US Stock MarketDetailed Quotes

EIPAF ENI SPA

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  • 15.080
  • 0.0000.00%
15min DelayClose Apr 23 16:00 ET
48.17BMarket Cap13.18P/E (TTM)

ENI SPA 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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-36.15%1.9B
-13.41%15.12B
-9.10%4.18B
-37.00%3.52B
6.22%4.44B
-3.74%2.98B
35.76%17.46B
-21.29%4.59B
90.45%5.59B
53.96%4.18B
Net income from continuing operations
-48.61%1.24B
-65.19%4.86B
-69.55%204M
-67.11%1.94B
-91.78%314M
-32.93%2.41B
139.06%13.96B
-80.97%670M
387.00%5.88B
1,415.48%3.82B
Operating gains losses
65.87%-256M
24.13%-2.03B
58.09%-347M
-10.24%-506M
31.85%-428M
1.57%-750M
-429.27%-2.68B
-234.20%-828M
-214.38%-459M
-235.64%-628M
Depreciation and amortization
5.72%1.96B
3.80%7.48B
-5.30%1.99B
2.91%1.77B
21.23%1.87B
0.38%1.85B
2.01%7.21B
6.83%2.1B
-3.37%1.72B
-4.75%1.55B
Deferred tax
26.75%1.49B
-33.63%5.37B
517.62%948M
-56.05%1.5B
-32.96%1.74B
-48.85%1.17B
66.93%8.09B
-115.63%-227M
120.93%3.42B
175.42%2.6B
Other non cash items
201.66%307M
88.57%-217M
-184.21%-54M
100.48%11M
-28.89%128M
-244.50%-302M
-461.71%-1.9B
-110.98%-19M
-1,419.19%-2.27B
-33.33%180M
Change In working capital
-536.52%-1.87B
241.59%1.81B
-80.66%657M
83.25%-140M
228.50%1.59B
88.75%-293M
59.35%-1.28B
673.82%3.4B
-10.44%-836M
-103.80%-1.24B
-Change in receivables
-93.55%233M
420.66%3.32B
-849.47%-2.11B
47.44%-615M
-46.62%2.43B
176.83%3.61B
86.87%-1.04B
105.70%281M
-12.61%-1.17B
2,097.37%4.55B
-Change in inventory
-99.00%16M
170.89%1.79B
-65.77%754M
38.18%-1.03B
122.28%466M
262.79%1.6B
-24.35%-2.53B
637.32%2.2B
-126.19%-1.66B
-631.47%-2.09B
-Change in payables and accrued expense
72.40%-1.74B
-311.16%-4.82B
86.00%2.86B
-45.15%764M
36.65%-2.14B
-330.13%-6.3B
-70.51%2.28B
-69.72%1.54B
-15.83%1.39B
-772.56%-3.38B
-Change in other working capital
-146.93%-375M
151,900.00%1.52B
-36.12%-848M
22.87%736M
365.29%833M
135.69%799M
100.10%1M
-93.48%-623M
193.59%599M
47.23%-314M
Cash from discontinued investing activities
Operating cash flow
-36.15%1.9B
-13.41%15.12B
-9.10%4.18B
-37.00%3.52B
6.22%4.44B
-3.74%2.98B
35.76%17.46B
-21.29%4.59B
90.45%5.59B
53.96%4.18B
Investing cash flow
Cash flow from continuing investing activities
-97.53%-3.51B
-33.44%-9.37B
14.74%-2.53B
25.51%-1.81B
-47.86%-3.25B
-412.11%-1.78B
41.62%-7.02B
45.75%-2.97B
0.04%-2.42B
-4.91%-2.2B
Net PPE purchase and sale
20.85%-1.61B
-14.07%-8.62B
6.21%-2.33B
11.30%-1.78B
-40.07%-2.48B
-56.70%-2.03B
-59.20%-7.55B
-62.69%-2.48B
-79.61%-2.01B
-61.08%-1.77B
Net intangibles purchase and sale
-101.82%-111M
-30.97%-444M
-75.31%-284M
1.47%-67M
17.39%-38M
12.70%-55M
-19.79%-339M
-52.83%-162M
-1.49%-68M
28.13%-46M
Net business purchase and sale
-920.14%-1.47B
48.00%-882M
15.82%-649M
101.98%15M
-10,500.00%-104M
13.77%-144M
7.07%-1.7B
32.66%-771M
-78.59%-759M
100.30%1M
Net investment purchase and sale
-86.09%-281M
67.65%570M
122.64%1.94B
61.29%-96M
-593.39%-1.12B
70.33%-151M
106.17%340M
1,681.82%870M
-22.77%-248M
1,131.82%227M
Net other investing changes
-107.11%-43M
-99.64%8M
-186.22%-1.21B
-81.21%124M
178.70%484M
-76.79%605M
552.34%2.23B
84.02%-421M
207.84%660M
-6.40%-615M
Cash from discontinued investing activities
Investing cash flow
-97.53%-3.51B
-33.44%-9.37B
14.74%-2.53B
25.51%-1.81B
-47.86%-3.25B
-412.11%-1.78B
41.62%-7.02B
45.75%-2.97B
0.04%-2.42B
-4.91%-2.2B
