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LIN Linde

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406.640 -5.060-1.23% Close 12/04 16:00 ET
406.6400.0000.00% Post 16:12 ET
411.240High406.021Low2.09MVolume

Linde 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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-4.40%2.52B
0.80%2.15B
-4.60%1.91B
-8.85%8.86B
-35.20%2.1B
3.13%2.64B
16.75%2.13B
-5.17%2B
30.91%9.73B
32.83%3.23B
Net income from continuing operations
22.94%1.57B
358.04%1.54B
28.26%1.55B
8.39%4.15B
29.43%1.33B
30.03%1.27B
-60.05%336M
23.47%1.21B
52.98%3.83B
33.25%1.03B
Depreciation and amortization
-8.23%959M
-12.01%960M
-14.75%948M
-9.30%4.2B
-15.77%956M
-10.15%1.05B
-6.83%1.09B
-4.63%1.11B
0.19%4.64B
-4.78%1.14B
Deferred tax
41.88%-111M
59.88%-65M
106.78%4M
-50.79%-383M
141.43%29M
-80.19%-191M
-1,146.15%-162M
9.23%-59M
31.17%-254M
0.00%-70M
Other non cash items
-115.25%-34M
-100.45%-5M
-418.97%-301M
354.13%1.1B
-821.05%-175M
106.48%223M
890.18%1.11B
-241.46%-58M
39.08%242M
-138.00%-19M
Change In working capital
-59.46%105M
-22.09%-315M
-35.98%-325M
-127.00%-310M
-106.38%-72M
-31.84%259M
18.87%-258M
-469.05%-239M
215.38%1.15B
143.63%1.13B
-Change in receivables
120.69%6M
78.33%-44M
61.47%-131M
23.51%-423M
1,164.29%149M
80.79%-29M
3.33%-203M
-91.01%-340M
-3,010.53%-553M
-114.74%-14M
-Change in inventory
74.36%-40M
76.15%-26M
-68.57%-59M
-168.99%-347M
9.62%-47M
-345.71%-156M
-705.56%-109M
41.67%-35M
-816.67%-129M
-143.70%-52M
-Change in prepaid assets
483.33%70M
-112.50%-34M
95.33%-5M
-306.58%-157M
-145.54%-46M
340.00%12M
-136.36%-16M
-67.19%-107M
-40.63%76M
-20.47%101M
-Change in payables and accrued expense
-37.91%190M
-2,173.68%-394M
-225.49%-64M
-31.32%307M
-121.84%-69M
232.61%306M
163.33%19M
-26.09%51M
310.09%447M
161.16%316M
-Change in other working capital
-196.03%-121M
258.82%183M
-134.38%-66M
-76.28%310M
-107.59%-59M
-73.70%126M
136.43%51M
0.52%192M
1,352.22%1.31B
77,600.00%777M
Cash from discontinued investing activities
Operating cash flow
-4.40%2.52B
0.80%2.15B
-4.60%1.91B
-8.85%8.86B
-35.20%2.1B
3.13%2.64B
16.75%2.13B
-5.17%2B
30.91%9.73B
32.83%3.23B
Investing cash flow
Cash flow from continuing investing activities
-35.14%-946M
-2.61%-864M
-145.71%-1.63B
-2.69%-3.09B
-0.57%-881M
-4.32%-700M
-18.76%-842M
11.45%-665M
-0.70%-3.01B
13.01%-876M
Capital expenditure reported
-24.41%-948M
-4.00%-859M
-27.73%-829M
-2.82%-3.17B
-11.56%-936M
-2.83%-762M
-11.02%-826M
14.83%-649M
9.24%-3.09B
18.31%-839M
Net business purchase and sale
-96.77%2M
68.75%-5M
-4,931.25%-805M
7.59%85M
248.65%55M
-11.43%62M
-145.71%-16M
-245.45%-16M
-80.92%79M
-285.00%-37M
Cash from discontinued investing activities
Investing cash flow
-35.14%-946M
-2.61%-864M
-145.71%-1.63B
-2.69%-3.09B
-0.57%-881M
-4.32%-700M
-18.76%-842M
11.45%-665M
-0.70%-3.01B
13.01%-876M
Financing cash flow
Cash flow from continuing financing activities
43.95%-964M
-44.38%-2.89B
-413.11%-764M
59.29%-3.09B
109.25%390M
-571.88%-1.72B
6.62%-2B
125.15%244M
