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TECK Teck Resources

Watchlist
  • 39.600
  • +0.970+2.51%
Close 02/23 16:00 ET
  • 39.600
  • 0.0000.00%
Post 16:00 ET
20.50BMarket Cap11.44P/E (TTM)

Teck Resources Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)2023/12/31
(Q4)2023/12/31
(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
Assets
Current assets
Cash, cash equivalents and short term investments
-60.49%744M
-60.49%744M
-49.09%1.34B
-34.38%1.77B
-8.11%2.27B
31.96%1.88B
31.96%1.88B
576.41%2.64B
766.03%2.7B
568.02%2.47B
-Cash and cash equivalents
-60.49%744M
-60.49%744M
-49.09%1.34B
-34.38%1.77B
-8.11%2.27B
31.96%1.88B
31.96%1.88B
576.41%2.64B
766.03%2.7B
568.02%2.47B
Receivables
35.27%2.19B
35.27%2.19B
3.25%1.84B
-32.46%1.39B
-20.49%1.8B
-18.52%1.62B
-18.52%1.62B
-2.78%1.79B
67.02%2.06B
71.46%2.27B
-Accounts receivable
37.26%2.1B
37.26%2.1B
2.30%1.74B
-35.64%1.3B
-24.55%1.71B
-22.92%1.53B
-22.92%1.53B
-5.25%1.7B
65.30%2.02B
72.11%2.27B
-Taxes receivable
2.17%94M
2.17%94M
21.59%107M
124.39%92M
--92M
1,433.33%92M
1,433.33%92M
95.56%88M
241.67%41M
----
Inventory
9.72%2.95B
9.72%2.95B
14.52%2.96B
22.39%2.95B
19.22%2.78B
12.34%2.69B
12.34%2.69B
10.62%2.58B
10.62%2.41B
18.09%2.33B
Other current assets
8.33%585M
8.33%585M
19.57%605M
7.11%527M
-13.95%512M
80.60%540M
80.60%540M
78.17%506M
47.31%492M
61.68%595M
Total current assets
-22.04%6.47B
-22.04%6.47B
-10.16%6.75B
-13.36%6.64B
-3.91%7.36B
35.88%8.29B
35.88%8.29B
55.05%7.51B
88.91%7.66B
89.88%7.66B
Non current assets
Net PPE
13.64%45.57B
13.64%45.57B
12.61%43.99B
10.61%42.48B
12.82%42.25B
7.26%40.1B
7.26%40.1B
7.58%39.06B
9.71%38.41B
10.58%37.45B
-Gross PPE
----
----
----
----
----
7.63%62.74B
7.63%62.74B
----
----
----
-Accumulated depreciation
----
----
----
----
----
-8.30%-22.64B
-8.30%-22.64B
----
----
----
Goodwill and other intangible assets
-27.01%1.11B
-27.01%1.11B
-0.53%1.12B
0.91%1.11B
2.85%1.12B
2.15%1.52B
2.15%1.52B
2.74%1.12B
1.48%1.1B
-0.18%1.09B
-Goodwill
-0.89%1.11B
-0.89%1.11B
-0.53%1.12B
0.91%1.11B
2.85%1.12B
2.47%1.12B
2.47%1.12B
2.74%1.12B
1.48%1.1B
-0.18%1.09B
-Other intangible assets
----
----
----
----
----
1.27%400M
1.27%400M
----
----
----
Investments and advances
98.94%2.99B
98.94%2.99B
24.08%2.86B
20.82%2.79B
12.51%2.78B
21.41%1.5B
21.41%1.5B
-9.86%2.31B
-7.76%2.31B
0.69%2.47B
Non current accounts receivable
----
----
----
----
----
-49.38%163M
-49.38%163M
----
----
----
Financial assets
----
----
----
----
----
-11.11%56M
-11.11%56M
----
----
----
Non current deferred assets
-13.33%65M
-13.33%65M
-53.42%75M
-53.42%75M
-53.42%75M
-53.42%75M
-53.42%75M
21.97%161M
21.97%161M
-40.59%161M
Defined pension benefit
----
----
----
----
----
-50.11%224M
