US Stock MarketDetailed Quotes

KT KT Corp

Watchlist
  • 15.650
  • -0.110-0.70%
Close Nov 5 16:00 ET
  • 15.650
  • 0.0000.00%
Post 17:37 ET
7.69BMarket Cap9.85P/E (TTM)

KT Corp 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
Assets
Current assets
Cash, cash equivalents and short term investments
61.43%5.01T
26.26%4.47T
14.54%4.32T
14.54%4.32T
4.38%4.61T
-28.46%3.1T
-13.37%3.54T
-10.31%3.77T
-10.31%3.77T
12.28%4.42T
-Cash and cash equivalents
109.73%3.79T
42.26%3T
17.58%2.88T
17.58%2.88T
0.49%3.11T
-36.01%1.81T
-21.36%2.11T
-18.89%2.45T
-18.89%2.45T
0.20%3.1T
-Short-term investments
-5.87%1.22T
2.70%1.47T
8.90%1.44T
8.90%1.44T
13.45%1.5T
-14.38%1.3T
1.88%1.43T
11.54%1.32T
11.54%1.32T
56.25%1.33T
Receivables
25.65%6.88T
32.00%7.37T
17.61%7.17T
17.61%7.17T
40.47%7.95T
2.87%5.48T
5.46%5.58T
19.75%6.1T
19.75%6.1T
3.86%5.66T
-Accounts receivable
4.80%3.17T
10.61%3.58T
5.43%3.26T
5.43%3.26T
6.18%3.53T
0.29%3.03T
0.48%3.24T
3.59%3.09T
3.59%3.09T
-0.27%3.33T
-Taxes receivable
79.26%2.33B
169.69%3.19B
113.80%3.3B
113.80%3.3B
127.66%3.01B
69.99%1.3B
88.06%1.18B
-74.08%1.54B
-74.08%1.54B
-81.67%1.32B
-Other receivables
51.36%3.71T
61.00%3.78T
30.07%3.91T
30.07%3.91T
89.39%4.41T
6.22%2.45T
13.51%2.35T
36.86%3.01T
36.86%3.01T
10.71%2.33T
-Recievables adjustments allowances
----
----
----
----
----
----
---6.95B
----
----
----
Inventory
51.36%964.04B
15.34%899.14B
37.72%988.35B
37.72%988.35B
4.70%707.44B
24.09%636.92B
31.50%779.58B
39.59%717.67B
39.59%717.67B
66.17%675.7B
Other current assets
2.14%2.24T
-1.74%2.26T
0.54%2.11T
0.54%2.11T
-1.57%2.25T
-8.40%2.19T
3.80%2.3T
2.78%2.1T
2.78%2.1T
8.70%2.29T
Total current assets
33.05%15.18T
22.91%15T
15.01%14.59T
15.01%14.59T
19.00%15.52T
-9.22%11.41T
0.10%12.2T
7.01%12.69T
7.01%12.69T
9.62%13.04T
Non current assets
Net PPE
-0.31%15.88T
0.09%15.85T
0.78%16.18T
0.78%16.18T
0.97%15.94T
0.56%15.93T
2.24%15.83T
2.16%16.05T
2.16%16.05T
4.02%15.79T
-Gross PPE
-0.31%15.88T
0.09%15.85T
2.89%53.36T
2.89%53.36T
0.97%15.94T
0.56%15.93T
2.24%15.83T
3.22%51.86T
3.22%51.86T
4.02%15.79T
-Accumulated depreciation
----
----
-3.84%-37.18T
-3.84%-37.18T
----
----
----
-3.70%-35.81T
-3.70%-35.81T
----
Goodwill and other intangible assets
-24.56%2.27T
-21.58%2.41T
-19.04%2.53T
-19.04%2.53T
-10.21%2.93T
-9.26%3T
-8.59%3.07T
-9.21%3.13T
-9.21%3.13T
5.96%3.27T
-Goodwill
----
----
-31.03%488.43B
-31.03%488.43B
----
----
----
1.63%708.22B
1.63%708.22B
----
-Other intangible assets
----
----
-15.53%2.05T
-15.53%2.05T
----
----
----
-11.96%2.42T
-11.96%2.42T
----
Investments and advances
4.91%4.42T
6.02%4.39T
7.52%4.28T
7.52%4.28T
14.87%4.41T
45.06%4.22T
82.78%4.14T
88.66%3.98T
88.66%3.98T
116.68%3.84T
Non current accounts receivable
-4.76%1.38T
0.28%1.35T
-5.83%1.4T
-5.83%1.4T
-3.47%1.37T
17.20%1.45T
24.41%1.34T
36.63%1.49T
36.63%1.49T
37.49%1.41T
Financial assets
--239.9B
----
----
----
----
----
----
----
----
----
Non current deferred assets
4.47%623.7B
4.64%615.53B
6.11%614.5B
6.11%614.5B
-2.13%589.89B
-0.82%597.01B
39.73%588.26B
36.67%579.09B
36.67%579.09B
37.44%602.72B
Defined pension benefit
-63.69%92.46B
-59.17%107.8B
-48.34%160.75B
-48.34%160.75B
--257.54B
--254.62B
--264.03B
1,669.36%311.14B
1,669.36%311.14B
----
Other non current assets
0.82%815.3B
1.39%812.07B
0.82%827.3B
0.82%827.3B
1.10%831.96B
-0.79%808.64B
5.16%800.93B
5.70%820.61B
5.70%820.61B
10.28%822.94B
Total non current assets
