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BUD Anheuser-Busch Inbev

Watchlist
  • 63.370
  • -0.030-0.05%
Close 02/23 16:00 ET
  • 63.370
  • 0.0000.00%
Post 16:23 ET
125.74BMarket Cap20.64P/E (TTM)

Anheuser-Busch Inbev Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)2023/06/30
(FY)2022/12/31
(Q4)2022/12/31
(Q2)2022/06/30
(FY)2021/12/31
(Q4)2021/12/31
(Q2)2021/06/30
(FY)2020/12/31
(Q4)2020/12/31
(Q2)2020/06/30
Assets
Current assets
Cash, cash equivalents and short term investments
-5.81%6.93B
-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
203.90%25.12B
-Cash and cash equivalents
-2.55%6.85B
-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
205.88%25.02B
-Short-term investments
-74.55%85M
-74.06%97M
-74.06%97M
16.78%334M
-5.56%374M
-5.56%374M
180.39%286M
330.43%396M
330.43%396M
17.24%102M
Receivables
28.89%7.52B
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
-17.34%5.66B
-Accounts receivable
64.94%6.61B
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
-47.07%3.47B
-Loans receivable
----
-28.28%71M
-28.28%71M
-3.19%91M
-15.38%99M
-15.38%99M
-10.48%94M
-1.68%117M
-1.68%117M
--105M
-Accrued interest receivable
----
272.22%67M
272.22%67M
190.00%29M
350.00%18M
350.00%18M
66.67%10M
-80.95%4M
-80.95%4M
--6M
-Taxes receivable
-18.13%912M
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
368.09%1.42B
-Other receivables
----
34.74%702M
34.74%702M
16.24%594M
-0.19%521M
-0.19%521M
-22.93%511M
-15.26%522M
-15.26%522M
--663M
Inventory
11.99%6.84B
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
-8.44%4.27B
Prepaid assets
----
6.88%497M
6.88%497M
20.04%539M
4.26%465M
4.26%465M
-9.29%449M
-33.23%446M
-33.23%446M
--495M
Other current assets
0.00%-2M
-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
3.68%21.48B
-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
80.57%36.22B
Non current assets
Net PPE
3.26%27.18B
-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
-10.17%24.72B
-Gross PPE
----
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
-6.22%47.29B
-Accumulated depreciation
----
-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
1.47%-22.57B
Goodwill and other intangible assets
0.85%157.14B
-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
-13.79%155.13B
-Goodwill
0.67%116.17B
-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
-14.60%115.08B
-Other intangible assets
1.37%40.97B
-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
-11.38%40.05B
Investments and advances
4.47%4.91B
-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
-3.47%5.9B
Long-term notes receivables
----
-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
19.68%2.73B
-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
-31.34%1.22B
Financial assets
-53.38%62M
25.00%60M
25.00%60M
209.30%133M
-65.22%48M
-65.22%48M
-85.52%43M
4.55%138M
4.55%138M
226.37%297M
Non current deferred assets
27.00%2.84B
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
7.58%1.96B
Defined pension benefit
120.00%11M
120.00%11M
120.00%11M
-28.57%5M
-16.67%5M
-16.67%5M
-50.00%7M
-57.14%6M
-57.14%6M
-26.32%14M
Other non current assets
----
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
-200.00%-1M
Total non current assets
1.66%194.87B
-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
-12.91%189.23B
Total assets
1.86%216.35B
-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
-5.01%225.45B
Liabilities
Current liabilities
Payables
3.29%24.61B
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
-14.86%17.96B
-accounts payable
2.63%23.35B
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
-16.03%12.21B
-Total tax payable
17.05%1.26B
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
2.02%3.54B
-Dividends payable
----
0.28%356M
0.28%356M
----
-16.86%355M
-16.86%355M
----
26.33%427M
26.33%427M
-14.07%342M
-Other payable
----
-7.21%2.89B
-7.21%2.89B
----
51.48%3.12B
51.48%3.12B
----
1.88%2.06B
1.88%2.06B
-30.40%1.87B
Current accrued expenses
----
-4.86%1.43B
-4.86%1.43B
----
-7.63%1.5B
-7.63%1.5B
----
-3.22%1.63B
-3.22%1.63B
0.84%1.56B
Current provisions
49.69%244M
4.14%176M
4.14%176M
-15.54%163M
-22.83%169M
-22.83%169M
-9.81%193M
4.29%219M
4.29%219M
-55.97%214M
Current debt and capital lease obligation
95.97%2.58B
-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
-40.04%6.64B
-Current debt
204.61%2.58B
-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
-41.22%6.29B
-Current capital lease obligation
----
18.34%529M
18.34%529M
4.69%469M
12.59%447M
12.59%447M
27.27%448M
19.22%397M
19.22%397M
-6.38%352M
