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IBDSF IBERDROLA SA

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12.460 +0.085+0.69% Close 11/28 16:00 ET
12.490High12.460Low3.45KVolume

IBERDROLA SA 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
-47.15%4.12B
-40.84%3.86B
4.69%5.67B
10.06%4.99B
10.06%4.99B
43.88%7.8B
51.11%6.53B
73.07%5.41B
19.72%4.54B
19.72%4.54B
-Cash and cash equivalents
-39.33%2.69B
-39.03%2.45B
-10.30%3.9B
14.26%4.61B
14.26%4.61B
-0.94%4.43B
17.79%4.03B
78.42%4.35B
17.68%4.03B
17.68%4.03B
-Short-term investments
-57.46%1.43B
-43.74%1.41B
65.98%1.77B
-23.71%383M
-23.71%383M
256.19%3.37B
176.91%2.51B
54.20%1.06B
39.06%502M
39.06%502M
-Accounts receivable
-34.58%8.98B
-16.96%8.62B
-1.21%10.13B
20.66%9.52B
20.66%9.52B
68.89%13.73B
39.57%10.38B
40.52%10.25B
22.93%7.89B
22.93%7.89B
-Taxes receivable
-25.61%1.26B
77.67%1.1B
-0.35%1.97B
23.43%453M
23.43%453M
-5.90%1.69B
-66.68%618M
38.57%1.98B
-34.93%367M
-34.93%367M
-Other receivables
----
----
----
-52.40%1.28B
-52.40%1.28B
----
--1.36B
----
276.33%2.69B
276.33%2.69B
Inventory
-9.49%2.59B
-7.42%2.82B
-5.64%2.86B
-16.79%2.42B
-16.79%2.42B
9.81%2.87B
7.67%3.05B
6.61%3.03B
7.51%2.91B
7.51%2.91B
Prepaid assets
----
----
----
158.67%2.45B
158.67%2.45B
----
----
----
585.51%946M
585.51%946M
Total current assets
-31.29%23.21B
-13.34%23.37B
-4.75%23.98B
4.40%23.37B
4.40%23.37B
75.58%33.78B
57.48%26.96B
66.99%25.17B
49.50%22.38B
49.50%22.38B
Non current assets
Net PPE
-0.70%89.87B
-0.28%86.66B
3.61%88.13B
7.85%88.7B
7.85%88.7B
15.02%90.5B
12.66%86.9B
11.78%85.06B
11.51%82.24B
11.51%82.24B
-Gross PPE
-0.70%89.87B
-0.28%86.66B
3.61%88.13B
7.57%140.82B
7.57%140.82B
15.02%90.5B
12.66%86.9B
11.78%85.06B
10.83%130.91B
10.83%130.91B
-Accumulated depreciation
----
----
----
-7.10%-52.12B
-7.10%-52.12B
----
----
----
-9.71%-48.67B
-9.71%-48.67B
Goodwill and other intangible assets
-1.75%20.65B
-2.69%20.1B
-3.21%19.86B
1.05%20.12B
1.05%20.12B
8.19%21.02B
7.69%20.66B
7.93%20.52B
9.26%19.91B
9.26%19.91B
-Goodwill
0.15%8.46B
-1.09%8.29B
-3.97%8.16B
-1.48%8.19B
-1.48%8.19B
4.13%8.44B
4.28%8.38B
6.54%8.49B
9.18%8.31B
9.18%8.31B
-Other intangible assets
-3.03%12.2B
-3.79%11.81B
-2.68%11.71B
2.86%11.93B
2.86%11.93B
11.09%12.58B
10.15%12.28B
8.94%12.03B
9.31%11.6B
9.31%11.6B
Financial assets
-71.28%1.84B
-40.12%1.86B
-18.71%2.66B
157.64%3.66B
157.64%3.66B
264.42%6.42B
201.16%3.11B
180.72%3.28B
3.80%1.42B
3.80%1.42B
Non current prepaid assets
----
----
----
16.85%319M
16.85%319M
----
----
----
5.41%273M
5.41%273M
Defined pension benefit
----
----
----
23.66%392M
23.66%392M
----
----
----
6,240.00%317M
6,240.00%317M
Other non current assets
----
---1M
-200.00%-1M
----
----
50.00%-1M
----
--1M
----
----
