32.84%45M
-32.84%45M
272.22%67M
272.22%67M
190.00%29M
350.00%18M
350.00%18M
66.67%10M
-80.95%4M
-80.95%4M
-Taxes receivable
3.50%1.3B
3.50%1.3B
29.06%1.26B
29.06%1.26B
6.20%1.11B
-19.30%974M
-19.30%974M
-26.28%1.05B
-16.64%1.21B
-16.64%1.21B
-Other receivables
-13.25%609M
-13.25%609M
34.74%702M
34.74%702M
16.24%594M
-0.19%521M
-0.19%521M
-22.93%511M
-15.26%522M
-15.26%522M
Inventory
-16.28%5.46B
-16.28%5.46B
23.49%6.53B
23.49%6.53B
14.04%6.11B
20.34%5.28B
20.34%5.28B
25.56%5.36B
1.60%4.39B
1.60%4.39B
Prepaid assets
19.52%594M
19.52%594M
6.88%497M
6.88%497M
20.04%539M
4.26%465M
4.26%465M
-9.29%449M
-33.23%446M
-33.23%446M
Other current assets
----
----
-200.00%-1M
-200.00%-1M
-300.00%-2M
200.00%1M
200.00%1M
--1M
-200.00%-1M
-200.00%-1M
Total current assets
0.78%23.37B
0.78%23.37B
-3.19%23.19B
-3.19%23.19B
6.25%20.72B
-9.69%23.95B
-9.69%23.95B
-46.15%19.5B
-7.96%26.52B
-7.96%26.52B
Non current assets
Net PPE
0.55%26.82B
0.55%26.82B
-0.02%26.67B
-0.02%26.67B
-1.11%26.32B
0.98%26.68B
0.98%26.68B
7.69%26.62B
-4.08%26.42B
-4.08%26.42B
-Gross PPE
4.67%57.25B
4.67%57.25B
3.27%54.7B
3.27%54.7B
1.57%53.6B
3.40%52.96B
3.40%52.96B
11.60%52.77B
0.86%51.22B
0.86%51.22B
-Accumulated depreciation
-8.59%-30.43B
-8.59%-30.43B
-6.62%-28.02B
-6.62%-28.02B
-4.29%-27.28B
-5.98%-26.28B
-5.98%-26.28B
-15.88%-26.16B
-6.71%-24.8B
-6.71%-24.8B
Goodwill and other intangible assets
3.33%158.33B
3.33%158.33B
-1.92%153.22B
-1.92%153.22B
-2.76%155.81B
-3.86%156.23B
-3.86%156.23B
3.29%160.24B
-4.73%162.5B
-4.73%162.5B
-Goodwill
3.57%117.04B
3.57%117.04B
-2.41%113.01B
-2.41%113.01B
-3.17%115.39B
-4.28%115.8B
-4.28%115.8B
3.55%119.17B
-5.58%120.97B
-5.58%120.97B
-Other intangible assets
2.68%41.29B
2.68%41.29B
-0.54%40.21B
-0.54%40.21B
-1.59%40.42B
-2.64%40.43B
-2.64%40.43B
2.55%41.07B
-2.18%41.53B
-2.18%41.53B
Investments and advances
4.53%5.05B
4.53%5.05B
-19.95%4.83B
-19.95%4.83B
-23.66%4.7B
-3.90%6.04B
-3.90%6.04B
4.27%6.15B
5.18%6.28B
5.18%6.28B
Long-term notes receivables
-80.00%2M
-80.00%2M
-41.18%10M
-41.18%10M
-30.00%14M
-32.00%17M
-32.00%17M
--20M
-56.90%25M
-56.90%25M
Non current accounts receivable
6.16%2.62B
6.16%2.62B
-2.57%2.47B
-2.57%2.47B
-12.67%2.28B
9.04%2.53B
9.04%2.53B
114.80%2.61B
44.22%2.32B
44.22%2.32B
Financial assets
-26.67%44M
-26.67%44M
25.00%60M
25.00%60M
209.30%133M
-65.22%48M
-65.22%48M
-85.52%43M
4.55%138M
4.55%138M
Non current deferred assets
27.61%2.94B
27.61%2.94B
16.81%2.3B
16.81%2.3B
6.33%2.23B
-2.48%1.97B
-2.48%1.97B
7.25%2.1B
17.45%2.02B
17.45%2.02B
Defined pension benefit
9.09%12M
9.09%12M
120.00%11M
120.00%11M
-28.57%5M
-16.67%5M
-16.67%5M
-50.00%7M
-57.14%6M
-57.14%6M
Other non current assets
-12.30%164M
-12.30%164M
10.65%187M
10.65%187M
-2.21%177M
-8.15%169M