Current deferred liabilities
----
63.87%313M
63.87%313M
----
-41.77%191M
-41.77%191M
----
35.54%328M
35.54%328M
-9.49%248M
Other current liabilities
13.51%6.34B
-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
56.86%4.4B
Current liabilities
9.33%33.77B
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
-16.78%31.02B
Non current liabilities
Long term provisions
-17.23%370M
-9.17%396M
-9.17%396M
2.05%447M
-19.85%436M
-19.85%436M
-21.65%438M
-22.40%544M
-22.40%544M
-50.09%559M
Long term debt and capital lease obligation
-4.62%78.32B
-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
4.29%106.03B
-Long term debt
-2.41%78.32B
-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
4.38%104.35B
-Long term capital lease obligation
----
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
-1.11%1.69B
Non current deferred liabilities
-0.52%12B
-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
-11.10%13.25B
Employee benefits
-28.99%1.52B
-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
1.40%2.61B
Derivative product liabilities
-57.52%113M
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
300.65%2.46B
Other non current liabilities
-300.00%-2M
----
----
0.00%1M
----
----
0.00%1M
-300.00%-2M
-300.00%-2M
--1M
Total non current liabilities
-5.02%93.8B
-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
3.41%126.08B
Total liabilities
-1.60%127.57B
-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
-1.32%157.1B
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
14.04%39.27B
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
-7.46%27.61B
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
Gains losses not affecting retained earnings
6.05%18.84B
-1.38%15.22B
-1.38%15.22B
0.63%17.76B
-13.30%15.43B
-13.30%15.43B
34.68%17.65B
-28.47%17.8B
-28.47%17.8B
-37.74%13.1B
Other equity interest
----
--1M
--1M
---1M
----
----
----
----
----
----
Total stockholders'equity
8.26%77.46B
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
-14.48%60.07B
Noncontrolling interests
1.11%11.32B
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
4.86%8.28B
Total equity
7.29%88.78B
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
-12.52%68.35B
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
--
--
(Q2)2023/06/30(FY)2022/12/31(Q4)2022/12/31(Q2)2022/06/30(FY)2021/12/31(Q4)2021/12/31(Q2)2021/06/30(FY)2020/12/31(Q4)2020/12/31(Q2)2020/06/30
Assets
Current assets
Cash, cash equivalents and short term investments -5.81%6.93B-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%15.65B203.90%25.12B
-Cash and cash equivalents -2.55%6.85B-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%15.25B205.88%25.02B
-Short-term investments -74.55%85M-74.06%97M-74.06%97M16.78%334M-5.56%374M-5.56%374M180.39%286M330.43%396M330.43%396M17.24%102M
Receivables 28.89%7.52B12.94%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-17.34%5.66B
-Accounts receivable 64.94%6.61B4.96%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-47.07%3.47B
-Loans receivable -----28.28%71M-28.28%71M-3.19%91M-15.38%99M-15.38%99M-10.48%94M-1.68%117M-1.68%117M--105M
-Accrued interest receivable ----272.22%67M272.22%67M190.00%29M350.00%18M350.00%18M66.67%10M-80.95%4M-80.95%4M--6M
-Taxes receivable -18.13%912M29.06%1.26B29.06%1.26B6.20%1.11B-19.30%974M-19.30%974M-26.28%1.05B-16.64%1.21B-16.64%1.21B368.09%1.42B
-Other receivables ----34.74%702M34.74%702M16.24%594M-0.19%521M-0.19%521M-22.93%511M-15.26%522M-15.26%522M--663M
Inventory 11.99%6.84B23.49%6.53B23.49%6.53B14.04%6.11B20.34%5.28B20.34%5.28B25.56%5.36B1.60%4.39B1.60%4.39B-8.44%4.27B
Prepaid assets ----6.88%497M6.88%497M20.04%539M4.26%465M4.26%465M-9.29%449M-33.23%446M-33.23%446M--495M
Other current assets 0.00%-2M-200.00%-1M-200.00%-1M-300.00%-2M200.00%1M200.00%1M--1M-200.00%-1M-200.00%-1M----
Total current assets 3.68%21.48B-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%26.52B80.57%36.22B
Non current assets
Net PPE 3.26%27.18B-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-10.17%24.72B
-Gross PPE ----3.27%54.7B3.27%54.7B1.57%53.6B3.40%52.96B3.40%52.96B11.60%52.77B0.86%51.22B0.86%51.22B-6.22%47.29B
-Accumulated depreciation -----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%-24.8B1.47%-22.57B
Goodwill and other intangible assets 0.85%157.14B-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-13.79%155.13B
-Goodwill 0.67%116.17B-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-14.60%115.08B
-Other intangible assets 1.37%40.97B-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-11.38%40.05B
