CA Stock MarketDetailed Quotes

K Kinross Gold Corp

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  • 13.940
  • +0.290+2.12%
15min DelayMarket Closed Nov 19 16:00 ET
17.13BMarket Cap17.19P/E (TTM)

Kinross Gold Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(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
Assets
Current assets
Cash, cash equivalents and short term investments
1.70%472.8M
0.33%480M
-13.61%406.9M
-15.71%352.4M
-15.71%352.4M
-4.81%464.9M
-33.47%478.4M
3.70%471M
-21.34%418.1M
-21.34%418.1M
-Cash and cash equivalents
1.70%472.8M
0.33%480M
-13.61%406.9M
-15.71%352.4M
-15.71%352.4M
-4.81%464.9M
-33.47%478.4M
3.70%471M
-21.34%418.1M
-21.34%418.1M
Receivables
24.85%126.1M
3.40%124.8M
-58.11%124.4M
-33.04%106.6M
-33.04%106.6M
-27.65%101M
-15.48%120.7M
223.88%297M
-9.65%159.2M
-9.65%159.2M
-Accounts receivable
----
----
----
----
----
----
----
5,710.00%290.5M
----
----
-Taxes receivable
-15.55%40.2M
-36.29%38.1M
547.69%42.1M
-51.61%48.1M
-51.61%48.1M
-48.65%47.6M
-39.35%59.8M
-91.24%6.5M
10.81%99.4M
10.81%99.4M
-Other receivables
60.86%85.9M
42.36%86.7M
--82.3M
-2.17%58.5M
-2.17%58.5M
13.86%53.4M
37.78%60.9M
----
-30.87%59.8M
-30.87%59.8M
Inventory
2.49%1.23B
-3.81%1.14B
-1.86%1.12B
7.54%1.15B
7.54%1.15B
10.09%1.2B
12.86%1.19B
9.05%1.14B
-6.87%1.07B
-6.87%1.07B
Prepaid assets
13.44%72.6M
17.96%44M
--52.7M
38.13%57.6M
38.13%57.6M
72.51%64M
70.32%37.3M
----
-14.02%41.7M
-14.02%41.7M
Restricted cash
21.35%10.8M
9.20%9.5M
-5.50%10.3M
-2.97%9.8M
-2.97%9.8M
8.54%8.9M
24.29%8.7M
-16.79%10.9M
-11.40%10.1M
-11.40%10.1M
Current deferred assets
-9.91%110M
24.97%109.6M
--108.8M
-14.23%107.9M
-14.23%107.9M
0.08%122.1M
--87.7M
----
--125.8M
--125.8M
Hedging assets-current
-63.40%5.6M
-2.37%16.5M
-52.61%10.9M
-41.18%15M
-41.18%15M
-42.70%15.3M
-64.86%16.9M
-53.25%23M
-15.00%25.5M
-15.00%25.5M
Total current assets
2.61%2.03B
-0.55%1.93B
-5.62%1.83B
-2.72%1.8B
-2.72%1.8B
3.36%1.98B
-18.83%1.94B
-11.36%1.94B
-4.94%1.85B
-4.94%1.85B
Non current assets
Net PPE
0.98%7.97B
1.08%7.96B
2.47%7.99B
2.58%8B
2.58%8B
-0.02%7.89B
-0.37%7.88B
-5.87%7.79B
1.80%7.8B
1.80%7.8B
-Gross PPE
6.68%21.46B
6.72%21.13B
--20.8B
6.89%20.52B
6.89%20.52B
7.00%20.11B
6.35%19.8B
----
-11.31%19.2B
-11.31%19.2B
-Accumulated depreciation
-10.37%-13.48B
-10.44%-13.17B
---12.82B
-9.84%-12.52B
-9.84%-12.52B
-12.09%-12.22B
-11.31%-11.92B
----
18.49%-11.4B
18.49%-11.4B
Investments and advances
7.69%75.6M
-34.29%62.1M
-43.31%56.8M
-50.24%61.2M
-50.24%61.2M
-33.46%70.2M
2.94%94.5M
-13.02%100.2M
16.81%123M