Financing cash flow
Cash flow from continuing financing activities
115.75%190M
33.65%-5.67B
66.94%-928M
-34.61%-3.6B
101.39%64M
-178.88%-1.21B
-318.93%-8.54B
-649.32%-2.81B
7.03%-2.67B
-806.31%-4.59B
Net issuance payments of debt
309.07%807M
80.90%-707M
156.00%532M
-47.21%-2.19B
143.75%1.25B
-124.13%-386M
-599.46%-3.7B
-214.46%-950M
-18.36%-1.49B
-291.57%-2.86B
Net common stock issuance
---398M
24.88%-1.8B
35.46%-790M
38.12%-607M
----
----
-500.00%-2.4B
-310.74%-1.22B
-861.76%-981M
---195M
Cash dividends paid
-0.26%-767M
-1.23%-3.05B
-1.22%-747M
-5.19%-790M
50.07%-744M
-2,450.00%-765M
-27.61%-3.01B
-9,125.00%-738M
50.30%-751M
-77.59%-1.49B
Net other financing activities
3,768.75%587M
-119.72%-112M
-155.56%-10M
-101.64%-9M
-2,025.00%-77M
-700.00%-16M
2,681.82%568M
238.46%18M
13,800.00%548M
180.00%4M
Cash from discontinued financing activities
Financing cash flow
115.75%190M
33.65%-5.67B
66.94%-928M
-34.61%-3.6B
101.39%64M
-178.88%-1.21B
-318.93%-8.54B
-649.32%-2.81B
7.03%-2.67B
-806.31%-4.59B
Net cash flow
Beginning cash position
0.24%10.21B
23.18%10.18B
-16.73%9.57B
4.43%11.42B
-24.68%10.15B
23.18%10.18B
-12.20%8.27B
55.96%11.5B
12.48%10.93B
59.16%13.47B
Current changes in cash
-47,233.33%-1.42B
-95.47%86M
160.98%719M
-484.49%-1.88B
148.08%1.25B
-100.06%-3M
258.33%1.9B
-233.83%-1.18B
120.71%490M
-305.35%-2.61B
Effect of exchange rate changes
150.00%16M
-487.50%-62M
36.03%-87M
-45.21%40M
-75.71%17M
-455.56%-32M
-69.23%16M
-1,146.15%-136M
329.41%73M
600.00%70M
End cash Position
-13.26%8.8B
0.24%10.21B
0.24%10.21B
-16.73%9.57B
4.43%11.42B
-24.68%10.15B
23.18%10.18B
23.18%10.18B
55.96%11.5B
12.48%10.93B
Free cash flow
-103.13%-27M
-37.20%5.9B
-17.36%1.51B
-52.80%1.65B
-19.88%1.89B
-50.23%863M
23.29%9.4B
-56.40%1.83B
101.21%3.49B
60.46%2.35B
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
--
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(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -36.15%1.9B-13.41%15.12B-9.10%4.18B-37.00%3.52B6.22%4.44B-3.74%2.98B35.76%17.46B-21.29%4.59B90.45%5.59B53.96%4.18B
Net income from continuing operations -48.61%1.24B-65.19%4.86B-69.55%204M-67.11%1.94B-91.78%314M-32.93%2.41B139.06%13.96B-80.97%670M387.00%5.88B1,415.48%3.82B
Operating gains losses 65.87%-256M24.13%-2.03B58.09%-347M-10.24%-506M31.85%-428M1.57%-750M-429.27%-2.68B-234.20%-828M-214.38%-459M-235.64%-628M
Depreciation and amortization 5.72%1.96B3.80%7.48B-5.30%1.99B2.91%1.77B21.23%1.87B0.38%1.85B2.01%7.21B6.83%2.1B-3.37%1.72B-4.75%1.55B
Deferred tax 26.75%1.49B-33.63%5.37B517.62%948M-56.05%1.5B-32.96%1.74B-48.85%1.17B66.93%8.09B-115.63%-227M120.93%3.42B175.42%2.6B
Other non cash items 201.66%307M88.57%-217M-184.21%-54M100.48%11M-28.89%128M-244.50%-302M-461.71%-1.9B-110.98%-19M-1,419.19%-2.27B-33.33%180M
Change In working capital -536.52%-1.87B241.59%1.81B-80.66%657M83.25%-140M228.50%1.59B88.75%-293M59.35%-1.28B673.82%3.4B-10.44%-836M-103.80%-1.24B
-Change in receivables -93.55%233M420.66%3.32B-849.47%-2.11B47.44%-615M-46.62%2.43B176.83%3.61B86.87%-1.04B105.70%281M-12.61%-1.17B2,097.37%4.55B
-Change in inventory -99.00%16M170.89%1.79B-65.77%754M38.18%-1.03B122.28%466M262.79%1.6B-24.35%-2.53B637.32%2.2B-126.19%-1.66B-631.47%-2.09B
-Change in payables and accrued expense 72.40%-1.74B-311.16%-4.82B86.00%2.86B-45.15%764M36.65%-2.14B-330.13%-6.3B-70.51%2.28B-69.72%1.54B-15.83%1.39B-772.56%-3.38B