-126.85%-7.59B
-42.13%-4.22B
Net issuance payments of debt
2,382.86%869M
-735.05%-1.36B
-71.84%717M
970.62%4.48B
172.35%1.68B
-97.66%35M
158.31%214M
273.86%2.55B
-139.15%-514M
-14.84%-2.32B
Net common stock issuance
-0.61%-1.15B
43.68%-900M
50.50%-846M
-12.49%-5.13B
49.78%-678M
1.29%-1.15B
-33.28%-1.6B
-100.82%-1.71B
-89.29%-4.56B
-220.67%-1.35B
Cash dividends paid
-6.71%-620M
-6.50%-623M
-5.24%-623M
-7.08%-2.34B
-8.32%-586M
-6.41%-581M
-6.56%-585M
-7.05%-592M
-7.94%-2.19B
-7.13%-541M
Net other financing activities
-118.52%-59M
70.59%-10M
-1,100.00%-12M
72.76%-88M
-550.00%-26M
35.71%-27M
-13.33%-34M
99.60%-1M
-46.82%-323M
78.95%-4M
Cash from discontinued financing activities
Financing cash flow
43.95%-964M
-44.38%-2.89B
-413.11%-764M
59.29%-3.09B
109.25%390M
-571.88%-1.72B
6.62%-2B
125.15%244M
-126.85%-7.59B
-42.13%-4.22B
Net cash flow
Beginning cash position
-8.15%3.36B
11.16%4.96B
92.56%5.44B
-24.80%2.82B
-20.09%3.76B
16.51%3.66B
8.98%4.46B
-24.80%2.82B
39.04%3.75B
-9.60%4.7B
Current changes in cash
182.41%610M
-125.56%-1.61B
-131.03%-490M
408.85%2.69B
186.24%1.6B
-86.74%216M
30.67%-712M
306.96%1.58B
-179.23%-870M
-20.78%-1.86B
Effect of exchange rate changes
36.52%-73M
101.03%1M
-74.19%16M
-21.31%-74M
547.06%76M
-74.24%-115M
-242.65%-97M
234.78%62M
-38.64%-61M
-117.89%-17M
End cash Position
3.67%3.89B
-8.15%3.36B
11.16%4.96B
92.56%5.44B
92.56%5.44B
-20.09%3.76B
16.51%3.66B
8.98%4.46B
-24.80%2.82B
-24.80%2.82B
Free cash flow
-16.12%1.57B
-1.22%1.29B
-20.13%1.08B
-14.28%5.69B
-51.59%1.16B
3.25%1.87B
20.68%1.31B
0.30%1.35B
64.78%6.64B
70.15%2.39B
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
--
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--
--
--
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Unqualified Opinion
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(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -4.40%2.52B0.80%2.15B-4.60%1.91B-8.85%8.86B-35.20%2.1B3.13%2.64B16.75%2.13B-5.17%2B30.91%9.73B32.83%3.23B
Net income from continuing operations 22.94%1.57B358.04%1.54B28.26%1.55B8.39%4.15B29.43%1.33B30.03%1.27B-60.05%336M23.47%1.21B52.98%3.83B33.25%1.03B
Depreciation and amortization -8.23%959M-12.01%960M-14.75%948M-9.30%4.2B-15.77%956M-10.15%1.05B-6.83%1.09B-4.63%1.11B0.19%4.64B-4.78%1.14B
Deferred tax 41.88%-111M59.88%-65M106.78%4M-50.79%-383M141.43%29M-80.19%-191M-1,146.15%-162M9.23%-59M31.17%-254M0.00%-70M
Other non cash items -115.25%-34M-100.45%-5M-418.97%-301M354.13%1.1B-821.05%-175M106.48%223M890.18%1.11B-241.46%-58M39.08%242M-138.00%-19M
Change In working capital -59.46%105M-22.09%-315M-35.98%-325M-127.00%-310M-106.38%-72M-31.84%259M18.87%-258M-469.05%-239M215.38%1.15B143.63%1.13B
-Change in receivables 120.69%6M78.33%-44M61.47%-131M23.51%-423M1,164.29%149M80.79%-29M3.33%-203M-91.01%-340M-3,010.53%-553M-114.74%-14M
-Change in inventory 74.36%-40M76.15%-26M-68.57%-59M-168.99%-347M9.62%-47M-345.71%-156M-705.56%-109M41.67%-35M-816.67%-129M-143.70%-52M