16.81%123M
-Long term equity investment
118.00%10.9M
78.43%9.1M
--7.4M
6.56%6.5M
6.56%6.5M
-23.08%5M
-23.88%5.1M
----
-14.08%6.1M
-14.08%6.1M
-Financial asset investment
-0.77%64.7M
-40.72%53M
-50.70%49.4M
-53.21%54.7M
-53.21%54.7M
-34.14%65.2M
5.05%89.4M
-7.39%100.2M
19.04%116.9M
19.04%116.9M
-Including:Available-for-sale securities
-0.77%64.7M
-40.72%53M
-50.70%49.4M
-53.21%54.7M
-53.21%54.7M
-34.14%65.2M
5.05%89.4M
-7.39%100.2M
19.04%116.9M
19.04%116.9M
Financial assets
----
----
----
----
----
0.00%5.4M
-64.66%4.7M
----
----
----
Non current accounts receivable
-0.75%66.6M
-37.80%64.5M
--64.8M
-47.53%75.4M
-47.53%75.4M
-24.44%67.1M
15.09%103.7M
----
29.69%143.7M
29.69%143.7M
Non current deferred assets
10.53%12.6M
-32.98%12.6M
129.09%12.6M
171.74%12.5M
171.74%12.5M
60.56%11.4M
203.23%18.8M
-14.06%5.5M
-66.67%4.6M
-66.67%4.6M
Other non current assets
6.36%601.7M
19.81%607.2M
-8.96%601.6M
25.10%589.2M
25.10%589.2M
8.33%565.7M
17.34%506.8M
71.81%660.8M
14.35%471M
14.35%471M
Total non current assets
1.32%8.73B
1.20%8.71B
1.89%8.72B
2.31%8.74B
2.31%8.74B
-0.13%8.61B
0.77%8.61B
-4.17%8.56B
0.76%8.54B
0.76%8.54B
Total assets
1.56%10.76B
0.88%10.64B
0.50%10.55B
1.41%10.54B
1.41%10.54B
0.51%10.59B
-3.51%10.55B
-5.59%10.5B
-0.30%10.4B
-0.30%10.4B
Liabilities
Current liabilities
Current debt and capital lease obligation
892.72%449.7M
45.63%799.5M
86.68%999.3M
-83.31%10.1M
-83.31%10.1M
-18.08%45.3M
869.96%549M
826.12%535.3M
1.34%60.5M
1.34%60.5M
-Current debt
----
----
----
----
----
-20.00%32M
1,228.75%531.5M
1,238.25%535.3M
-10.00%36M
-10.00%36M
-Bank in debtedness
--449.7M
--799.5M
--999.3M
----
----
----
----
----
----
----
-Current capital lease obligation
----
----
----
-58.78%10.1M
-58.78%10.1M
-13.07%13.3M
5.42%17.5M
----
24.37%24.5M
24.37%24.5M
Payables
65.00%320.6M
25.23%218.4M
-69.44%160.1M
-0.91%206.6M
-0.91%206.6M
14.23%194.3M
44.01%174.4M
374.55%523.9M
14.06%208.5M
14.06%208.5M
-accounts payable
0.26%114.8M
5.56%108.3M
-80.91%91.5M
-4.53%113.7M
-4.53%113.7M
-2.55%114.5M
7.77%102.6M
412.07%479.3M
35.65%119.1M
35.65%119.1M
-Total tax payable
157.89%205.8M
53.34%110.1M
53.81%68.6M
3.91%92.9M
3.91%92.9M
51.71%79.8M
177.22%71.8M
165.48%44.6M
-5.89%89.4M
-5.89%89.4M
Current accrued expenses
-10.12%283.4M
-13.33%306.3M
--272.8M
-3.04%417.8M
-3.04%417.8M
-16.61%315.3M
-5.25%353.4M
----
6.42%430.9M
6.42%430.9M
Current provisions
-12.80%51.1M
-6.55%49.9M
-7.48%47M
-3.94%48.8M
-3.94%48.8M
63.69%58.6M
-33.99%53.4M
-40.52%50.8M
-43.56%50.8M
-43.56%50.8M
Pension and other retirement benefit plans