-50.11%224M
----
----
----
Other non current assets
----
----
----
----
--176M
163.41%432M
163.41%432M
--163M
----
----
Total non current assets
12.85%49.73B
12.85%49.73B
12.21%48.04B
10.67%46.45B
12.71%46.4B
6.79%44.07B
6.79%44.07B
6.79%42.81B
8.39%41.97B
9.26%41.17B
Total assets
7.32%56.19B
7.32%56.19B
8.87%54.79B
6.96%53.09B
10.11%53.76B
10.54%52.36B
10.54%52.36B
11.99%50.32B
16.03%49.64B
17.05%48.82B
Liabilities
Current liabilities
Payables
145.13%5.18B
145.13%5.18B
21.18%4.93B
20.05%4.52B
37.92%5.14B
13.84%2.11B
13.84%2.11B
30.32%4.07B
34.31%3.77B
21.62%3.72B
-accounts payable
110.91%4B
110.91%4B
3.91%4.07B
5.88%3.6B
33.92%4.44B
14.76%1.9B
14.76%1.9B
32.63%3.91B
28.36%3.4B
15.47%3.31B
-Total tax payable
1,035.58%1.18B
1,035.58%1.18B
454.49%865M
153.31%917M
70.24%698M
-36.97%104M
-36.97%104M
-9.30%156M
138.16%362M
113.54%410M
-Other payable
----
----
----
----
----
189.74%113M
189.74%113M
----
----
----
Current accrued expenses
----
----
----
----
----
93.81%1.25B
93.81%1.25B
----
----
----
Current provisions
----
----
----
----
----
71.90%361M
71.90%361M
----
----
----
Current debt and capital lease obligation
-5.08%710M
-5.08%710M
41.75%679M
34.80%612M
138.85%621M
120.00%748M
120.00%748M
53.53%479M
10.73%454M
-38.10%260M
-Current debt
-16.40%515M
-16.40%515M
53.71%538M
45.90%480M
265.19%493M
189.20%616M
189.20%616M
83.25%350M
10.77%329M
-55.15%135M
-Current capital lease obligation
47.73%195M
47.73%195M
9.30%141M
5.60%132M
2.40%128M
3.94%132M
3.94%132M
6.61%129M
10.62%125M
5.04%125M
Current deferred liabilities
----
----
----
----
----
-36.67%19M
-36.67%19M
----
----
----
Other current liabilities
----
----
----
----
----
102.36%1.37B
102.36%1.37B
----
----
----
Current liabilities
0.48%5.89B
0.48%5.89B
23.35%5.61B
21.64%5.13B
44.50%5.76B
55.96%5.86B
55.96%5.86B
32.43%4.55B
31.30%4.22B
14.42%3.98B
Non current liabilities
Long term provisions
----
----
----
----
----
-26.44%2.81B
-26.44%2.81B
-31.29%2.98B
-17.94%3.28B
13.39%3.82B
Long term debt and capital lease obligation
12.01%10.38B
12.01%10.38B
6.32%10.06B
9.57%9.55B
4.18%9.57B
3.09%9.27B
3.09%9.27B
7.52%9.46B
2.49%8.72B
16.47%9.19B
-Long term debt
7.77%9.52B
7.77%9.52B
7.77%9.59B
11.64%9.12B
5.81%9.13B
4.82%8.83B
4.82%8.83B
8.13%8.9B
2.87%8.17B
17.94%8.63B
-Long term capital lease obligation
97.27%866M
97.27%866M
-16.52%470M
-21.05%435M
-20.89%443M
-22.57%439M
-22.57%439M
-1.23%563M
-2.82%551M
-2.27%560M
Non current deferred liabilities
-8.70%6.19B
-8.70%6.19B
-4.70%6.45B
-7.17%6.24B
2.98%6.59B
13.48%6.78B
13.48%6.78B
21.03%6.77B
25.89%6.72B
17.32%6.4B
Employee benefits
5.95%445M
5.95%445M
-4.07%401M
7.37%437M
-4.57%439M
-18.76%420M
-18.76%420M
-18.99%418M
-20.20%407M
-8.37%460M