Investments and advances 4.47%4.91B-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-3.47%5.9B
Long-term notes receivables -----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 19.68%2.73B-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-31.34%1.22B
Financial assets -53.38%62M25.00%60M25.00%60M209.30%133M-65.22%48M-65.22%48M-85.52%43M4.55%138M4.55%138M226.37%297M
Non current deferred assets 27.00%2.84B16.81%2.3B16.81%2.3B6.33%2.23B-2.48%1.97B-2.48%1.97B7.25%2.1B17.45%2.02B17.45%2.02B7.58%1.96B
Defined pension benefit 120.00%11M120.00%11M120.00%11M-28.57%5M-16.67%5M-16.67%5M-50.00%7M-57.14%6M-57.14%6M-26.32%14M
Other non current assets ----10.65%187M10.65%187M-2.21%177M-8.15%169M-8.15%169M18,200.00%181M-16.36%184M-16.36%184M-200.00%-1M
Total non current assets 1.66%194.87B-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-12.91%189.23B
Total assets 1.86%216.35B-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-5.01%225.45B
Liabilities
Current liabilities
Payables 3.29%24.61B3.87%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-14.86%17.96B
-accounts payable 2.63%23.35B4.37%18.59B4.37%18.59B0.07%22.75B12.03%17.81B12.03%17.81B86.21%22.73B0.14%15.9B0.14%15.9B-16.03%12.21B
-Total tax payable 17.05%1.26B10.95%4.21B10.95%4.21B9.88%1.08B3.44%3.79B3.44%3.79B-72.23%982M-9.60%3.67B-9.60%3.67B2.02%3.54B
-Dividends payable ----0.28%356M0.28%356M-----16.86%355M-16.86%355M----26.33%427M26.33%427M-14.07%342M
-Other payable -----7.21%2.89B-7.21%2.89B----51.48%3.12B51.48%3.12B----1.88%2.06B1.88%2.06B-30.40%1.87B
Current accrued expenses -----4.86%1.43B-4.86%1.43B-----7.63%1.5B-7.63%1.5B-----3.22%1.63B-3.22%1.63B0.84%1.56B
Current provisions 49.69%244M4.14%176M4.14%176M-15.54%163M-22.83%169M-22.83%169M-9.81%193M4.29%219M4.29%219M-55.97%214M
Current debt and capital lease obligation 95.97%2.58B-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-40.04%6.64B
-Current debt 204.61%2.58B-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-41.22%6.29B
-Current capital lease obligation ----18.34%529M18.34%529M4.69%469M12.59%447M12.59%447M27.27%448M19.22%397M19.22%397M-6.38%352M
Current deferred liabilities ----63.87%313M63.87%313M-----41.77%191M-41.77%191M----35.54%328M35.54%328M-9.49%248M
Other current liabilities 13.51%6.34B-8.24%5.31B-8.24%5.31B14.65%5.59B14.71%5.79B14.71%5.79B10.67%4.87B2.04%5.05B2.04%5.05B56.86%4.4B
Current liabilities 9.33%33.77B0.58%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-16.78%31.02B
Non current liabilities
Long term provisions -17.23%370M-9.17%396M-9.17%396M2.05%447M-19.85%436M-19.85%436M-21.65%438M-22.40%544M-22.40%544M-50.09%559M
Long term debt and capital lease obligation -4.62%78.32B-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%95.48B4.29%106.03B
-Long term debt -2.41%78.32B-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%93.64B4.38%104.35B
-Long term capital lease obligation ----7.27%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-1.11%1.69B
Non current deferred liabilities -0.52%12B-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-11.10%13.25B
Employee benefits -28.99%1.52B-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%2.97B1.40%2.61B
Derivative product liabilities -57.52%113M84.00%184M84.00%184M-58.37%266M-94.31%100M-94.31%100M-74.02%639M399.72%1.76B399.72%1.76B300.65%2.46B
Other non current liabilities -300.00%-2M--------0.00%1M--------0.00%1M-300.00%-2M-300.00%-2M--1M
Total non current liabilities -5.02%93.8B-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%115.71B3.41%126.08B
Total liabilities -1.60%127.57B-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-1.32%157.1B
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 14.04%39.27B14.58%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-7.46%27.61B
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
Gains losses not affecting retained earnings 6.05%18.84B-1.38%15.22B-1.38%15.22B0.63%17.76B-13.30%15.43B-13.30%15.43B34.68%17.65B-28.47%17.8B-28.47%17.8B-37.74%13.1B
Other equity interest ------1M--1M---1M------------------------
Total stockholders'equity 8.26%77.46B6.89%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-14.48%60.07B
Noncontrolling interests 1.11%11.32B1.96%10.88B1.96%10.88B2.14%11.2B3.33%10.67B3.33%10.67B32.40%10.97B16.94%10.33B16.94%10.33B4.86%8.28B
Total equity 7.29%88.78B6.22%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-12.52%68.35B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion----Unqualified Opinion----Unqualified Opinion----

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