Total non current assets
-7.70%126.66B
-5.58%122.58B
3.01%129.66B
10.00%131.3B
10.00%131.3B
18.73%137.23B
15.52%129.82B
13.92%125.88B
10.99%119.37B
10.99%119.37B
Total assets
-12.36%149.87B
-6.92%145.94B
1.71%153.64B
9.11%154.67B
9.11%154.67B
26.84%171.01B
21.07%156.79B
20.29%151.05B
15.70%141.75B
15.70%141.75B
Liabilities
Current liabilities
Payables
-28.60%6.75B
-23.55%6.69B
-4.38%8.4B
12.70%10.32B
12.70%10.32B
11.60%9.46B
16.96%8.75B
19.39%8.78B
16.87%9.16B
16.87%9.16B
-accounts payable
-29.33%5.04B
-20.08%4.9B
-13.17%5.49B
15.53%8.47B
15.53%8.47B
21.82%7.14B
16.05%6.13B
23.09%6.32B
13.93%7.33B
13.93%7.33B
-Total tax payable
-81.65%426M
145.34%1.79B
-65.38%853M
-9.98%415M
-9.98%415M
-11.27%2.32B
-66.82%730M
10.84%2.46B
158.99%461M
158.99%461M
-Dividends payable
----
----
----
8.54%178M
8.54%178M
----
----
----
--164M
--164M
-Other payable
--1.28B
----
--2.06B
4.73%1.26B
4.73%1.26B
----
--1.89B
----
-1.71%1.21B
-1.71%1.21B
Current provisions
3.94%713M
-5.54%869M
5.53%1.07B
15.49%880M
15.49%880M
30.67%686M
33.72%920M
47.31%1.01B
37.05%762M
37.05%762M
Current debt and capital lease obligation
-18.42%10.65B
3.00%10.95B
12.79%11.77B
10.74%11.83B
10.74%11.83B
45.65%13.06B
39.39%10.63B
54.93%10.43B
31.84%10.68B
31.84%10.68B
-Current debt
-18.47%10.48B
3.29%10.79B
13.07%11.62B
10.97%11.68B
10.97%11.68B
45.73%12.86B
39.45%10.45B
55.83%10.28B
32.03%10.52B
32.03%10.52B
-Current capital lease obligation
-15.69%172M
-13.44%161M
-5.77%147M
-4.43%151M
-4.43%151M
40.69%204M
35.77%186M
12.23%156M
20.61%158M
20.61%158M
Other current liabilities
23.91%1.48B
42.36%1.03B
41.55%1.15B
24.76%796M
24.76%796M
58.93%1.19B
25.22%720M
29.97%811M
82.29%638M
82.29%638M
Current liabilities
-29.61%25.95B
-10.67%26.08B
6.17%29.08B
18.42%28.84B
18.42%28.84B
64.67%36.87B
54.98%29.2B
56.72%27.39B
35.82%24.35B
35.82%24.35B
Non current liabilities
Long term provisions
-22.96%3.08B
-22.60%3.08B
-21.77%3B
-19.77%3B
-19.77%3B
9.87%4B
4.99%3.98B
5.27%3.84B
6.25%3.74B
6.25%3.74B
Long term debt and capital lease obligation
8.43%39.73B
3.33%36.68B
5.62%36.45B
14.90%38.59B
14.90%38.59B
10.68%36.64B
7.56%35.49B
5.62%34.51B
3.64%33.59B
3.64%33.59B
-Long term debt
10.49%37.81B
4.67%34.69B
6.17%34.14B
15.86%36.3B
15.86%36.3B
10.45%34.22B
7.11%33.14B
4.93%32.16B
2.80%31.33B
2.80%31.33B
-Long term capital lease obligation
-20.64%1.92B
-15.50%1.99B
-1.87%2.31B
1.51%2.29B
1.51%2.29B
14.13%2.42B
14.32%2.36B
16.07%2.35B
16.92%2.25B
16.92%2.25B
Derivative product liabilities
-64.54%2.45B
-33.55%2.44B
-26.92%2.79B
120.56%3.69B
120.56%3.69B
292.83%6.91B
336.43%3.67B
399.35%3.82B
68.82%1.67B
68.82%1.67B
Other non current liabilities
----
----
-99.77%1M
1.46%903M
1.46%903M
----
49.53%480M
22,250.00%443M
100.90%890M