Derivative product liabilities
----
----
----
----
----
-49.02%26M
-49.02%26M
----
----
----
Other non current liabilities
1,148.50%4.99B
1,148.50%4.99B
--3.94B
--4.1B
--3.92B
13.96%400M
13.96%400M
----
----
----
Total non current liabilities
10.13%22.01B
10.13%22.01B
6.23%20.85B
6.33%20.33B
3.28%20.52B
0.75%19.98B
0.75%19.98B
1.98%19.63B
4.23%19.12B
15.41%19.87B
Total liabilities
7.94%27.9B
7.94%27.9B
9.45%26.46B
9.10%25.47B
10.17%26.28B
9.55%25.85B
9.55%25.85B
6.59%24.18B
8.27%23.34B
15.24%23.85B
Shareholders'equity
Share capital
----
----
6.53%6.5B
2.85%6.49B
-3.78%6.16B
-1.10%6.14B
-1.10%6.14B
-1.28%6.1B
2.35%6.31B
4.20%6.41B
-common stock
----
----
6.53%6.5B
2.85%6.49B
-3.78%6.16B
-1.10%6.14B
-1.10%6.14B
-1.28%6.1B
2.35%6.31B
4.20%6.41B
Retained earnings
----
----
8.71%19.28B
2.50%18.97B
8.22%18.89B
10.54%18.07B
10.54%18.07B
19.36%17.74B
31.69%18.5B
26.50%17.46B
Paid-in capital
----
----
0.00%210M
0.00%205M
0.97%209M
-18.18%207M
-18.18%207M
-17.65%210M
-18.00%205M
-15.85%207M
Gains losses not affecting retained earnings
----
----
-11.85%1.03B
79.01%759M
669.34%1.05B
425.74%1.06B
425.74%1.06B
386.72%1.17B
341.67%424M
-23.89%137M
Total stockholders'equity
5.95%26.99B
5.95%26.99B
7.15%27.02B
3.84%26.42B
8.72%26.32B
10.73%25.47B
10.73%25.47B
17.12%25.22B
23.74%25.44B
18.82%24.21B
Noncontrolling interests
25.63%1.3B
25.63%1.3B
40.32%1.31B
41.52%1.21B
51.96%1.16B
35.16%1.04B
35.16%1.04B
28.81%930M
29.15%855M
19.31%766M
Total equity
6.72%28.29B
6.72%28.29B
8.33%28.32B
5.07%27.63B
10.05%27.48B
11.52%26.51B
11.52%26.51B
17.50%26.15B
23.91%26.29B
18.83%24.97B
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
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
--
--
--
--
(FY)2023/12/31(Q4)2023/12/31(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
Assets
Current assets
Cash, cash equivalents and short term investments -60.49%744M-60.49%744M-49.09%1.34B-34.38%1.77B-8.11%2.27B31.96%1.88B31.96%1.88B576.41%2.64B766.03%2.7B568.02%2.47B
-Cash and cash equivalents -60.49%744M-60.49%744M-49.09%1.34B-34.38%1.77B-8.11%2.27B31.96%1.88B31.96%1.88B576.41%2.64B766.03%2.7B568.02%2.47B
Receivables 35.27%2.19B35.27%2.19B3.25%1.84B-32.46%1.39B-20.49%1.8B-18.52%1.62B-18.52%1.62B-2.78%1.79B67.02%2.06B71.46%2.27B
-Accounts receivable 37.26%2.1B37.26%2.1B2.30%1.74B-35.64%1.3B-24.55%1.71B-22.92%1.53B-22.92%1.53B-5.25%1.7B65.30%2.02B72.11%2.27B
-Taxes receivable 2.17%94M2.17%94M21.59%107M124.39%92M--92M1,433.33%92M1,433.33%92M95.56%88M241.67%41M----
Inventory 9.72%2.95B9.72%2.95B14.52%2.96B22.39%2.95B19.22%2.78B12.34%2.69B12.34%2.69B10.62%2.58B10.62%2.41B18.09%2.33B
Other current assets 8.33%585M8.33%585M19.57%605M7.11%527M-13.95%512M80.60%540M80.60%540M78.17%506M47.31%492M61.68%595M
