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AKRBY AKER BP ASA UNSPON ADS EACH REP 1/2 COM

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  • 10.100
  • 0.0000.00%
15min DelayTrading Oct 1 16:00 ET
12.74BMarket Cap6.89P/E (TTM)

AKER BP ASA UNSPON ADS EACH REP 1/2 COM Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
3.27%2.28B
14.62%2.09B
-0.15%8.76B
-0.39%2.17B
-30.92%2.56B
99.33%2.21B
2.44%1.82B
203.09%8.78B
109.19%2.18B
363.09%3.71B
Other non cash items
61.40%138.8M
-17.93%121.3M
32.64%482M
38.39%118.6M
12.99%129.6M
4.46%86M
83.56%147.8M
21.01%363.4M
135.92%85.7M
23.01%114.7M
Change In working capital
389.82%227.8M
-2,451.12%-568.9M
164.55%368.7M
-16.87%663.1M
79.53%-193.5M
-33.79%-78.6M
93.89%-22.3M
-191.10%-571.2M
440.02%797.7M
-536.85%-945.2M
-Change in inventory
-51.59%100.3M
-455.38%-475.5M
283.18%575M
87.82%505.8M
45.89%-271.7M
3.26%207.2M
147.49%133.8M
-543.32%-313.9M
1,062.58%269.3M
-1,733.28%-502.1M
-Change in other current assets
144.61%127.5M
40.17%-93.4M
19.82%-206.3M
-70.23%157.3M
117.65%78.2M
-10.18%-285.8M
-87.62%-156.1M
-74.53%-257.3M
304.99%528.4M
-266.11%-443.1M
Cash from discontinued investing activities
Operating cash flow
845.59%1.15B
-13.41%1.46B
-5.63%5.41B
86.22%1.5B
-11.00%2.1B
-89.78%121.3M
22.30%1.68B
33.80%5.73B
-33.35%806.9M
122.12%2.36B
Investing cash flow
Cash flow from continuing investing activities
Capital expenditure reported
----
----
5.24%-238.6M
----
----
----
----
-41.89%-251.8M
----
----
Net PPE purchase and sale
-87.06%-1.36B
-56.72%-1.06B
-100.73%-3.17B
-143.43%-867.1M
-82.59%-900M
-109.70%-727.7M
-76.31%-676.8M
-14.75%-1.58B
-22.80%-356.2M
-20.65%-492.9M
Net business purchase and sale
----
----
----
----
--0
----
----
---1.23B
--13.9M
--0
Net investment purchase and sale
--0
--0
313.04%95M
200.00%95M
--0
--0
--0
--23M
---95M
--0
Net other investing changes
-41.94%-68.7M
-97.90%-56.6M
-93.54%-152.7M
-60.82%-31.2M
-509.59%-44.5M
-33.69%-48.4M
-78.29%-28.6M
54.26%-78.9M
-20.33%-19.4M
68.59%-7.3M
Cash from discontinued investing activities
Investing cash flow
-84.24%-1.43B
-58.39%-1.12B
-11.27%-3.47B
-47.06%-1.04B
-88.82%-944.5M
52.27%-776.1M
-150.23%-705.4M
-80.48%-3.12B
-46.49%-708.5M
-15.85%-500.2M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
65.49%806.6M
--0
179.49%477.8M
---7.3M
99.62%-2.3M
46,519.05%487.4M
--0
-53.80%-601.1M
--0
---600M
Net common stock issuance
---12.2M
--0
-800.00%-10.5M
22.16%22.6M
-94.71%-33.1M
--0
--0
117.45%1.5M
--18.5M
-502.56%-17M
Cash dividends paid
-9.09%-379.2M
-9.09%-379.2M
-38.25%-1.39B
-4.76%-347.6M
-4.76%-347.6M
-103.21%-347.6M
-103.21%-347.6M
-106.30%-1.01B
-121.20%-331.8M
-194.93%-331.8M
Net other financing activities
200.00%100K
---100K
-200.00%-100K
----
----
-10,100.00%-100K
----
10,100.00%100K
--0
----
Cash from discontinued financing activities
Financing cash flow
367.37%308M
-7.73%-489M
28.43%-1.31B
-31.35%-432.8M
53.14%-487.8M
131.43%65.9M
-82.87%-453.9M
-62.86%-1.83B
-83.42%-329.5M
-464.26%-1.04B
Net cash flow
Beginning cash position
-1.98%3.22B
22.95%3.39B
39.83%2.76B
10.95%3.38B
24.85%2.69B
16.45%3.28B
39.83%2.76B
266.47%1.97B
114.11%3.04B
120.80%2.15B
Current changes in cash
104.26%25.1M
-128.66%-149.8M
-19.62%630.7M
112.07%27.9M
-18.41%668.8M
9.28%-588.9M
-38.16%522.7M
-45.23%784.6M
-142.22%-231.1M
83.54%819.7M
Effect of exchange rate changes
-173.08%-7.1M
-1,660.00%-23.4M
240.00%1.7M
73.22%-14.7M
-74.67%17.4M
81.37%-2.6M
133.28%1.5M
12.87%500K
-2,137.86%-54.9M
5,848.95%68.7M
End cash Position
20.25%3.23B
-1.98%3.22B
22.95%3.39B
22.95%3.39B
10.95%3.38B
24.85%2.69B
16.45%3.28B
39.83%2.76B
39.83%2.76B
114.11%3.04B
