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HES Hess Corp

Watchlist
145.600 +1.090+0.75% Close 11/28 16:00 ET
145.6000.0000.00% Post 16:10 ET
146.770High144.280Low2.23MVolume

Hess Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)2023/09/30
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/30
(Q2)2022/06/30
(Q1)2022/03/31
(FY)2021/12/31
(Q4)2021/12/31
Assets
Current assets
Cash, cash equivalents and short term investments
-15.35%2.02B
3.10%2.23B
53.28%2.1B
-8.37%2.49B
-8.37%2.49B
-1.45%2.38B
-11.15%2.16B
-26.58%1.37B
56.01%2.71B
56.01%2.71B
-Cash and cash equivalents
-15.35%2.02B
3.10%2.23B
53.28%2.1B
-8.37%2.49B
-8.37%2.49B
-1.45%2.38B
-11.15%2.16B
-26.58%1.37B
56.01%2.71B
56.01%2.71B
Receivables
6.18%1.46B
-27.52%1.02B
-20.80%1.21B
-4.05%1.16B
-4.05%1.16B
25.69%1.38B
40.32%1.41B
50.74%1.52B
40.81%1.21B
40.81%1.21B
-Accounts receivable
6.18%1.46B
-27.52%1.02B
-20.80%1.21B
-4.05%1.16B
-4.05%1.16B
25.69%1.38B
40.32%1.41B
50.74%1.52B
40.81%1.21B
40.81%1.21B
Inventory
19.78%333M
-12.30%278M
-5.76%229M
-2.69%217M
-2.69%217M
6.11%278M
31.54%317M
10.96%243M
-41.01%223M
-41.01%223M
Other current assets
22.09%105M
108.05%181M
103.88%263M
-66.83%66M
-66.83%66M
-26.50%86M
27.94%87M
-34.52%129M
91.35%199M
91.35%199M
Total current assets
-5.02%3.92B
-6.68%3.7B
16.32%3.8B
-9.55%3.93B
-9.55%3.93B
5.94%4.12B
0.00%3.97B
-7.27%3.27B
41.06%4.35B
41.06%4.35B
Non current assets
Net PPE
8.49%17.02B
6.32%16.37B
7.37%16.08B
7.60%15.79B
7.60%15.79B
8.40%15.68B
8.57%15.4B
3.90%14.97B
-0.21%14.68B
-0.21%14.68B
-Gross PPE
8.71%35.82B
5.22%34.71B
5.19%33.94B
5.10%33.29B
5.10%33.29B
6.03%32.95B
8.25%32.98B
3.45%32.27B
1.80%31.67B
1.80%31.67B
-Accumulated depreciation
-8.91%-18.8B
-4.25%-18.33B
-3.30%-17.86B
-2.93%-17.49B
-2.93%-17.49B
-3.96%-17.26B
-7.98%-17.58B
-3.06%-17.29B
-3.61%-17B
-3.61%-17B
Goodwill and other intangible assets
0.00%360M
0.00%360M
0.00%360M
0.00%360M
0.00%360M
0.00%360M
0.00%360M
0.00%360M
0.00%360M
0.00%360M
-Goodwill
0.00%360M
0.00%360M
0.00%360M
0.00%360M
0.00%360M
0.00%360M
0.00%360M
0.00%360M
0.00%360M
0.00%360M
Non current deferred assets
109.35%291M
45.58%214M
101.54%131M
87.32%133M
87.32%133M
434.62%139M
600.00%147M
58.54%65M
20.34%71M
20.34%71M
Defined pension benefit
8.27%668M
10.12%664M
60.92%663M
58.44%648M
58.44%648M
--617M
--603M
--412M
808.89%409M
808.89%409M
Other non current assets
32.08%951M
30.53%915M
25.86%910M
27.34%829M
27.34%829M
-3.23%720M
11.09%701M
16.99%723M
14.81%651M
14.81%651M
Total non current assets
10.07%19.29B
7.64%18.53B
9.72%18.14B
9.86%17.76B
9.86%17.76B
12.32%17.52B
13.25%17.21B
7.15%16.53B
2.73%16.17B
2.73%16.17B
Total assets
7.20%23.2B
4.96%22.23B
10.81%21.94B
5.75%21.7B
5.75%21.7B
11.05%21.64B
10.51%21.18B
4.47%19.8B
9.00%20.52B
9.00%20.52B
Liabilities
Current liabilities
Payables
9.63%535M
-16.20%419M
-8.62%403M
-55.61%332M
-55.61%332M
-14.24%488M
12.11%500M
29.71%441M
166.19%748M
166.19%748M
-accounts payable
32.71%426M
-2.51%350M
10.26%344M
29.55%285M
29.55%285M
52.86%321M
101.69%359M
81.40%312M
10.00%220M
10.00%220M