Total current assets -22.04%6.47B-22.04%6.47B-10.16%6.75B-13.36%6.64B-3.91%7.36B35.88%8.29B35.88%8.29B55.05%7.51B88.91%7.66B89.88%7.66B
Non current assets
Net PPE 13.64%45.57B13.64%45.57B12.61%43.99B10.61%42.48B12.82%42.25B7.26%40.1B7.26%40.1B7.58%39.06B9.71%38.41B10.58%37.45B
-Gross PPE --------------------7.63%62.74B7.63%62.74B------------
-Accumulated depreciation ---------------------8.30%-22.64B-8.30%-22.64B------------
Goodwill and other intangible assets -27.01%1.11B-27.01%1.11B-0.53%1.12B0.91%1.11B2.85%1.12B2.15%1.52B2.15%1.52B2.74%1.12B1.48%1.1B-0.18%1.09B
-Goodwill -0.89%1.11B-0.89%1.11B-0.53%1.12B0.91%1.11B2.85%1.12B2.47%1.12B2.47%1.12B2.74%1.12B1.48%1.1B-0.18%1.09B
-Other intangible assets --------------------1.27%400M1.27%400M------------
Investments and advances 98.94%2.99B98.94%2.99B24.08%2.86B20.82%2.79B12.51%2.78B21.41%1.5B21.41%1.5B-9.86%2.31B-7.76%2.31B0.69%2.47B
Non current accounts receivable ---------------------49.38%163M-49.38%163M------------
Financial assets ---------------------11.11%56M-11.11%56M------------
Non current deferred assets -13.33%65M-13.33%65M-53.42%75M-53.42%75M-53.42%75M-53.42%75M-53.42%75M21.97%161M21.97%161M-40.59%161M
Defined pension benefit ---------------------50.11%224M-50.11%224M------------
Other non current assets ------------------176M163.41%432M163.41%432M--163M--------
Total non current assets 12.85%49.73B12.85%49.73B12.21%48.04B10.67%46.45B12.71%46.4B6.79%44.07B6.79%44.07B6.79%42.81B8.39%41.97B9.26%41.17B
Total assets 7.32%56.19B7.32%56.19B8.87%54.79B6.96%53.09B10.11%53.76B10.54%52.36B10.54%52.36B11.99%50.32B16.03%49.64B17.05%48.82B
Liabilities
Current liabilities
Payables 145.13%5.18B145.13%5.18B21.18%4.93B20.05%4.52B37.92%5.14B13.84%2.11B13.84%2.11B30.32%4.07B34.31%3.77B21.62%3.72B
-accounts payable 110.91%4B110.91%4B3.91%4.07B5.88%3.6B33.92%4.44B14.76%1.9B14.76%1.9B32.63%3.91B28.36%3.4B15.47%3.31B
-Total tax payable 1,035.58%1.18B1,035.58%1.18B454.49%865M153.31%917M70.24%698M-36.97%104M-36.97%104M-9.30%156M138.16%362M113.54%410M
-Other payable --------------------189.74%113M189.74%113M------------
Current accrued expenses --------------------93.81%1.25B93.81%1.25B------------
Current provisions --------------------71.90%361M71.90%361M------------
Current debt and capital lease obligation -5.08%710M-5.08%710M41.75%679M34.80%612M138.85%621M120.00%748M120.00%748M53.53%479M10.73%454M-38.10%260M
-Current debt -16.40%515M-16.40%515M53.71%538M45.90%480M265.19%493M189.20%616M189.20%616M83.25%350M10.77%329M-55.15%135M
-Current capital lease obligation 47.73%195M47.73%195M9.30%141M5.60%132M2.40%128M3.94%132M3.94%132M6.61%129M10.62%125M5.04%125M