100.90%890M
Total non current liabilities
-11.20%63.78B
-10.25%60.18B
-0.34%65.17B
10.51%67.71B
10.51%67.71B
18.98%71.82B
12.86%67.05B
13.01%65.39B
6.80%61.27B
6.80%61.27B
Total liabilities
-17.44%89.73B
-10.38%86.26B
1.58%94.25B
12.76%96.55B
12.76%96.55B
31.34%108.69B
23.00%96.25B
23.15%92.79B
13.71%85.63B
13.71%85.63B
Shareholders'equity
Share capital
-0.19%4.76B
0.14%4.84B
0.14%4.84B
-0.06%4.77B
-0.06%4.77B
-0.06%4.77B
0.31%4.83B
0.29%4.83B
0.27%4.78B
0.27%4.78B
-common stock
-0.19%4.76B
0.14%4.84B
0.14%4.84B
-0.06%4.77B
-0.06%4.77B
-0.06%4.77B
0.31%4.83B
0.29%4.83B
0.27%4.78B
0.27%4.78B
Retained earnings
17.17%3.64B
-90.12%2.52B
40.36%1.49B
4.62%24.65B
4.62%24.65B
28.90%3.1B
12.28%25.52B
3.22%1.06B
8.83%23.56B
8.83%23.56B
Paid-in capital
----
----
----
-1.02%14.07B
-1.02%14.07B
----
-1.03%14.16B
----
-1.02%14.22B
-1.02%14.22B
Less: Treasury stock
-2.91%1.53B
7.97%2.63B
13.02%2.34B
-5.59%1.76B
-5.59%1.76B
-9.41%1.58B
-14.17%2.43B
-15.90%2.07B
-6.30%1.86B
-6.30%1.86B
Other equity interest
-21.62%8.47B
--8.26B
-1.47%8.6B
-270.38%-932M
-270.38%-932M
38.13%10.81B
----
3,380.83%8.73B
326.03%547M
326.03%547M
Total stockholders'equity
-4.43%51.38B
16.11%51.13B
1.33%51.04B
1.58%41.12B
1.58%41.12B
20.09%53.77B
20.23%44.03B
38.65%50.37B
14.31%40.48B
14.31%40.48B
Noncontrolling interests
2.35%8.76B
-48.16%8.56B
5.73%8.34B
8.62%17B
8.62%17B
17.18%8.56B
12.85%16.51B
-43.22%7.89B
32.53%15.65B
32.53%15.65B
Total equity
-3.50%60.15B
-1.42%59.68B
1.92%59.39B
3.54%58.11B
3.54%58.11B
19.68%62.33B
18.12%60.54B
16.00%58.27B
18.87%56.13B
18.87%56.13B
Currency Unit
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
(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 -47.15%4.12B-40.84%3.86B4.69%5.67B10.06%4.99B10.06%4.99B43.88%7.8B51.11%6.53B73.07%5.41B19.72%4.54B19.72%4.54B
-Cash and cash equivalents -39.33%2.69B-39.03%2.45B-10.30%3.9B14.26%4.61B14.26%4.61B-0.94%4.43B17.79%4.03B78.42%4.35B17.68%4.03B17.68%4.03B
-Short-term investments -57.46%1.43B-43.74%1.41B65.98%1.77B-23.71%383M-23.71%383M256.19%3.37B176.91%2.51B54.20%1.06B39.06%502M39.06%502M
-Accounts receivable -34.58%8.98B-16.96%8.62B-1.21%10.13B20.66%9.52B20.66%9.52B68.89%13.73B39.57%10.38B40.52%10.25B22.93%7.89B22.93%7.89B
-Taxes receivable -25.61%1.26B77.67%1.1B-0.35%1.97B23.43%453M23.43%453M-5.90%1.69B-66.68%618M38.57%1.98B-34.93%367M-34.93%367M
-Other receivables -------------52.40%1.28B-52.40%1.28B------1.36B----276.33%2.69B276.33%2.69B
Inventory -9.49%2.59B-7.42%2.82B-5.64%2.86B-16.79%2.42B-16.79%2.42B9.81%2.87B7.67%3.05B6.61%3.03B7.51%2.91B7.51%2.91B
Prepaid assets ------------158.67%2.45B158.67%2.45B------------585.51%946M585.51%946M
Total current assets -31.29%23.21B-13.34%23.37B-4.75%23.98B4.40%23.37B4.40%23.37B75.58%33.78B57.48%26.96B66.99%25.17B49.50%22.38B49.50%22.38B
