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BUD Anheuser-Busch Inbev

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  • 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
(FY)2022/12/31
(FY)2021/12/31
(FY)2020/12/31
(FY)2019/12/31
(FY)2018/12/31
(FY)2017/12/31
(FY)2016/12/31
(FY)2015/12/31
(FY)2014/12/31
(FY)2013/12/31
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-10.13%13.3B
36.93%14.8B
-19.33%10.81B
-5.54%13.4B
-4.95%14.18B
47.58%14.92B
-28.40%10.11B
-0.16%14.12B
2.02%14.14B
4.49%13.86B
Net income from continuing operations
24.26%7.6B
4,059.18%6.11B
-98.53%147M
93.72%9.99B
-40.08%5.16B
210.80%8.61B
-71.94%2.77B
-12.70%9.87B
-31.58%11.3B
77.14%16.52B
Operating gains losses
440.32%844M
-58.97%-248M
53.43%-156M
-31.37%-335M
56.11%-255M
-35.12%-581M
23.35%-430M
-150.45%-561M
44.55%-224M
43.18%-404M
Depreciation and amortization
0.51%5.08B
4.62%5.05B
3.69%4.83B
0.71%4.66B
-0.02%4.62B
33.02%4.63B
10.28%3.48B
-5.96%3.15B
12.33%3.35B
8.66%2.99B
Deferred tax
-17.96%1.93B
21.64%2.35B
-30.65%1.93B
7.78%2.79B
55.91%2.59B
2.79%1.66B
-37.82%1.61B
3.80%2.59B
23.96%2.5B
20.00%2.02B
Other non cash items
-13.05%4.03B
-21.83%4.63B
133.37%5.92B
-66.97%2.54B
32.77%7.69B
-25.87%5.79B
1,169.59%7.81B
-8.35%615M
-53.56%671M
-18.50%1.45B
Change In working capital
-114.07%-346M
315.37%2.46B
11,940.00%592M
-101.05%-5M
253.33%477M
-21.97%135M
-90.31%173M
119.14%1.79B
-5.89%815M
-21.20%866M
-Change in receivables
-129.27%-48M
-68.22%164M
300.00%516M
-145.71%-258M
-207.14%-105M
113.73%98M
-417.39%-714M
62.80%-138M
-1,384.00%-371M
75.49%-25M
-Change in inventory
-25.57%-1.55B
-188.52%-1.23B
-0.23%-427M
27.55%-426M
-130.59%-588M
29.95%-255M
14.15%-364M
-19.77%-424M
-174.42%-354M
0.77%-129M
-Change in payables and accrued expense
-64.59%1.25B
601.19%3.53B
-25.92%503M
-41.97%679M
300.68%1.17B
-76.66%292M
-46.72%1.25B
52.47%2.35B
50.98%1.54B
-23.37%1.02B
Cash from discontinued investing activities
0
0
-86.88%84M
-27.52%640M
883M
Operating cash flow
-10.14%13.3B
35.88%14.8B
-22.41%10.89B
-6.82%14.04B
0.97%15.06B
47.58%14.92B
-28.40%10.11B
-0.16%14.12B
2.02%14.14B
4.49%13.86B
Investing cash flow
Cash flow from continuing investing activities
21.39%-4.62B
-192.57%-5.88B
230.80%6.35B
-25.85%-4.85B
-149.04%-3.86B
113.09%7.87B
-1,118.60%-60.08B
55.42%-4.93B
-8.62%-11.06B
10.22%-10.18B
Net PPE purchase and sale
12.00%-4.84B
-49.12%-5.5B
24.04%-3.69B
-6.26%-4.85B
-10.28%-4.57B
13.13%-4.14B
-9.94%-4.77B
-5.22%-4.34B
-14.12%-4.12B
-16.93%-3.61B
Net business purchase and sale
84.23%-70M
-104.30%-444M
31,396.97%10.33B
-119.08%-33M
-98.45%173M
122.50%11.17B
-5,304.79%-49.62B
86.43%-918M
61.11%-6.77B
-1,040.79%-17.4B
Net investment purchase and sale
----
----
----
----
----
177.68%4.34B
-3,403.55%-5.58B
190.37%169M
-102.79%-187M
200.07%6.71B
Net other investing changes
350.00%288M
121.92%64M
-984.85%-292M
-93.87%33M
115.39%538M
-3,078.18%-3.5B
-170.51%-110M
1,014.29%156M
-99.66%14M
16,580.00%4.12B
Cash from discontinued investing activities
0
0
83.12%-13M
29.36%-77M
-109M
Investing cash flow
21.40%-4.62B
-192.77%-5.88B
228.49%6.34B
-24.33%-4.93B
-150.43%-3.97B
113.09%7.87B
-1,118.60%-60.08B
55.42%-4.93B
-8.62%-11.06B
10.22%-10.18B
Financing cash flow
Cash flow from continuing financing activities
8.43%-10.62B
-36.95%-11.6B
3.00%-8.47B
39.06%-8.73B