-Change in prepaid assets 483.33%70M-112.50%-34M95.33%-5M-306.58%-157M-145.54%-46M340.00%12M-136.36%-16M-67.19%-107M-40.63%76M-20.47%101M
-Change in payables and accrued expense -37.91%190M-2,173.68%-394M-225.49%-64M-31.32%307M-121.84%-69M232.61%306M163.33%19M-26.09%51M310.09%447M161.16%316M
-Change in other working capital -196.03%-121M258.82%183M-134.38%-66M-76.28%310M-107.59%-59M-73.70%126M136.43%51M0.52%192M1,352.22%1.31B77,600.00%777M
Cash from discontinued investing activities
Operating cash flow -4.40%2.52B0.80%2.15B-4.60%1.91B-8.85%8.86B-35.20%2.1B3.13%2.64B16.75%2.13B-5.17%2B30.91%9.73B32.83%3.23B
Investing cash flow
Cash flow from continuing investing activities -35.14%-946M-2.61%-864M-145.71%-1.63B-2.69%-3.09B-0.57%-881M-4.32%-700M-18.76%-842M11.45%-665M-0.70%-3.01B13.01%-876M
Capital expenditure reported -24.41%-948M-4.00%-859M-27.73%-829M-2.82%-3.17B-11.56%-936M-2.83%-762M-11.02%-826M14.83%-649M9.24%-3.09B18.31%-839M
Net business purchase and sale -96.77%2M68.75%-5M-4,931.25%-805M7.59%85M248.65%55M-11.43%62M-145.71%-16M-245.45%-16M-80.92%79M-285.00%-37M
Cash from discontinued investing activities
Investing cash flow -35.14%-946M-2.61%-864M-145.71%-1.63B-2.69%-3.09B-0.57%-881M-4.32%-700M-18.76%-842M11.45%-665M-0.70%-3.01B13.01%-876M
Financing cash flow
Cash flow from continuing financing activities 43.95%-964M-44.38%-2.89B-413.11%-764M59.29%-3.09B109.25%390M-571.88%-1.72B6.62%-2B125.15%244M-126.85%-7.59B-42.13%-4.22B
Net issuance payments of debt 2,382.86%869M-735.05%-1.36B-71.84%717M970.62%4.48B172.35%1.68B-97.66%35M158.31%214M273.86%2.55B-139.15%-514M-14.84%-2.32B
Net common stock issuance -0.61%-1.15B43.68%-900M50.50%-846M-12.49%-5.13B49.78%-678M1.29%-1.15B-33.28%-1.6B-100.82%-1.71B-89.29%-4.56B-220.67%-1.35B
Cash dividends paid -6.71%-620M-6.50%-623M-5.24%-623M-7.08%-2.34B-8.32%-586M-6.41%-581M-6.56%-585M-7.05%-592M-7.94%-2.19B-7.13%-541M
Net other financing activities -118.52%-59M70.59%-10M-1,100.00%-12M72.76%-88M-550.00%-26M35.71%-27M-13.33%-34M99.60%-1M-46.82%-323M78.95%-4M
Cash from discontinued financing activities
Financing cash flow 43.95%-964M-44.38%-2.89B-413.11%-764M59.29%-3.09B109.25%390M-571.88%-1.72B6.62%-2B125.15%244M-126.85%-7.59B-42.13%-4.22B
Net cash flow
Beginning cash position -8.15%3.36B11.16%4.96B92.56%5.44B-24.80%2.82B-20.09%3.76B16.51%3.66B8.98%4.46B-24.80%2.82B39.04%3.75B-9.60%4.7B
Current changes in cash 182.41%610M-125.56%-1.61B-131.03%-490M408.85%2.69B186.24%1.6B-86.74%216M30.67%-712M306.96%1.58B-179.23%-870M-20.78%-1.86B
Effect of exchange rate changes 36.52%-73M101.03%1M-74.19%16M-21.31%-74M547.06%76M-74.24%-115M-242.65%-97M234.78%62M-38.64%-61M-117.89%-17M
End cash Position 3.67%3.89B-8.15%3.36B11.16%4.96B92.56%5.44B92.56%5.44B-20.09%3.76B16.51%3.66B8.98%4.46B-24.80%2.82B-24.80%2.82B
Free cash flow -16.12%1.57B-1.22%1.29B-20.13%1.08B-14.28%5.69B-51.59%1.16B3.25%1.87B20.68%1.31B0.30%1.35B64.78%6.64B70.15%2.39B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----------------Unqualified Opinion--
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