-8.15%169M
18,200.00%181M
-16.36%184M
-16.36%184M
Total non current assets
3.28%195.97B
3.28%195.97B
-2.02%189.76B
-2.02%189.76B
-3.18%191.68B
-3.11%193.68B
-3.11%193.68B
4.62%197.97B
-3.82%199.89B
-3.82%199.89B
Total assets
3.00%219.34B
3.00%219.34B
-2.15%212.94B
-2.15%212.94B
-2.33%212.4B
-3.88%217.63B
-3.88%217.63B
-3.54%217.48B
-4.33%226.41B
-4.33%226.41B
Liabilities
Current liabilities
Payables
-1.26%25.72B
-1.26%25.72B
3.87%26.05B
3.87%26.05B
0.48%23.83B
13.72%25.08B
13.72%25.08B
32.05%23.71B
-1.08%22.05B
-1.08%22.05B
-accounts payable
-4.63%17.73B
-4.63%17.73B
4.37%18.59B
4.37%18.59B
0.07%22.75B
12.03%17.81B
12.03%17.81B
86.21%22.73B
0.14%15.9B
0.14%15.9B
-Total tax payable
12.51%4.73B
12.51%4.73B
10.95%4.21B
10.95%4.21B
9.88%1.08B
3.44%3.79B
3.44%3.79B
-72.23%982M
-9.60%3.67B
-9.60%3.67B
-Dividends payable
5.62%376M
5.62%376M
0.28%356M
0.28%356M
----
-16.86%355M
-16.86%355M
----
26.33%427M
26.33%427M
-Other payable
-0.52%2.88B
-0.52%2.88B
-7.21%2.89B
-7.21%2.89B
----
51.48%3.12B
51.48%3.12B
----
1.88%2.06B
1.88%2.06B
Current accrued expenses
-1.47%1.41B
-1.47%1.41B
-4.86%1.43B
-4.86%1.43B
----
-7.63%1.5B
-7.63%1.5B
----
-3.22%1.63B
-3.22%1.63B
Current provisions
52.84%269M
52.84%269M
4.14%176M
4.14%176M
-15.54%163M
-22.83%169M
-22.83%169M
-9.81%193M
4.29%219M
4.29%219M
Current debt and capital lease obligation
260.40%4B
260.40%4B
-23.96%1.11B
-23.96%1.11B
1.70%1.32B
-52.66%1.46B
-52.66%1.46B
-80.52%1.29B
-43.66%3.09B
-43.66%3.09B
-Current debt
467.18%3.3B
467.18%3.3B
-42.60%582M
-42.60%582M
0.12%846M
-62.29%1.01B
-62.29%1.01B
-86.56%845M
-47.73%2.69B
-47.73%2.69B
-Current capital lease obligation
32.89%703M
32.89%703M
18.34%529M
18.34%529M
4.69%469M
12.59%447M
12.59%447M
27.27%448M
19.22%397M
19.22%397M
Current deferred liabilities
40.89%441M
40.89%441M
63.87%313M
63.87%313M
----
-41.77%191M
-41.77%191M
----
35.54%328M
35.54%328M
Other current liabilities
0.17%5.32B
0.17%5.32B
-8.24%5.31B
-8.24%5.31B
14.65%5.59B
14.71%5.79B
14.71%5.79B
10.67%4.87B
2.04%5.05B
2.04%5.05B
Current liabilities
8.07%37.16B
8.07%37.16B
0.58%34.38B
0.58%34.38B
2.73%30.89B
5.66%34.18B
5.66%34.18B
-3.06%30.07B
-7.14%32.35B
-7.14%32.35B
Non current liabilities
Long term provisions
-19.19%320M
-19.19%320M
-9.17%396M
-9.17%396M
2.05%447M
-19.85%436M
-19.85%436M
-21.65%438M
-22.40%544M
-22.40%544M
Long term debt and capital lease obligation
-5.98%74.16B
-5.98%74.16B
-9.72%78.88B
-9.72%78.88B
-8.09%82.12B
-8.49%87.37B
-8.49%87.37B
-15.74%89.34B
-2.14%95.48B
-2.14%95.48B
-Long term debt
-6.34%72.04B
-6.34%72.04B
-10.08%76.92B
-10.08%76.92B
-8.18%80.26B
-8.65%85.54B
-8.65%85.54B
-16.23%87.41B
-2.33%93.64B
-2.33%93.64B
-Long term capital lease obligation
8.30%2.13B
8.30%2.13B
7.27%1.96B