Free cash flow
64.68%-214.2M
-60.62%395.8M
-48.77%2B
99.55%396.9M
-35.70%1.2B
-172.23%-606.4M
1.39%1.01B
42.89%3.9B
-73.24%198.9M
185.47%1.87B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
(Q2)Jun 30, 2024(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations 3.27%2.28B14.62%2.09B-0.15%8.76B-0.39%2.17B-30.92%2.56B99.33%2.21B2.44%1.82B203.09%8.78B109.19%2.18B363.09%3.71B
Other non cash items 61.40%138.8M-17.93%121.3M32.64%482M38.39%118.6M12.99%129.6M4.46%86M83.56%147.8M21.01%363.4M135.92%85.7M23.01%114.7M
Change In working capital 389.82%227.8M-2,451.12%-568.9M164.55%368.7M-16.87%663.1M79.53%-193.5M-33.79%-78.6M93.89%-22.3M-191.10%-571.2M440.02%797.7M-536.85%-945.2M
-Change in inventory -51.59%100.3M-455.38%-475.5M283.18%575M87.82%505.8M45.89%-271.7M3.26%207.2M147.49%133.8M-543.32%-313.9M1,062.58%269.3M-1,733.28%-502.1M
-Change in other current assets 144.61%127.5M40.17%-93.4M19.82%-206.3M-70.23%157.3M117.65%78.2M-10.18%-285.8M-87.62%-156.1M-74.53%-257.3M304.99%528.4M-266.11%-443.1M
Cash from discontinued investing activities
Operating cash flow 845.59%1.15B-13.41%1.46B-5.63%5.41B86.22%1.5B-11.00%2.1B-89.78%121.3M22.30%1.68B33.80%5.73B-33.35%806.9M122.12%2.36B
Investing cash flow
Cash flow from continuing investing activities
Capital expenditure reported --------5.24%-238.6M-----------------41.89%-251.8M--------
Net PPE purchase and sale -87.06%-1.36B-56.72%-1.06B-100.73%-3.17B-143.43%-867.1M-82.59%-900M-109.70%-727.7M-76.31%-676.8M-14.75%-1.58B-22.80%-356.2M-20.65%-492.9M
Net business purchase and sale ------------------0-----------1.23B--13.9M--0
Net investment purchase and sale --0--0313.04%95M200.00%95M--0--0--0--23M---95M--0
Net other investing changes -41.94%-68.7M-97.90%-56.6M-93.54%-152.7M-60.82%-31.2M-509.59%-44.5M-33.69%-48.4M-78.29%-28.6M54.26%-78.9M-20.33%-19.4M68.59%-7.3M
Cash from discontinued investing activities
Investing cash flow -84.24%-1.43B-58.39%-1.12B-11.27%-3.47B-47.06%-1.04B-88.82%-944.5M52.27%-776.1M-150.23%-705.4M-80.48%-3.12B-46.49%-708.5M-15.85%-500.2M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt 65.49%806.6M--0179.49%477.8M---7.3M99.62%-2.3M46,519.05%487.4M--0-53.80%-601.1M--0---600M
Net common stock issuance ---12.2M--0-800.00%-10.5M22.16%22.6M-94.71%-33.1M--0--0117.45%1.5M--18.5M-502.56%-17M
Cash dividends paid -9.09%-379.2M-9.09%-379.2M-38.25%-1.39B-4.76%-347.6M-4.76%-347.6M-103.21%-347.6M-103.21%-347.6M-106.30%-1.01B-121.20%-331.8M-194.93%-331.8M
Net other financing activities 200.00%100K---100K-200.00%-100K---------10,100.00%-100K----10,100.00%100K--0----
Cash from discontinued financing activities
Financing cash flow 367.37%308M-7.73%-489M28.43%-1.31B-31.35%-432.8M53.14%-487.8M131.43%65.9M-82.87%-453.9M-62.86%-1.83B-83.42%-329.5M-464.26%-1.04B
Net cash flow
Beginning cash position -1.98%3.22B22.95%3.39B39.83%2.76B10.95%3.38B24.85%2.69B16.45%3.28B39.83%2.76B266.47%1.97B114.11%3.04B120.80%2.15B
Current changes in cash 104.26%25.1M-128.66%-149.8M-19.62%630.7M112.07%27.9M-18.41%668.8M9.28%-588.9M-38.16%522.7M-45.23%784.6M-142.22%-231.1M83.54%819.7M
Effect of exchange rate changes -173.08%-7.1M-1,660.00%-23.4M240.00%1.7M73.22%-14.7M-74.67%17.4M81.37%-2.6M133.28%1.5M12.87%500K-2,137.86%-54.9M5,848.95%68.7M
End cash Position 20.25%3.23B-1.98%3.22B22.95%3.39B22.95%3.39B10.95%3.38B24.85%2.69B16.45%3.28B39.83%2.76B39.83%2.76B114.11%3.04B
Free cash flow 64.68%-214.2M-60.62%395.8M-48.77%2B99.55%396.9M-35.70%1.2B-172.23%-606.4M1.39%1.01B42.89%3.9B-73.24%198.9M185.47%1.87B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD

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