-Total tax payable
-34.73%109M
-51.06%69M
-54.26%59M
-91.10%47M
-91.10%47M
-53.48%167M
-47.39%141M
-23.21%129M
551.85%528M
551.85%528M
Current accrued expenses
12.94%1.58B
-0.69%1.44B
-3.73%1.42B
7.14%1.5B
7.14%1.5B
8.62%1.4B
37.03%1.45B
70.13%1.48B
36.15%1.4B
36.15%1.4B
Current provisions
8.84%234M
3.88%241M
-13.73%176M
11.89%207M
11.89%207M
11.40%215M
11.00%232M
30.77%204M
76.19%185M
76.19%185M
Current debt and capital lease obligation
319.01%507M
101.75%230M
114.16%242M
-63.04%224M
-63.04%224M
-79.90%121M
-81.03%114M
17.71%113M
565.93%606M
565.93%606M
-Current debt
--307M
--8M
-77.27%5M
-99.42%3M
-99.42%3M
----
----
69.23%22M
5,070.00%517M
5,070.00%517M
-Current capital lease obligation
65.29%200M
94.74%222M
160.44%237M
148.31%221M
148.31%221M
37.50%121M
26.67%114M
9.64%91M
9.88%89M
9.88%89M
Current liabilities
29.58%3B
2.04%2.4B
0.22%2.31B
-21.80%2.4B
-21.80%2.4B
-15.90%2.31B
-6.81%2.36B
36.27%2.3B
88.79%3.06B
88.79%3.06B
Non current liabilities
Long term provisions
4.80%1.11B
-6.61%960M
1.35%1.05B
2.89%1.03B
2.89%1.03B
26.73%1.06B
41.21%1.03B
36.68%1.04B
12.42%1.01B
12.42%1.01B
Long term debt and capital lease obligation
-1.71%8.8B
0.61%9.03B
5.50%8.98B
4.58%8.93B
4.58%8.93B
3.96%8.95B
7.62%8.98B
-4.65%8.51B
-5.00%8.54B
-5.00%8.54B
-Long term debt
-0.75%8.24B
1.52%8.46B
5.65%8.38B
4.24%8.28B
4.24%8.28B
3.88%8.3B
8.04%8.33B
-4.10%7.93B
-4.16%7.94B
-4.16%7.94B
-Long term capital lease obligation
-14.09%555M
-11.13%575M
3.47%596M
9.09%648M
9.09%648M
5.04%646M
2.54%647M
-11.66%576M
-14.90%594M
-14.90%594M
Non current deferred liabilities
-8.77%551M
-8.64%497M
9.13%454M
9.14%418M
9.14%418M
74.57%604M
71.07%544M
28.40%416M
11.99%383M
11.99%383M
Other non current liabilities
-14.56%446M
-15.89%434M
-11.96%427M
-15.34%425M
-15.34%425M
-24.68%522M
-28.13%516M
-20.62%485M
-21.93%502M
-21.93%502M
Total non current liabilities
-2.07%10.91B
-1.28%10.93B
4.42%10.91B
3.63%10.8B
3.63%10.8B
6.22%11.14B
9.50%11.07B
-1.61%10.45B
-4.03%10.43B
-4.03%10.43B
Total liabilities
3.37%13.9B
-0.70%13.33B
3.66%13.22B
-2.15%13.2B
-2.15%13.2B
1.62%13.45B
6.24%13.42B
3.59%12.75B
8.03%13.49B
8.03%13.49B
Shareholders'equity
Share capital
-0.32%307M
-0.97%307M
-1.29%307M
-1.29%306M
-1.29%306M
-0.65%308M
0.00%310M
0.97%311M
0.98%310M
0.98%310M
-common stock
-0.32%307M
-0.97%307M
-1.29%307M
-1.29%306M
-1.29%306M
-0.65%308M
0.00%310M
0.97%311M
0.98%310M
0.98%310M
Retained earnings
50.59%2.04B
55.35%1.67B
147.94%1.69B
288.92%1.47B
288.92%1.47B
605.21%1.35B
593.55%1.08B
122.95%680M
191.54%379M
191.54%379M
Paid-in capital
4.01%6.48B
3.30%6.44B
2.81%6.25B
3.14%6.21B
3.14%6.21B
5.49%6.23B
6.43%6.24B
5.26%6.08B
5.86%6.02B
5.86%6.02B
Gains losses not affecting retained earnings
41.82%-192M
69.69%-147M
85.12%-114M
67.73%-131M
67.73%-131M
58.54%-330M
41.99%-485M
1.29%-766M
46.23%-406M
46.23%-406M
Total stockholders'equity
14.18%8.63B
15.92%8.27B
28.93%8.13B
24.68%7.86B
24.68%7.86B
34.77%7.56B
30.03%7.14B
12.32%6.31B
17.41%6.3B
17.41%6.3B
Noncontrolling interests
5.20%668M
1.29%630M
-20.54%588M
-11.71%641M