Current deferred liabilities ---------------------36.67%19M-36.67%19M------------
Other current liabilities --------------------102.36%1.37B102.36%1.37B------------
Current liabilities 0.48%5.89B0.48%5.89B23.35%5.61B21.64%5.13B44.50%5.76B55.96%5.86B55.96%5.86B32.43%4.55B31.30%4.22B14.42%3.98B
Non current liabilities
Long term provisions ---------------------26.44%2.81B-26.44%2.81B-31.29%2.98B-17.94%3.28B13.39%3.82B
Long term debt and capital lease obligation 12.01%10.38B12.01%10.38B6.32%10.06B9.57%9.55B4.18%9.57B3.09%9.27B3.09%9.27B7.52%9.46B2.49%8.72B16.47%9.19B
-Long term debt 7.77%9.52B7.77%9.52B7.77%9.59B11.64%9.12B5.81%9.13B4.82%8.83B4.82%8.83B8.13%8.9B2.87%8.17B17.94%8.63B
-Long term capital lease obligation 97.27%866M97.27%866M-16.52%470M-21.05%435M-20.89%443M-22.57%439M-22.57%439M-1.23%563M-2.82%551M-2.27%560M
Non current deferred liabilities -8.70%6.19B-8.70%6.19B-4.70%6.45B-7.17%6.24B2.98%6.59B13.48%6.78B13.48%6.78B21.03%6.77B25.89%6.72B17.32%6.4B
Employee benefits 5.95%445M5.95%445M-4.07%401M7.37%437M-4.57%439M-18.76%420M-18.76%420M-18.99%418M-20.20%407M-8.37%460M
Derivative product liabilities ---------------------49.02%26M-49.02%26M------------
Other non current liabilities 1,148.50%4.99B1,148.50%4.99B--3.94B--4.1B--3.92B13.96%400M13.96%400M------------
Total non current liabilities 10.13%22.01B10.13%22.01B6.23%20.85B6.33%20.33B3.28%20.52B0.75%19.98B0.75%19.98B1.98%19.63B4.23%19.12B15.41%19.87B
Total liabilities 7.94%27.9B7.94%27.9B9.45%26.46B9.10%25.47B10.17%26.28B9.55%25.85B9.55%25.85B6.59%24.18B8.27%23.34B15.24%23.85B
Shareholders'equity
Share capital --------6.53%6.5B2.85%6.49B-3.78%6.16B-1.10%6.14B-1.10%6.14B-1.28%6.1B2.35%6.31B4.20%6.41B
-common stock --------6.53%6.5B2.85%6.49B-3.78%6.16B-1.10%6.14B-1.10%6.14B-1.28%6.1B2.35%6.31B4.20%6.41B
Retained earnings --------8.71%19.28B2.50%18.97B8.22%18.89B10.54%18.07B10.54%18.07B19.36%17.74B31.69%18.5B26.50%17.46B
Paid-in capital --------0.00%210M0.00%205M0.97%209M-18.18%207M-18.18%207M-17.65%210M-18.00%205M-15.85%207M
Gains losses not affecting retained earnings ---------11.85%1.03B79.01%759M669.34%1.05B425.74%1.06B425.74%1.06B386.72%1.17B341.67%424M-23.89%137M
Total stockholders'equity 5.95%26.99B5.95%26.99B7.15%27.02B3.84%26.42B8.72%26.32B10.73%25.47B10.73%25.47B17.12%25.22B23.74%25.44B18.82%24.21B
Noncontrolling interests 25.63%1.3B25.63%1.3B40.32%1.31B41.52%1.21B51.96%1.16B35.16%1.04B35.16%1.04B28.81%930M29.15%855M19.31%766M
Total equity 6.72%28.29B6.72%28.29B8.33%28.32B5.07%27.63B10.05%27.48B11.52%26.51B11.52%26.51B17.50%26.15B23.91%26.29B18.83%24.97B
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----------Unqualified Opinion--------

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