Non current assets
Net PPE -0.70%89.87B-0.28%86.66B3.61%88.13B7.85%88.7B7.85%88.7B15.02%90.5B12.66%86.9B11.78%85.06B11.51%82.24B11.51%82.24B
-Gross PPE -0.70%89.87B-0.28%86.66B3.61%88.13B7.57%140.82B7.57%140.82B15.02%90.5B12.66%86.9B11.78%85.06B10.83%130.91B10.83%130.91B
-Accumulated depreciation -------------7.10%-52.12B-7.10%-52.12B-------------9.71%-48.67B-9.71%-48.67B
Goodwill and other intangible assets -1.75%20.65B-2.69%20.1B-3.21%19.86B1.05%20.12B1.05%20.12B8.19%21.02B7.69%20.66B7.93%20.52B9.26%19.91B9.26%19.91B
-Goodwill 0.15%8.46B-1.09%8.29B-3.97%8.16B-1.48%8.19B-1.48%8.19B4.13%8.44B4.28%8.38B6.54%8.49B9.18%8.31B9.18%8.31B
-Other intangible assets -3.03%12.2B-3.79%11.81B-2.68%11.71B2.86%11.93B2.86%11.93B11.09%12.58B10.15%12.28B8.94%12.03B9.31%11.6B9.31%11.6B
Financial assets -71.28%1.84B-40.12%1.86B-18.71%2.66B157.64%3.66B157.64%3.66B264.42%6.42B201.16%3.11B180.72%3.28B3.80%1.42B3.80%1.42B
Non current prepaid assets ------------16.85%319M16.85%319M------------5.41%273M5.41%273M
Defined pension benefit ------------23.66%392M23.66%392M------------6,240.00%317M6,240.00%317M
Other non current assets -------1M-200.00%-1M--------50.00%-1M------1M--------
Total non current assets -7.70%126.66B-5.58%122.58B3.01%129.66B10.00%131.3B10.00%131.3B18.73%137.23B15.52%129.82B13.92%125.88B10.99%119.37B10.99%119.37B
Total assets -12.36%149.87B-6.92%145.94B1.71%153.64B9.11%154.67B9.11%154.67B26.84%171.01B21.07%156.79B20.29%151.05B15.70%141.75B15.70%141.75B
Liabilities
Current liabilities
Payables -28.60%6.75B-23.55%6.69B-4.38%8.4B12.70%10.32B12.70%10.32B11.60%9.46B16.96%8.75B19.39%8.78B16.87%9.16B16.87%9.16B
-accounts payable -29.33%5.04B-20.08%4.9B-13.17%5.49B15.53%8.47B15.53%8.47B21.82%7.14B16.05%6.13B23.09%6.32B13.93%7.33B13.93%7.33B
-Total tax payable -81.65%426M145.34%1.79B-65.38%853M-9.98%415M-9.98%415M-11.27%2.32B-66.82%730M10.84%2.46B158.99%461M158.99%461M
-Dividends payable ------------8.54%178M8.54%178M--------------164M--164M
-Other payable --1.28B------2.06B4.73%1.26B4.73%1.26B------1.89B-----1.71%1.21B-1.71%1.21B
Current provisions 3.94%713M-5.54%869M5.53%1.07B15.49%880M15.49%880M30.67%686M33.72%920M47.31%1.01B37.05%762M37.05%762M
Current debt and capital lease obligation -18.42%10.65B3.00%10.95B12.79%11.77B10.74%11.83B10.74%11.83B45.65%13.06B39.39%10.63B54.93%10.43B31.84%10.68B31.84%10.68B
-Current debt -18.47%10.48B3.29%10.79B13.07%11.62B10.97%11.68B10.97%11.68B45.73%12.86B39.45%10.45B55.83%10.28B32.03%10.52B32.03%10.52B
-Current capital lease obligation -15.69%172M-13.44%161M-5.77%147M-4.43%151M-4.43%151M40.69%204M35.77%186M12.23%156M20.61%158M20.61%158M