29.22%149.9M
31.77%132.3M
--102.5M
----
----
--116M
--100.4M
----
----
----
Other current liabilities
182.14%7.9M
360.87%10.6M
-26.22%12.1M
175.00%2.2M
175.00%2.2M
-26.32%2.8M
-98.60%2.3M
-72.34%16.4M
-80.00%800K
-80.00%800K
Current liabilities
72.42%1.26B
23.04%1.52B
41.50%1.59B
-8.78%685.5M
-8.78%685.5M
13.87%732.3M
54.85%1.23B
70.38%1.13B
1.36%751.5M
1.36%751.5M
Non current liabilities
Long term debt and capital lease obligation
-47.99%1.25B
-36.34%1.25B
-42.72%1.25B
-12.79%2.25B
-12.79%2.25B
-3.75%2.4B
-24.51%1.96B
-19.81%2.18B
58.77%2.58B
58.77%2.58B
-Long term debt
-48.18%1.24B
-36.49%1.23B
-42.84%1.23B
-12.68%2.23B
-12.68%2.23B
-3.57%2.38B
-24.37%1.94B
-19.71%2.16B
60.82%2.56B
60.82%2.56B
-Long term capital lease obligation
-25.74%15M
-21.03%15.4M
-31.67%16.4M
-24.24%17.5M
-24.24%17.5M
-20.78%20.2M
-36.27%19.5M
-28.14%24M
-34.19%23.1M
-34.19%23.1M
Long term provisions
17.54%903.8M
11.70%900.4M
11.86%893.9M
17.73%889.9M
17.73%889.9M
13.39%768.9M
12.04%806.1M
8.59%799.1M
-10.85%755.9M
-10.85%755.9M
Non current deferred liabilities
15.50%455.4M
35.66%435.2M
47.37%458.6M
49.15%449.7M
49.15%449.7M
10.51%394.3M
-10.44%320.8M
-25.71%311.2M
-30.98%301.5M
-30.98%301.5M
Other non current liabilities
-27.34%93.8M
-33.01%89.3M
-30.56%86.8M
-34.24%82.4M
-34.24%82.4M
-1.60%129.1M
2.62%133.3M
-14.44%125M
-1.65%125.3M
-1.65%125.3M
Total non current liabilities
-26.86%2.7B
-17.02%2.67B
-21.31%2.69B
-2.41%3.67B
-2.41%3.67B
0.89%3.7B
-15.36%3.22B
-15.04%3.42B
23.89%3.76B
23.89%3.76B
Total liabilities
-10.44%3.97B
-5.94%4.19B
-5.75%4.28B
-3.47%4.36B
-3.47%4.36B
2.83%4.43B
-3.22%4.46B
-2.98%4.54B
19.47%4.51B
19.47%4.51B
Shareholders'equity
Share capital
0.13%4.49B
0.15%4.49B
0.14%4.49B
0.72%4.48B
0.72%4.48B
-4.25%4.48B
-5.33%4.48B
-4.88%4.48B
0.49%4.45B
0.49%4.45B
-common stock
0.13%4.49B
0.15%4.49B
0.14%4.49B
0.72%4.48B
0.72%4.48B
-4.25%4.48B
-5.33%4.48B
-4.88%4.48B
0.49%4.45B
0.49%4.45B
Additional paid-in capital
-0.04%10.64B
-0.03%10.64B
-0.01%10.64B
-0.20%10.65B
-0.20%10.65B
-0.27%10.65B
-0.36%10.64B
-0.54%10.64B
0.03%10.67B
0.03%10.67B
Retained earnings
6.56%-8.42B
3.81%-8.74B
3.11%-8.91B
2.91%-8.98B
2.91%-8.98B
1.07%-9.01B
0.55%-9.08B
-1.58%-9.2B
-8.94%-9.25B
-8.94%-9.25B
Gains losses not affecting retained earnings
-13.27%-62.3M
-65.70%-68.6M
-72.85%-62.4M
-47.00%-61.3M
-47.00%-61.3M
20.52%-55M
-71.78%-41.4M
-354.23%-36.1M
-121.81%-41.7M
-121.81%-41.7M
Total stockholders'equity
9.66%6.65B
5.37%6.32B
4.50%6.15B
4.46%6.08B
4.46%6.08B
-1.89%6.06B
-4.12%6B
-7.55%5.89B
-11.51%5.82B