-11.71%641M
-1.85%635M
-40.42%622M
-27.95%740M
-25.08%726M
-25.08%726M
Total equity
13.49%9.3B
14.75%8.9B
23.74%8.72B
20.92%8.5B
20.92%8.5B
30.98%8.19B
18.77%7.76B
6.10%7.05B
10.91%7.03B
10.91%7.03B
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
--
(Q3)2023/09/30(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/30(Q2)2022/06/30(Q1)2022/03/31(FY)2021/12/31(Q4)2021/12/31
Assets
Current assets
Cash, cash equivalents and short term investments -15.35%2.02B3.10%2.23B53.28%2.1B-8.37%2.49B-8.37%2.49B-1.45%2.38B-11.15%2.16B-26.58%1.37B56.01%2.71B56.01%2.71B
-Cash and cash equivalents -15.35%2.02B3.10%2.23B53.28%2.1B-8.37%2.49B-8.37%2.49B-1.45%2.38B-11.15%2.16B-26.58%1.37B56.01%2.71B56.01%2.71B
Receivables 6.18%1.46B-27.52%1.02B-20.80%1.21B-4.05%1.16B-4.05%1.16B25.69%1.38B40.32%1.41B50.74%1.52B40.81%1.21B40.81%1.21B
-Accounts receivable 6.18%1.46B-27.52%1.02B-20.80%1.21B-4.05%1.16B-4.05%1.16B25.69%1.38B40.32%1.41B50.74%1.52B40.81%1.21B40.81%1.21B
Inventory 19.78%333M-12.30%278M-5.76%229M-2.69%217M-2.69%217M6.11%278M31.54%317M10.96%243M-41.01%223M-41.01%223M
Other current assets 22.09%105M108.05%181M103.88%263M-66.83%66M-66.83%66M-26.50%86M27.94%87M-34.52%129M91.35%199M91.35%199M
Total current assets -5.02%3.92B-6.68%3.7B16.32%3.8B-9.55%3.93B-9.55%3.93B5.94%4.12B0.00%3.97B-7.27%3.27B41.06%4.35B41.06%4.35B
Non current assets
Net PPE 8.49%17.02B6.32%16.37B7.37%16.08B7.60%15.79B7.60%15.79B8.40%15.68B8.57%15.4B3.90%14.97B-0.21%14.68B-0.21%14.68B
-Gross PPE 8.71%35.82B5.22%34.71B5.19%33.94B5.10%33.29B5.10%33.29B6.03%32.95B8.25%32.98B3.45%32.27B1.80%31.67B1.80%31.67B
-Accumulated depreciation -8.91%-18.8B-4.25%-18.33B-3.30%-17.86B-2.93%-17.49B-2.93%-17.49B-3.96%-17.26B-7.98%-17.58B-3.06%-17.29B-3.61%-17B-3.61%-17B
Goodwill and other intangible assets 0.00%360M0.00%360M0.00%360M0.00%360M0.00%360M0.00%360M0.00%360M0.00%360M0.00%360M0.00%360M
-Goodwill 0.00%360M0.00%360M0.00%360M0.00%360M0.00%360M0.00%360M0.00%360M0.00%360M0.00%360M0.00%360M
Non current deferred assets 109.35%291M45.58%214M101.54%131M87.32%133M87.32%133M434.62%139M600.00%147M58.54%65M20.34%71M20.34%71M
Defined pension benefit 8.27%668M10.12%664M60.92%663M58.44%648M58.44%648M--617M--603M--412M808.89%409M808.89%409M
Other non current assets 32.08%951M30.53%915M25.86%910M27.34%829M27.34%829M-3.23%720M11.09%701M16.99%723M14.81%651M14.81%651M
Total non current assets 10.07%19.29B7.64%18.53B9.72%18.14B9.86%17.76B9.86%17.76B12.32%17.52B13.25%17.21B7.15%16.53B2.73%16.17B2.73%16.17B
Total assets 7.20%23.2B4.96%22.23B10.81%21.94B5.75%21.7B5.75%21.7B11.05%21.64B10.51%21.18B4.47%19.8B9.00%20.52B9.00%20.52B
Liabilities
Current liabilities
Payables 9.63%535M-16.20%419M-8.62%403M-55.61%332M-55.61%332M-14.24%488M12.11%500M29.71%441M166.19%748M166.19%748M
-accounts payable 32.71%426M-2.51%350M10.26%344M29.55%285M29.55%285M52.86%321M101.69%359M81.40%312M10.00%220M10.00%220M
-Total tax payable -34.73%109M-51.06%69M-54.26%59M-91.10%47M-91.10%47M-53.48%167M-47.39%141M-23.21%129M551.85%528M551.85%528M