Other current liabilities 23.91%1.48B42.36%1.03B41.55%1.15B24.76%796M24.76%796M58.93%1.19B25.22%720M29.97%811M82.29%638M82.29%638M
Current liabilities -29.61%25.95B-10.67%26.08B6.17%29.08B18.42%28.84B18.42%28.84B64.67%36.87B54.98%29.2B56.72%27.39B35.82%24.35B35.82%24.35B
Non current liabilities
Long term provisions -22.96%3.08B-22.60%3.08B-21.77%3B-19.77%3B-19.77%3B9.87%4B4.99%3.98B5.27%3.84B6.25%3.74B6.25%3.74B
Long term debt and capital lease obligation 8.43%39.73B3.33%36.68B5.62%36.45B14.90%38.59B14.90%38.59B10.68%36.64B7.56%35.49B5.62%34.51B3.64%33.59B3.64%33.59B
-Long term debt 10.49%37.81B4.67%34.69B6.17%34.14B15.86%36.3B15.86%36.3B10.45%34.22B7.11%33.14B4.93%32.16B2.80%31.33B2.80%31.33B
-Long term capital lease obligation -20.64%1.92B-15.50%1.99B-1.87%2.31B1.51%2.29B1.51%2.29B14.13%2.42B14.32%2.36B16.07%2.35B16.92%2.25B16.92%2.25B
Derivative product liabilities -64.54%2.45B-33.55%2.44B-26.92%2.79B120.56%3.69B120.56%3.69B292.83%6.91B336.43%3.67B399.35%3.82B68.82%1.67B68.82%1.67B
Other non current liabilities ---------99.77%1M1.46%903M1.46%903M----49.53%480M22,250.00%443M100.90%890M100.90%890M
Total non current liabilities -11.20%63.78B-10.25%60.18B-0.34%65.17B10.51%67.71B10.51%67.71B18.98%71.82B12.86%67.05B13.01%65.39B6.80%61.27B6.80%61.27B
Total liabilities -17.44%89.73B-10.38%86.26B1.58%94.25B12.76%96.55B12.76%96.55B31.34%108.69B23.00%96.25B23.15%92.79B13.71%85.63B13.71%85.63B
Shareholders'equity
Share capital -0.19%4.76B0.14%4.84B0.14%4.84B-0.06%4.77B-0.06%4.77B-0.06%4.77B0.31%4.83B0.29%4.83B0.27%4.78B0.27%4.78B
-common stock -0.19%4.76B0.14%4.84B0.14%4.84B-0.06%4.77B-0.06%4.77B-0.06%4.77B0.31%4.83B0.29%4.83B0.27%4.78B0.27%4.78B
Retained earnings 17.17%3.64B-90.12%2.52B40.36%1.49B4.62%24.65B4.62%24.65B28.90%3.1B12.28%25.52B3.22%1.06B8.83%23.56B8.83%23.56B
Paid-in capital -------------1.02%14.07B-1.02%14.07B-----1.03%14.16B-----1.02%14.22B-1.02%14.22B
Less: Treasury stock -2.91%1.53B7.97%2.63B13.02%2.34B-5.59%1.76B-5.59%1.76B-9.41%1.58B-14.17%2.43B-15.90%2.07B-6.30%1.86B-6.30%1.86B
Other equity interest -21.62%8.47B--8.26B-1.47%8.6B-270.38%-932M-270.38%-932M38.13%10.81B----3,380.83%8.73B326.03%547M326.03%547M
Total stockholders'equity -4.43%51.38B16.11%51.13B1.33%51.04B1.58%41.12B1.58%41.12B20.09%53.77B20.23%44.03B38.65%50.37B14.31%40.48B14.31%40.48B
Noncontrolling interests 2.35%8.76B-48.16%8.56B5.73%8.34B8.62%17B8.62%17B17.18%8.56B12.85%16.51B-43.22%7.89B32.53%15.65B32.53%15.65B
Total equity -3.50%60.15B-1.42%59.68B1.92%59.39B3.54%58.11B3.54%58.11B19.68%62.33B18.12%60.54B16.00%58.27B18.87%56.13B18.87%56.13B
Currency Unit EUREUREUREUREUREUREUREUREUREUR
Paper Trade Start
Symbol
Direction
Buy
Sell
Types
LMT Order
Price
QTY
Amount
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