-11.51%5.82B
Noncontrolling interests
40.44%146.9M
37.77%127.3M
70.78%117.5M
74.36%102M
74.36%102M
85.79%104.6M
30.88%92.4M
-1.85%68.8M
-14.85%58.5M
-14.85%58.5M
Total equity
10.18%6.79B
5.87%6.45B
5.27%6.27B
5.16%6.19B
5.16%6.19B
-1.09%6.17B
-3.73%6.09B
-7.49%5.96B
-11.54%5.88B
-11.54%5.88B
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)Sep 30, 2024(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
Assets
Current assets
Cash, cash equivalents and short term investments 1.70%472.8M0.33%480M-13.61%406.9M-15.71%352.4M-15.71%352.4M-4.81%464.9M-33.47%478.4M3.70%471M-21.34%418.1M-21.34%418.1M
-Cash and cash equivalents 1.70%472.8M0.33%480M-13.61%406.9M-15.71%352.4M-15.71%352.4M-4.81%464.9M-33.47%478.4M3.70%471M-21.34%418.1M-21.34%418.1M
Receivables 24.85%126.1M3.40%124.8M-58.11%124.4M-33.04%106.6M-33.04%106.6M-27.65%101M-15.48%120.7M223.88%297M-9.65%159.2M-9.65%159.2M
-Accounts receivable ----------------------------5,710.00%290.5M--------
-Taxes receivable -15.55%40.2M-36.29%38.1M547.69%42.1M-51.61%48.1M-51.61%48.1M-48.65%47.6M-39.35%59.8M-91.24%6.5M10.81%99.4M10.81%99.4M
-Other receivables 60.86%85.9M42.36%86.7M--82.3M-2.17%58.5M-2.17%58.5M13.86%53.4M37.78%60.9M-----30.87%59.8M-30.87%59.8M
Inventory 2.49%1.23B-3.81%1.14B-1.86%1.12B7.54%1.15B7.54%1.15B10.09%1.2B12.86%1.19B9.05%1.14B-6.87%1.07B-6.87%1.07B
Prepaid assets 13.44%72.6M17.96%44M--52.7M38.13%57.6M38.13%57.6M72.51%64M70.32%37.3M-----14.02%41.7M-14.02%41.7M
Restricted cash 21.35%10.8M9.20%9.5M-5.50%10.3M-2.97%9.8M-2.97%9.8M8.54%8.9M24.29%8.7M-16.79%10.9M-11.40%10.1M-11.40%10.1M
Current deferred assets -9.91%110M24.97%109.6M--108.8M-14.23%107.9M-14.23%107.9M0.08%122.1M--87.7M------125.8M--125.8M
Hedging assets-current -63.40%5.6M-2.37%16.5M-52.61%10.9M-41.18%15M-41.18%15M-42.70%15.3M-64.86%16.9M-53.25%23M-15.00%25.5M-15.00%25.5M
Total current assets 2.61%2.03B-0.55%1.93B-5.62%1.83B-2.72%1.8B-2.72%1.8B3.36%1.98B-18.83%1.94B-11.36%1.94B-4.94%1.85B-4.94%1.85B
Non current assets
Net PPE 0.98%7.97B1.08%7.96B2.47%7.99B2.58%8B2.58%8B-0.02%7.89B-0.37%7.88B-5.87%7.79B1.80%7.8B1.80%7.8B
-Gross PPE 6.68%21.46B6.72%21.13B--20.8B6.89%20.52B6.89%20.52B7.00%20.11B6.35%19.8B-----11.31%19.2B-11.31%19.2B
-Accumulated depreciation -10.37%-13.48B-10.44%-13.17B---12.82B-9.84%-12.52B-9.84%-12.52B-12.09%-12.22B-11.31%-11.92B----18.49%-11.4B18.49%-11.4B
Investments and advances 7.69%75.6M-34.29%62.1M-43.31%56.8M-50.24%61.2M-50.24%61.2M-33.46%70.2M2.94%94.5M-13.02%100.2M16.81%123M16.81%123M