7.27%1.96B
-3.88%1.86B
-0.38%1.83B
-0.38%1.83B
14.51%1.93B
8.57%1.84B
8.57%1.84B
Non current deferred liabilities
-0.81%12.18B
-0.81%12.18B
-4.54%12.28B
-4.54%12.28B
-3.70%12.07B
-6.15%12.87B
-6.15%12.87B
-5.46%12.53B
-3.74%13.71B
-3.74%13.71B
Employee benefits
9.06%1.67B
9.06%1.67B
-32.15%1.53B
-32.15%1.53B
-25.81%2.14B
-23.87%2.26B
-23.87%2.26B
10.61%2.89B
4.28%2.97B
4.28%2.97B
Derivative product liabilities
-17.93%151M
-17.93%151M
84.00%184M
84.00%184M
-58.37%266M
-94.31%100M
-94.31%100M
-74.02%639M
399.72%1.76B
399.72%1.76B
Other non current liabilities
---1M
---1M
----
----
0.00%1M
----
----
0.00%1M
-300.00%-2M
-300.00%-2M
Total non current liabilities
-5.06%89.51B
-5.06%89.51B
-9.43%94.28B
-9.43%94.28B
-8.43%98.76B
-10.03%104.1B
-10.03%104.1B
-14.47%107.84B
-1.32%115.71B
-1.32%115.71B
Total liabilities
-1.56%126.66B
-1.56%126.66B
-6.96%128.67B
-6.96%128.67B
-5.99%129.65B
-6.60%138.29B
-6.60%138.29B
-12.21%137.91B
-2.65%148.06B
-2.65%148.06B
Shareholders'equity
Share capital
0.00%1.74B
0.00%1.74B
0.00%1.74B
0.00%1.74B
0.00%1.74B
0.00%1.74B
0.00%1.74B
0.00%1.74B
0.00%1.74B
0.00%1.74B
-common stock
0.00%1.74B
0.00%1.74B
0.00%1.74B
0.00%1.74B
0.00%1.74B
0.00%1.74B
0.00%1.74B
0.00%1.74B
0.00%1.74B
0.00%1.74B
Retained earnings
8.74%42.22B
8.74%42.22B
14.58%38.82B
14.58%38.82B
9.00%34.44B
9.76%33.88B
9.76%33.88B
14.44%31.59B
-1.95%30.87B
-1.95%30.87B
Paid-in capital
0.00%17.62B
0.00%17.62B
0.00%17.62B
0.00%17.62B
0.00%17.62B
0.00%17.62B
0.00%17.62B
0.00%17.62B
0.00%17.62B
0.00%17.62B
Less: Treasury stock
-6.50%3.47B
-6.50%3.47B
--3.71B
--3.71B
----
----
----
----
----
----
Gains losses not affecting retained earnings
25.45%23.74B
25.45%23.74B
22.64%18.92B
22.64%18.92B
0.63%17.76B
-13.30%15.43B
-13.30%15.43B
34.68%17.65B
-28.47%17.8B
-28.47%17.8B
Other equity interest
0.00%1M
0.00%1M
--1M
--1M
---1M
----
----
----
----
----
Total stockholders'equity
11.51%81.85B
11.51%81.85B
6.89%73.4B
6.89%73.4B
4.31%71.55B
0.95%68.67B
0.95%68.67B
14.20%68.6B
-10.17%68.02B
-10.17%68.02B
Noncontrolling interests
-0.48%10.83B
-0.48%10.83B
1.96%10.88B
1.96%10.88B
2.14%11.2B
3.33%10.67B
3.33%10.67B
32.40%10.97B
16.94%10.33B
16.94%10.33B
Total equity
9.96%92.68B
9.96%92.68B
6.22%84.28B
6.22%84.28B
4.01%82.75B
1.26%79.34B
1.26%79.34B
16.41%79.56B
-7.34%78.35B
-7.34%78.35B
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
--
--
Unqualified Opinion
--
--
Unqualified Opinion
--
(FY)Dec 31, 2023(Q4)Dec 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q2)Jun 30, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q2)Jun 30, 2021(FY)Dec 31, 2020(Q4)Dec 31, 2020
Assets
Current assets
Cash, cash equivalents and short term investments 3.27%10.4B3.27%10.4B-19.25%10.07B-19.25%10.07B4.04%7.36B-20.30%12.47B-20.30%12.47B-71.84%7.08B113.48%15.65B113.48%15.65B