-Change in other working capital -146.93%-375M151,900.00%1.52B-36.12%-848M22.87%736M365.29%833M135.69%799M100.10%1M-93.48%-623M193.59%599M47.23%-314M
Cash from discontinued investing activities
Operating cash flow -36.15%1.9B-13.41%15.12B-9.10%4.18B-37.00%3.52B6.22%4.44B-3.74%2.98B35.76%17.46B-21.29%4.59B90.45%5.59B53.96%4.18B
Investing cash flow
Cash flow from continuing investing activities -97.53%-3.51B-33.44%-9.37B14.74%-2.53B25.51%-1.81B-47.86%-3.25B-412.11%-1.78B41.62%-7.02B45.75%-2.97B0.04%-2.42B-4.91%-2.2B
Net PPE purchase and sale 20.85%-1.61B-14.07%-8.62B6.21%-2.33B11.30%-1.78B-40.07%-2.48B-56.70%-2.03B-59.20%-7.55B-62.69%-2.48B-79.61%-2.01B-61.08%-1.77B
Net intangibles purchase and sale -101.82%-111M-30.97%-444M-75.31%-284M1.47%-67M17.39%-38M12.70%-55M-19.79%-339M-52.83%-162M-1.49%-68M28.13%-46M
Net business purchase and sale -920.14%-1.47B48.00%-882M15.82%-649M101.98%15M-10,500.00%-104M13.77%-144M7.07%-1.7B32.66%-771M-78.59%-759M100.30%1M
Net investment purchase and sale -86.09%-281M67.65%570M122.64%1.94B61.29%-96M-593.39%-1.12B70.33%-151M106.17%340M1,681.82%870M-22.77%-248M1,131.82%227M
Net other investing changes -107.11%-43M-99.64%8M-186.22%-1.21B-81.21%124M178.70%484M-76.79%605M552.34%2.23B84.02%-421M207.84%660M-6.40%-615M
Cash from discontinued investing activities
Investing cash flow -97.53%-3.51B-33.44%-9.37B14.74%-2.53B25.51%-1.81B-47.86%-3.25B-412.11%-1.78B41.62%-7.02B45.75%-2.97B0.04%-2.42B-4.91%-2.2B
Financing cash flow
Cash flow from continuing financing activities 115.75%190M33.65%-5.67B66.94%-928M-34.61%-3.6B101.39%64M-178.88%-1.21B-318.93%-8.54B-649.32%-2.81B7.03%-2.67B-806.31%-4.59B
Net issuance payments of debt 309.07%807M80.90%-707M156.00%532M-47.21%-2.19B143.75%1.25B-124.13%-386M-599.46%-3.7B-214.46%-950M-18.36%-1.49B-291.57%-2.86B
Net common stock issuance ---398M24.88%-1.8B35.46%-790M38.12%-607M---------500.00%-2.4B-310.74%-1.22B-861.76%-981M---195M
Cash dividends paid -0.26%-767M-1.23%-3.05B-1.22%-747M-5.19%-790M50.07%-744M-2,450.00%-765M-27.61%-3.01B-9,125.00%-738M50.30%-751M-77.59%-1.49B
Net other financing activities 3,768.75%587M-119.72%-112M-155.56%-10M-101.64%-9M-2,025.00%-77M-700.00%-16M2,681.82%568M238.46%18M13,800.00%548M180.00%4M
Cash from discontinued financing activities
Financing cash flow 115.75%190M33.65%-5.67B66.94%-928M-34.61%-3.6B101.39%64M-178.88%-1.21B-318.93%-8.54B-649.32%-2.81B7.03%-2.67B-806.31%-4.59B
Net cash flow
Beginning cash position 0.24%10.21B23.18%10.18B-16.73%9.57B4.43%11.42B-24.68%10.15B23.18%10.18B-12.20%8.27B55.96%11.5B12.48%10.93B59.16%13.47B
Current changes in cash -47,233.33%-1.42B-95.47%86M160.98%719M-484.49%-1.88B148.08%1.25B-100.06%-3M258.33%1.9B-233.83%-1.18B120.71%490M-305.35%-2.61B
Effect of exchange rate changes 150.00%16M-487.50%-62M36.03%-87M-45.21%40M-75.71%17M-455.56%-32M-69.23%16M-1,146.15%-136M329.41%73M600.00%70M
End cash Position -13.26%8.8B0.24%10.21B0.24%10.21B-16.73%9.57B4.43%11.42B-24.68%10.15B23.18%10.18B23.18%10.18B55.96%11.5B12.48%10.93B
Free cash flow -103.13%-27M-37.20%5.9B-17.36%1.51B-52.80%1.65B-19.88%1.89B-50.23%863M23.29%9.4B-56.40%1.83B101.21%3.49B60.46%2.35B
Currency Unit EUREUREUREUREUREUREUREUREUREUR
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

Analysis

Analyst Rating

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Price Target

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