-Long term equity investment 118.00%10.9M78.43%9.1M--7.4M6.56%6.5M6.56%6.5M-23.08%5M-23.88%5.1M-----14.08%6.1M-14.08%6.1M
-Financial asset investment -0.77%64.7M-40.72%53M-50.70%49.4M-53.21%54.7M-53.21%54.7M-34.14%65.2M5.05%89.4M-7.39%100.2M19.04%116.9M19.04%116.9M
-Including:Available-for-sale securities -0.77%64.7M-40.72%53M-50.70%49.4M-53.21%54.7M-53.21%54.7M-34.14%65.2M5.05%89.4M-7.39%100.2M19.04%116.9M19.04%116.9M
Financial assets --------------------0.00%5.4M-64.66%4.7M------------
Non current accounts receivable -0.75%66.6M-37.80%64.5M--64.8M-47.53%75.4M-47.53%75.4M-24.44%67.1M15.09%103.7M----29.69%143.7M29.69%143.7M
Non current deferred assets 10.53%12.6M-32.98%12.6M129.09%12.6M171.74%12.5M171.74%12.5M60.56%11.4M203.23%18.8M-14.06%5.5M-66.67%4.6M-66.67%4.6M
Other non current assets 6.36%601.7M19.81%607.2M-8.96%601.6M25.10%589.2M25.10%589.2M8.33%565.7M17.34%506.8M71.81%660.8M14.35%471M14.35%471M
Total non current assets 1.32%8.73B1.20%8.71B1.89%8.72B2.31%8.74B2.31%8.74B-0.13%8.61B0.77%8.61B-4.17%8.56B0.76%8.54B0.76%8.54B
Total assets 1.56%10.76B0.88%10.64B0.50%10.55B1.41%10.54B1.41%10.54B0.51%10.59B-3.51%10.55B-5.59%10.5B-0.30%10.4B-0.30%10.4B
Liabilities
Current liabilities
Current debt and capital lease obligation 892.72%449.7M45.63%799.5M86.68%999.3M-83.31%10.1M-83.31%10.1M-18.08%45.3M869.96%549M826.12%535.3M1.34%60.5M1.34%60.5M
-Current debt ---------------------20.00%32M1,228.75%531.5M1,238.25%535.3M-10.00%36M-10.00%36M
-Bank in debtedness --449.7M--799.5M--999.3M----------------------------
-Current capital lease obligation -------------58.78%10.1M-58.78%10.1M-13.07%13.3M5.42%17.5M----24.37%24.5M24.37%24.5M
Payables 65.00%320.6M25.23%218.4M-69.44%160.1M-0.91%206.6M-0.91%206.6M14.23%194.3M44.01%174.4M374.55%523.9M14.06%208.5M14.06%208.5M
-accounts payable 0.26%114.8M5.56%108.3M-80.91%91.5M-4.53%113.7M-4.53%113.7M-2.55%114.5M7.77%102.6M412.07%479.3M35.65%119.1M35.65%119.1M
-Total tax payable 157.89%205.8M53.34%110.1M53.81%68.6M3.91%92.9M3.91%92.9M51.71%79.8M177.22%71.8M165.48%44.6M-5.89%89.4M-5.89%89.4M
Current accrued expenses -10.12%283.4M-13.33%306.3M--272.8M-3.04%417.8M-3.04%417.8M-16.61%315.3M-5.25%353.4M----6.42%430.9M6.42%430.9M
Current provisions -12.80%51.1M-6.55%49.9M-7.48%47M-3.94%48.8M-3.94%48.8M63.69%58.6M-33.99%53.4M-40.52%50.8M-43.56%50.8M-43.56%50.8M
Pension and other retirement benefit plans 29.22%149.9M31.77%132.3M--102.5M----------116M--100.4M------------
Other current liabilities 182.14%7.9M360.87%10.6M-26.22%12.1M175.00%2.2M175.00%2.2M-26.32%2.8M-98.60%2.3M-72.34%16.4M-80.00%800K-80.00%800K