-Cash and cash equivalents 3.60%10.33B3.60%10.33B-17.56%9.97B-17.56%9.97B3.51%7.03B-20.69%12.1B-20.69%12.1B-72.86%6.79B110.72%15.25B110.72%15.25B
-Short-term investments -30.93%67M-30.93%67M-74.06%97M-74.06%97M16.78%334M-5.56%374M-5.56%374M180.39%286M330.43%396M330.43%396M
Receivables 11.13%6.37B11.13%6.37B12.94%5.73B12.94%5.73B4.72%5.84B-1.11%5.08B-1.11%5.08B-1.59%5.57B-17.86%5.13B-17.86%5.13B
-Accounts receivable 19.52%4.35B19.52%4.35B4.96%3.64B4.96%3.64B2.53%4.01B5.51%3.47B5.51%3.47B12.78%3.91B-18.83%3.28B-18.83%3.28B
-Loans receivable -1.41%70M-1.41%70M-28.28%71M-28.28%71M-3.19%91M-15.38%99M-15.38%99M-10.48%94M-1.68%117M-1.68%117M
-Accrued interest receivable -32.84%45M-32.84%45M272.22%67M272.22%67M190.00%29M350.00%18M350.00%18M66.67%10M-80.95%4M-80.95%4M
-Taxes receivable 3.50%1.3B3.50%1.3B29.06%1.26B29.06%1.26B6.20%1.11B-19.30%974M-19.30%974M-26.28%1.05B-16.64%1.21B-16.64%1.21B
-Other receivables -13.25%609M-13.25%609M34.74%702M34.74%702M16.24%594M-0.19%521M-0.19%521M-22.93%511M-15.26%522M-15.26%522M
Inventory -16.28%5.46B-16.28%5.46B23.49%6.53B23.49%6.53B14.04%6.11B20.34%5.28B20.34%5.28B25.56%5.36B1.60%4.39B1.60%4.39B
Prepaid assets 19.52%594M19.52%594M6.88%497M6.88%497M20.04%539M4.26%465M4.26%465M-9.29%449M-33.23%446M-33.23%446M
Other current assets ---------200.00%-1M-200.00%-1M-300.00%-2M200.00%1M200.00%1M--1M-200.00%-1M-200.00%-1M
Total current assets 0.78%23.37B0.78%23.37B-3.19%23.19B-3.19%23.19B6.25%20.72B-9.69%23.95B-9.69%23.95B-46.15%19.5B-7.96%26.52B-7.96%26.52B
Non current assets
Net PPE 0.55%26.82B0.55%26.82B-0.02%26.67B-0.02%26.67B-1.11%26.32B0.98%26.68B0.98%26.68B7.69%26.62B-4.08%26.42B-4.08%26.42B
-Gross PPE 4.67%57.25B4.67%57.25B3.27%54.7B3.27%54.7B1.57%53.6B3.40%52.96B3.40%52.96B11.60%52.77B0.86%51.22B0.86%51.22B
-Accumulated depreciation -8.59%-30.43B-8.59%-30.43B-6.62%-28.02B-6.62%-28.02B-4.29%-27.28B-5.98%-26.28B-5.98%-26.28B-15.88%-26.16B-6.71%-24.8B-6.71%-24.8B
Goodwill and other intangible assets 3.33%158.33B3.33%158.33B-1.92%153.22B-1.92%153.22B-2.76%155.81B-3.86%156.23B-3.86%156.23B3.29%160.24B-4.73%162.5B-4.73%162.5B
-Goodwill 3.57%117.04B3.57%117.04B-2.41%113.01B-2.41%113.01B-3.17%115.39B-4.28%115.8B-4.28%115.8B3.55%119.17B-5.58%120.97B-5.58%120.97B
-Other intangible assets 2.68%41.29B2.68%41.29B-0.54%40.21B-0.54%40.21B-1.59%40.42B-2.64%40.43B-2.64%40.43B2.55%41.07B-2.18%41.53B-2.18%41.53B
Investments and advances 4.53%5.05B4.53%5.05B-19.95%4.83B-19.95%4.83B-23.66%4.7B-3.90%6.04B-3.90%6.04B4.27%6.15B5.18%6.28B5.18%6.28B
Long-term notes receivables -80.00%2M-80.00%2M-41.18%10M-41.18%10M-30.00%14M-32.00%17M-32.00%17M--20M-56.90%25M-56.90%25M