32.84%-14.33B
-142.05%-21.33B
646.61%50.73B
-135.14%-9.28B
-1,730.99%-3.95B
49.38%242M
Net issuance payments of debt
13.91%-7.78B
-3.28%-9.04B
-3.62%-8.76B
-64.70%-8.45B
50.45%-5.13B
-116.52%-10.35B
13,614.44%62.68B
-85.82%457M
-27.70%3.22B
22.17%4.46B
Net common stock issuance
----
----
----
--5.58B
--0
--0
----
-1,298.80%-995M
13.70%83M
-28.43%73M
Cash dividends paid
-3.30%-2.44B
-31.33%-2.36B
64.11%-1.8B
35.38%-5.02B
16.32%-7.76B
-9.76%-9.28B
-6.08%-8.45B
-7.65%-7.97B
-18.34%-7.4B
-72.16%-6.25B
Net other financing activities
-105.21%-394M
-109.20%-192M
347.74%2.09B
41.36%-842M
15.78%-1.44B
51.20%-1.71B
-349.68%-3.49B
-628.57%-777M
-92.52%147M
4,467.44%1.96B
Cash from discontinued financing activities
0
0
75.00%-6M
-26.32%-24M
-19M
Financing cash flow
8.43%-10.62B
-36.85%-11.6B
3.20%-8.48B
38.97%-8.76B
32.76%-14.35B
-142.05%-21.33B
646.61%50.73B
-135.14%-9.28B
-1,730.99%-3.95B
49.38%242M
Net cash flow
Beginning cash position
-21.01%12.04B
112.68%15.25B
3.00%7.17B
-32.79%6.96B
23.36%10.36B
21.49%8.4B
-16.91%6.91B
-15.43%8.32B
39.46%9.83B
32.74%7.05B
Current changes in cash
27.48%-1.94B
-130.60%-2.68B
2,400.57%8.75B
110.78%350M
-242.52%-3.25B
198.30%2.28B
948.89%764M
89.57%-90M
-121.99%-863M
87.84%3.92B
Effect of exchange rate changes
59.89%-211M
21.96%-526M
-378.01%-674M
4.73%-141M
53.61%-148M
-144.24%-319M
154.79%721M
-101.22%-1.32B
42.73%-654M
-226.29%-1.14B
End cash Position
-17.88%9.89B
-21.01%12.04B
112.68%15.25B
3.00%7.17B
-32.79%6.96B
23.35%10.36B
21.49%8.4B
-16.91%6.91B
-15.43%8.32B
39.46%9.83B
Free cash flow
-11.15%8.14B
28.82%9.16B
-19.77%7.11B
-11.90%8.86B
-1.77%10.06B
99.57%10.24B
-45.25%5.13B
-3.87%9.37B
-2.46%9.75B
-0.09%10B
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 with Explanatory Notes
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
(FY)2022/12/31(FY)2021/12/31(FY)2020/12/31(FY)2019/12/31(FY)2018/12/31(FY)2017/12/31(FY)2016/12/31(FY)2015/12/31(FY)2014/12/31(FY)2013/12/31
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -10.13%13.3B36.93%14.8B-19.33%10.81B-5.54%13.4B-4.95%14.18B47.58%14.92B-28.40%10.11B-0.16%14.12B2.02%14.14B4.49%13.86B
Net income from continuing operations 24.26%7.6B4,059.18%6.11B-98.53%147M93.72%9.99B-40.08%5.16B210.80%8.61B-71.94%2.77B-12.70%9.87B-31.58%11.3B77.14%16.52B
Operating gains losses 440.32%844M-58.97%-248M53.43%-156M-31.37%-335M56.11%-255M-35.12%-581M23.35%-430M-150.45%-561M44.55%-224M43.18%-404M
Depreciation and amortization 0.51%5.08B4.62%5.05B3.69%4.83B0.71%4.66B-0.02%4.62B33.02%4.63B10.28%3.48B-5.96%3.15B12.33%3.35B8.66%2.99B
Deferred tax -17.96%1.93B21.64%2.35B-30.65%1.93B7.78%2.79B55.91%2.59B2.79%1.66B-37.82%1.61B3.80%2.59B23.96%2.5B20.00%2.02B
Other non cash items -13.05%4.03B-21.83%4.63B133.37%5.92B-66.97%2.54B32.77%7.69B-25.87%5.79B1,169.59%7.81B-8.35%615M-53.56%671M-18.50%1.45B
Change In working capital -114.07%-346M315.37%2.46B11,940.00%592M-101.05%-5M253.33%477M-21.97%135M-90.31%173M119.14%1.79B-5.89%815M-21.20%866M
-Change in receivables -129.27%-48M-68.22%164M300.00%516M-145.71%-258M-207.14%-105M113.73%98M-417.39%-714M62.80%-138M-1,384.00%-371M75.49%-25M
-Change in inventory -25.57%-1.55B-188.52%-1.23B-0.23%-427M27.55%-426M-130.59%-588M29.95%-255M14.15%-364M-19.77%-424M-174.42%-354M0.77%-129M