Current liabilities 72.42%1.26B23.04%1.52B41.50%1.59B-8.78%685.5M-8.78%685.5M13.87%732.3M54.85%1.23B70.38%1.13B1.36%751.5M1.36%751.5M
Non current liabilities
Long term debt and capital lease obligation -47.99%1.25B-36.34%1.25B-42.72%1.25B-12.79%2.25B-12.79%2.25B-3.75%2.4B-24.51%1.96B-19.81%2.18B58.77%2.58B58.77%2.58B
-Long term debt -48.18%1.24B-36.49%1.23B-42.84%1.23B-12.68%2.23B-12.68%2.23B-3.57%2.38B-24.37%1.94B-19.71%2.16B60.82%2.56B60.82%2.56B
-Long term capital lease obligation -25.74%15M-21.03%15.4M-31.67%16.4M-24.24%17.5M-24.24%17.5M-20.78%20.2M-36.27%19.5M-28.14%24M-34.19%23.1M-34.19%23.1M
Long term provisions 17.54%903.8M11.70%900.4M11.86%893.9M17.73%889.9M17.73%889.9M13.39%768.9M12.04%806.1M8.59%799.1M-10.85%755.9M-10.85%755.9M
Non current deferred liabilities 15.50%455.4M35.66%435.2M47.37%458.6M49.15%449.7M49.15%449.7M10.51%394.3M-10.44%320.8M-25.71%311.2M-30.98%301.5M-30.98%301.5M
Other non current liabilities -27.34%93.8M-33.01%89.3M-30.56%86.8M-34.24%82.4M-34.24%82.4M-1.60%129.1M2.62%133.3M-14.44%125M-1.65%125.3M-1.65%125.3M
Total non current liabilities -26.86%2.7B-17.02%2.67B-21.31%2.69B-2.41%3.67B-2.41%3.67B0.89%3.7B-15.36%3.22B-15.04%3.42B23.89%3.76B23.89%3.76B
Total liabilities -10.44%3.97B-5.94%4.19B-5.75%4.28B-3.47%4.36B-3.47%4.36B2.83%4.43B-3.22%4.46B-2.98%4.54B19.47%4.51B19.47%4.51B
Shareholders'equity
Share capital 0.13%4.49B0.15%4.49B0.14%4.49B0.72%4.48B0.72%4.48B-4.25%4.48B-5.33%4.48B-4.88%4.48B0.49%4.45B0.49%4.45B
-common stock 0.13%4.49B0.15%4.49B0.14%4.49B0.72%4.48B0.72%4.48B-4.25%4.48B-5.33%4.48B-4.88%4.48B0.49%4.45B0.49%4.45B
Additional paid-in capital -0.04%10.64B-0.03%10.64B-0.01%10.64B-0.20%10.65B-0.20%10.65B-0.27%10.65B-0.36%10.64B-0.54%10.64B0.03%10.67B0.03%10.67B
Retained earnings 6.56%-8.42B3.81%-8.74B3.11%-8.91B2.91%-8.98B2.91%-8.98B1.07%-9.01B0.55%-9.08B-1.58%-9.2B-8.94%-9.25B-8.94%-9.25B
Gains losses not affecting retained earnings -13.27%-62.3M-65.70%-68.6M-72.85%-62.4M-47.00%-61.3M-47.00%-61.3M20.52%-55M-71.78%-41.4M-354.23%-36.1M-121.81%-41.7M-121.81%-41.7M
Total stockholders'equity 9.66%6.65B5.37%6.32B4.50%6.15B4.46%6.08B4.46%6.08B-1.89%6.06B-4.12%6B-7.55%5.89B-11.51%5.82B-11.51%5.82B
Noncontrolling interests 40.44%146.9M37.77%127.3M70.78%117.5M74.36%102M74.36%102M85.79%104.6M30.88%92.4M-1.85%68.8M-14.85%58.5M-14.85%58.5M
Total equity 10.18%6.79B5.87%6.45B5.27%6.27B5.16%6.19B5.16%6.19B-1.09%6.17B-3.73%6.09B-7.49%5.96B-11.54%5.88B-11.54%5.88B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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