Non current accounts receivable 6.16%2.62B6.16%2.62B-2.57%2.47B-2.57%2.47B-12.67%2.28B9.04%2.53B9.04%2.53B114.80%2.61B44.22%2.32B44.22%2.32B
Financial assets -26.67%44M-26.67%44M25.00%60M25.00%60M209.30%133M-65.22%48M-65.22%48M-85.52%43M4.55%138M4.55%138M
Non current deferred assets 27.61%2.94B27.61%2.94B16.81%2.3B16.81%2.3B6.33%2.23B-2.48%1.97B-2.48%1.97B7.25%2.1B17.45%2.02B17.45%2.02B
Defined pension benefit 9.09%12M9.09%12M120.00%11M120.00%11M-28.57%5M-16.67%5M-16.67%5M-50.00%7M-57.14%6M-57.14%6M
Other non current assets -12.30%164M-12.30%164M10.65%187M10.65%187M-2.21%177M-8.15%169M-8.15%169M18,200.00%181M-16.36%184M-16.36%184M
Total non current assets 3.28%195.97B3.28%195.97B-2.02%189.76B-2.02%189.76B-3.18%191.68B-3.11%193.68B-3.11%193.68B4.62%197.97B-3.82%199.89B-3.82%199.89B
Total assets 3.00%219.34B3.00%219.34B-2.15%212.94B-2.15%212.94B-2.33%212.4B-3.88%217.63B-3.88%217.63B-3.54%217.48B-4.33%226.41B-4.33%226.41B
Liabilities
Current liabilities
Payables -1.26%25.72B-1.26%25.72B3.87%26.05B3.87%26.05B0.48%23.83B13.72%25.08B13.72%25.08B32.05%23.71B-1.08%22.05B-1.08%22.05B
-accounts payable -4.63%17.73B-4.63%17.73B4.37%18.59B4.37%18.59B0.07%22.75B12.03%17.81B12.03%17.81B86.21%22.73B0.14%15.9B0.14%15.9B
-Total tax payable 12.51%4.73B12.51%4.73B10.95%4.21B10.95%4.21B9.88%1.08B3.44%3.79B3.44%3.79B-72.23%982M-9.60%3.67B-9.60%3.67B
-Dividends payable 5.62%376M5.62%376M0.28%356M0.28%356M-----16.86%355M-16.86%355M----26.33%427M26.33%427M
-Other payable -0.52%2.88B-0.52%2.88B-7.21%2.89B-7.21%2.89B----51.48%3.12B51.48%3.12B----1.88%2.06B1.88%2.06B
Current accrued expenses -1.47%1.41B-1.47%1.41B-4.86%1.43B-4.86%1.43B-----7.63%1.5B-7.63%1.5B-----3.22%1.63B-3.22%1.63B
Current provisions 52.84%269M52.84%269M4.14%176M4.14%176M-15.54%163M-22.83%169M-22.83%169M-9.81%193M4.29%219M4.29%219M
Current debt and capital lease obligation 260.40%4B260.40%4B-23.96%1.11B-23.96%1.11B1.70%1.32B-52.66%1.46B-52.66%1.46B-80.52%1.29B-43.66%3.09B-43.66%3.09B
-Current debt 467.18%3.3B467.18%3.3B-42.60%582M-42.60%582M0.12%846M-62.29%1.01B-62.29%1.01B-86.56%845M-47.73%2.69B-47.73%2.69B
-Current capital lease obligation 32.89%703M32.89%703M18.34%529M18.34%529M4.69%469M12.59%447M12.59%447M27.27%448M19.22%397M19.22%397M
Current deferred liabilities 40.89%441M40.89%441M63.87%313M63.87%313M-----41.77%191M-41.77%191M----35.54%328M35.54%328M
Other current liabilities 0.17%5.32B0.17%5.32B-8.24%5.31B-8.24%5.31B14.65%5.59B14.71%5.79B14.71%5.79B10.67%4.87B2.04%5.05B2.04%5.05B
Current liabilities 8.07%37.16B8.07%37.16B0.58%34.38B0.58%34.38B2.73%30.89B5.66%34.18B5.66%34.18B-3.06%30.07B-7.14%32.35B-7.14%32.35B
Non current liabilities
Long term provisions -19.19%320M-19.19%320M-9.17%396M-9.17%396M2.05%447M-19.85%436M-19.85%436M-21.65%438M-22.40%544M-22.40%544M