-Change in payables and accrued expense -64.59%1.25B601.19%3.53B-25.92%503M-41.97%679M300.68%1.17B-76.66%292M-46.72%1.25B52.47%2.35B50.98%1.54B-23.37%1.02B
Cash from discontinued investing activities 00-86.88%84M-27.52%640M883M
Operating cash flow -10.14%13.3B35.88%14.8B-22.41%10.89B-6.82%14.04B0.97%15.06B47.58%14.92B-28.40%10.11B-0.16%14.12B2.02%14.14B4.49%13.86B
Investing cash flow
Cash flow from continuing investing activities 21.39%-4.62B-192.57%-5.88B230.80%6.35B-25.85%-4.85B-149.04%-3.86B113.09%7.87B-1,118.60%-60.08B55.42%-4.93B-8.62%-11.06B10.22%-10.18B
Net PPE purchase and sale 12.00%-4.84B-49.12%-5.5B24.04%-3.69B-6.26%-4.85B-10.28%-4.57B13.13%-4.14B-9.94%-4.77B-5.22%-4.34B-14.12%-4.12B-16.93%-3.61B
Net business purchase and sale 84.23%-70M-104.30%-444M31,396.97%10.33B-119.08%-33M-98.45%173M122.50%11.17B-5,304.79%-49.62B86.43%-918M61.11%-6.77B-1,040.79%-17.4B
Net investment purchase and sale --------------------177.68%4.34B-3,403.55%-5.58B190.37%169M-102.79%-187M200.07%6.71B
Net other investing changes 350.00%288M121.92%64M-984.85%-292M-93.87%33M115.39%538M-3,078.18%-3.5B-170.51%-110M1,014.29%156M-99.66%14M16,580.00%4.12B
Cash from discontinued investing activities 0083.12%-13M29.36%-77M-109M
Investing cash flow 21.40%-4.62B-192.77%-5.88B228.49%6.34B-24.33%-4.93B-150.43%-3.97B113.09%7.87B-1,118.60%-60.08B55.42%-4.93B-8.62%-11.06B10.22%-10.18B
Financing cash flow
Cash flow from continuing financing activities 8.43%-10.62B-36.95%-11.6B3.00%-8.47B39.06%-8.73B32.84%-14.33B-142.05%-21.33B646.61%50.73B-135.14%-9.28B-1,730.99%-3.95B49.38%242M
Net issuance payments of debt 13.91%-7.78B-3.28%-9.04B-3.62%-8.76B-64.70%-8.45B50.45%-5.13B-116.52%-10.35B13,614.44%62.68B-85.82%457M-27.70%3.22B22.17%4.46B
Net common stock issuance --------------5.58B--0--0-----1,298.80%-995M13.70%83M-28.43%73M
Cash dividends paid -3.30%-2.44B-31.33%-2.36B64.11%-1.8B35.38%-5.02B16.32%-7.76B-9.76%-9.28B-6.08%-8.45B-7.65%-7.97B-18.34%-7.4B-72.16%-6.25B
Net other financing activities -105.21%-394M-109.20%-192M347.74%2.09B41.36%-842M15.78%-1.44B51.20%-1.71B-349.68%-3.49B-628.57%-777M-92.52%147M4,467.44%1.96B
Cash from discontinued financing activities 0075.00%-6M-26.32%-24M-19M
Financing cash flow 8.43%-10.62B-36.85%-11.6B3.20%-8.48B38.97%-8.76B32.76%-14.35B-142.05%-21.33B646.61%50.73B-135.14%-9.28B-1,730.99%-3.95B49.38%242M
Net cash flow
Beginning cash position -21.01%12.04B112.68%15.25B3.00%7.17B-32.79%6.96B23.36%10.36B21.49%8.4B-16.91%6.91B-15.43%8.32B39.46%9.83B32.74%7.05B
Current changes in cash 27.48%-1.94B-130.60%-2.68B2,400.57%8.75B110.78%350M-242.52%-3.25B198.30%2.28B948.89%764M89.57%-90M-121.99%-863M87.84%3.92B
Effect of exchange rate changes 59.89%-211M21.96%-526M-378.01%-674M4.73%-141M53.61%-148M-144.24%-319M154.79%721M-101.22%-1.32B42.73%-654M-226.29%-1.14B
End cash Position -17.88%9.89B-21.01%12.04B112.68%15.25B3.00%7.17B-32.79%6.96B23.35%10.36B21.49%8.4B-16.91%6.91B-15.43%8.32B39.46%9.83B
Free cash flow -11.15%8.14B28.82%9.16B-19.77%7.11B-11.90%8.86B-1.77%10.06B99.57%10.24B-45.25%5.13B-3.87%9.37B-2.46%9.75B-0.09%10B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified Opinion with Explanatory NotesUnqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified Opinion

Analysis

Analyst Rating

No Data

Price Target

No Data

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