Current accrued expenses 12.94%1.58B-0.69%1.44B-3.73%1.42B7.14%1.5B7.14%1.5B8.62%1.4B37.03%1.45B70.13%1.48B36.15%1.4B36.15%1.4B
Current provisions 8.84%234M3.88%241M-13.73%176M11.89%207M11.89%207M11.40%215M11.00%232M30.77%204M76.19%185M76.19%185M
Current debt and capital lease obligation 319.01%507M101.75%230M114.16%242M-63.04%224M-63.04%224M-79.90%121M-81.03%114M17.71%113M565.93%606M565.93%606M
-Current debt --307M--8M-77.27%5M-99.42%3M-99.42%3M--------69.23%22M5,070.00%517M5,070.00%517M
-Current capital lease obligation 65.29%200M94.74%222M160.44%237M148.31%221M148.31%221M37.50%121M26.67%114M9.64%91M9.88%89M9.88%89M
Current liabilities 29.58%3B2.04%2.4B0.22%2.31B-21.80%2.4B-21.80%2.4B-15.90%2.31B-6.81%2.36B36.27%2.3B88.79%3.06B88.79%3.06B
Non current liabilities
Long term provisions 4.80%1.11B-6.61%960M1.35%1.05B2.89%1.03B2.89%1.03B26.73%1.06B41.21%1.03B36.68%1.04B12.42%1.01B12.42%1.01B
Long term debt and capital lease obligation -1.71%8.8B0.61%9.03B5.50%8.98B4.58%8.93B4.58%8.93B3.96%8.95B7.62%8.98B-4.65%8.51B-5.00%8.54B-5.00%8.54B
-Long term debt -0.75%8.24B1.52%8.46B5.65%8.38B4.24%8.28B4.24%8.28B3.88%8.3B8.04%8.33B-4.10%7.93B-4.16%7.94B-4.16%7.94B
-Long term capital lease obligation -14.09%555M-11.13%575M3.47%596M9.09%648M9.09%648M5.04%646M2.54%647M-11.66%576M-14.90%594M-14.90%594M
Non current deferred liabilities -8.77%551M-8.64%497M9.13%454M9.14%418M9.14%418M74.57%604M71.07%544M28.40%416M11.99%383M11.99%383M
Other non current liabilities -14.56%446M-15.89%434M-11.96%427M-15.34%425M-15.34%425M-24.68%522M-28.13%516M-20.62%485M-21.93%502M-21.93%502M
Total non current liabilities -2.07%10.91B-1.28%10.93B4.42%10.91B3.63%10.8B3.63%10.8B6.22%11.14B9.50%11.07B-1.61%10.45B-4.03%10.43B-4.03%10.43B
Total liabilities 3.37%13.9B-0.70%13.33B3.66%13.22B-2.15%13.2B-2.15%13.2B1.62%13.45B6.24%13.42B3.59%12.75B8.03%13.49B8.03%13.49B
Shareholders'equity
Share capital -0.32%307M-0.97%307M-1.29%307M-1.29%306M-1.29%306M-0.65%308M0.00%310M0.97%311M0.98%310M0.98%310M
-common stock -0.32%307M-0.97%307M-1.29%307M-1.29%306M-1.29%306M-0.65%308M0.00%310M0.97%311M0.98%310M0.98%310M
Retained earnings 50.59%2.04B55.35%1.67B147.94%1.69B288.92%1.47B288.92%1.47B605.21%1.35B593.55%1.08B122.95%680M191.54%379M191.54%379M
Paid-in capital 4.01%6.48B3.30%6.44B2.81%6.25B3.14%6.21B3.14%6.21B5.49%6.23B6.43%6.24B5.26%6.08B5.86%6.02B5.86%6.02B
Gains losses not affecting retained earnings 41.82%-192M69.69%-147M85.12%-114M67.73%-131M67.73%-131M58.54%-330M41.99%-485M1.29%-766M46.23%-406M46.23%-406M
Total stockholders'equity 14.18%8.63B15.92%8.27B28.93%8.13B24.68%7.86B24.68%7.86B34.77%7.56B30.03%7.14B12.32%6.31B17.41%6.3B17.41%6.3B
Noncontrolling interests 5.20%668M1.29%630M-20.54%588M-11.71%641M-11.71%641M-1.85%635M-40.42%622M-27.95%740M-25.08%726M-25.08%726M
Total equity 13.49%9.3B14.75%8.9B23.74%8.72B20.92%8.5B20.92%8.5B30.98%8.19B18.77%7.76B6.10%7.05B10.91%7.03B10.91%7.03B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--
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Types
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