Long term debt and capital lease obligation -5.98%74.16B-5.98%74.16B-9.72%78.88B-9.72%78.88B-8.09%82.12B-8.49%87.37B-8.49%87.37B-15.74%89.34B-2.14%95.48B-2.14%95.48B
-Long term debt -6.34%72.04B-6.34%72.04B-10.08%76.92B-10.08%76.92B-8.18%80.26B-8.65%85.54B-8.65%85.54B-16.23%87.41B-2.33%93.64B-2.33%93.64B
-Long term capital lease obligation 8.30%2.13B8.30%2.13B7.27%1.96B7.27%1.96B-3.88%1.86B-0.38%1.83B-0.38%1.83B14.51%1.93B8.57%1.84B8.57%1.84B
Non current deferred liabilities -0.81%12.18B-0.81%12.18B-4.54%12.28B-4.54%12.28B-3.70%12.07B-6.15%12.87B-6.15%12.87B-5.46%12.53B-3.74%13.71B-3.74%13.71B
Employee benefits 9.06%1.67B9.06%1.67B-32.15%1.53B-32.15%1.53B-25.81%2.14B-23.87%2.26B-23.87%2.26B10.61%2.89B4.28%2.97B4.28%2.97B
Derivative product liabilities -17.93%151M-17.93%151M84.00%184M84.00%184M-58.37%266M-94.31%100M-94.31%100M-74.02%639M399.72%1.76B399.72%1.76B
Other non current liabilities ---1M---1M--------0.00%1M--------0.00%1M-300.00%-2M-300.00%-2M
Total non current liabilities -5.06%89.51B-5.06%89.51B-9.43%94.28B-9.43%94.28B-8.43%98.76B-10.03%104.1B-10.03%104.1B-14.47%107.84B-1.32%115.71B-1.32%115.71B
Total liabilities -1.56%126.66B-1.56%126.66B-6.96%128.67B-6.96%128.67B-5.99%129.65B-6.60%138.29B-6.60%138.29B-12.21%137.91B-2.65%148.06B-2.65%148.06B
Shareholders'equity
Share capital 0.00%1.74B0.00%1.74B0.00%1.74B0.00%1.74B0.00%1.74B0.00%1.74B0.00%1.74B0.00%1.74B0.00%1.74B0.00%1.74B
-common stock 0.00%1.74B0.00%1.74B0.00%1.74B0.00%1.74B0.00%1.74B0.00%1.74B0.00%1.74B0.00%1.74B0.00%1.74B0.00%1.74B
Retained earnings 8.74%42.22B8.74%42.22B14.58%38.82B14.58%38.82B9.00%34.44B9.76%33.88B9.76%33.88B14.44%31.59B-1.95%30.87B-1.95%30.87B
Paid-in capital 0.00%17.62B0.00%17.62B0.00%17.62B0.00%17.62B0.00%17.62B0.00%17.62B0.00%17.62B0.00%17.62B0.00%17.62B0.00%17.62B
Less: Treasury stock -6.50%3.47B-6.50%3.47B--3.71B--3.71B------------------------
Gains losses not affecting retained earnings 25.45%23.74B25.45%23.74B22.64%18.92B22.64%18.92B0.63%17.76B-13.30%15.43B-13.30%15.43B34.68%17.65B-28.47%17.8B-28.47%17.8B
Other equity interest 0.00%1M0.00%1M--1M--1M---1M--------------------
Total stockholders'equity 11.51%81.85B11.51%81.85B6.89%73.4B6.89%73.4B4.31%71.55B0.95%68.67B0.95%68.67B14.20%68.6B-10.17%68.02B-10.17%68.02B
Noncontrolling interests -0.48%10.83B-0.48%10.83B1.96%10.88B1.96%10.88B2.14%11.2B3.33%10.67B3.33%10.67B32.40%10.97B16.94%10.33B16.94%10.33B
Total equity 9.96%92.68B9.96%92.68B6.22%84.28B6.22%84.28B4.01%82.75B1.26%79.34B1.26%79.34B16.41%79.56B-7.34%78.35B-7.34%78.35B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--Unqualified Opinion----Unqualified Opinion----Unqualified Opinion--

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