-1.34%27.97T
-1.07%27.71T
-0.36%28.2T
-0.36%28.2T
3.06%28.45T
6.97%28.35T
11.55%28.01T
11.85%28.3T
11.85%28.3T
15.36%27.61T
Total assets
8.52%43.14T
6.21%42.71T
4.40%42.79T
4.40%42.79T
8.17%43.97T
1.77%39.76T
7.81%40.21T
10.31%40.99T
10.31%40.99T
13.45%40.65T
Liabilities
Current liabilities
Payables
28.88%8.37T
29.26%8.5T
9.59%8.29T
9.59%8.29T
33.21%9.51T
-5.41%6.49T
-4.63%6.58T
9.52%7.57T
9.52%7.57T
9.37%7.14T
-accounts payable
23.38%1.43T
11.43%1.26T
12.80%1.3T
12.80%1.3T
11.96%1.55T
-7.24%1.16T
-11.96%1.13T
-25.15%1.15T
-25.15%1.15T
5.78%1.39T
-Total tax payable
18.19%316.96B
44.01%216.9B
1.76%236.46B
1.76%236.46B
-29.23%240.62B
-16.31%268.17B
-56.52%150.61B
-12.78%232.38B
-12.78%232.38B
-7.71%340B
-Other payable
30.70%6.62T
32.65%7.02T
9.29%6.76T
9.29%6.76T
42.58%7.71T
-4.32%5.07T
0.57%5.29T
21.13%6.18T
21.13%6.18T
11.63%5.41T
Current provisions
-5.71%105.85B
-0.24%108.58B
5.57%115.21B
5.57%115.21B
-6.89%111.14B
-31.67%112.26B
-33.55%108.84B
-36.30%109.13B
-36.30%109.13B
-28.95%119.36B
Current debt and capital lease obligation
70.73%3.6T
59.10%3.54T
67.41%3.06T
67.41%3.06T
15.43%2.37T
-24.09%2.11T
40.45%2.22T
5.52%1.83T
5.52%1.83T
29.20%2.05T
-Current debt
70.73%3.6T
59.10%3.54T
67.41%3.06T
67.41%3.06T
15.43%2.37T
-24.09%2.11T
40.45%2.22T
5.52%1.83T
5.52%1.83T
29.20%2.05T
Current deferred liabilities
9.89%62.5B
-9.03%49.6B
-7.54%51.54B
-7.54%51.54B
-9.43%58.23B
-3.49%56.87B
-2.16%54.53B
-13.91%55.74B
-13.91%55.74B
-3.72%64.29B
Other current liabilities
79.39%1.96T
53.92%1.85T
51.60%1.73T
51.60%1.73T
18.35%1.44T
-9.46%1.09T
1.38%1.2T
-4.62%1.14T
-4.62%1.14T
17.26%1.21T
Current liabilities
42.91%14.1T
38.18%14.05T
23.82%13.25T
23.82%13.25T
27.35%13.48T
-10.91%9.86T
2.85%10.16T
6.22%10.7T
6.22%10.7T
12.82%10.58T
Non current liabilities
Long term provisions
8.57%111.42B
8.74%107.66B
17.30%107.01B
17.30%107.01B
15.69%105.1B
14.69%102.63B
14.18%99.01B
5.99%91.23B
5.99%91.23B
5.22%90.85B
Long term debt and capital lease obligation
-17.34%6.56T
-20.83%6.61T
-12.47%7.16T
-12.47%7.16T
-4.50%7.94T
8.62%7.93T
14.25%8.35T
21.97%8.18T
21.97%8.18T
22.13%8.31T
-Long term debt
-17.34%6.56T
-20.83%6.61T
-12.47%7.16T
-12.47%7.16T
-4.50%7.94T
8.62%7.93T
14.25%8.35T
21.97%8.18T
21.97%8.18T
22.13%8.31T
Non current deferred liabilities
2.53%1.2T
-1.45%1.2T
1.33%1.15T
1.33%1.15T
18.10%1.14T
14.31%1.17T
50.61%1.22T
35.14%1.13T
35.14%1.13T
66.01%967.2B
Employee benefits
28.99%73.11B
22.78%68.32B
23.16%63.62B
23.16%63.62B
-77.92%59.47B
-79.01%56.68B
-77.71%55.64B
-73.90%51.65B
-73.90%51.65B
-46.54%269.34B
Derivative product liabilities
--0
----
----
----
----
----
----
----
----
----
Other non current liabilities
15.46%1.57T
14.91%1.54T
25.43%1.7T
25.43%1.7T
16.66%1.67T
1.83%1.36T
2.59%1.34T
0.44%1.36T
0.44%1.36T
11.13%1.43T
Total non current liabilities
-12.00%10.07T
-15.26%10.08T
-7.38%11T
-7.38%11T
-3.19%11.77T
3.14%11.44T
9.92%11.9T
12.91%11.88T
12.91%11.88T
17.48%12.16T
Total liabilities
13.43%24.16T
9.36%24.13T
7.41%24.25T
7.41%24.25T
11.02%25.25T
-3.88%21.3T
6.54%22.06T
9.64%22.58T
9.64%22.58T
15.26%22.75T
Shareholders'equity
Share capital
0.00%1.56T
0.00%1.56T
0.00%1.56T
0.00%1.56T
0.00%1.56T
0.00%1.56T
0.00%1.56T
0.00%1.56T
0.00%1.56T
0.00%1.56T
-common stock
0.00%1.56T
0.00%1.56T
0.00%1.56T
0.00%1.56T
0.00%1.56T
0.00%1.56T
0.00%1.56T
0.00%1.56T
0.00%1.56T
0.00%1.56T
Retained earnings
0.34%14.45T
2.52%14.36T
1.55%14.48T
1.55%14.48T
5.15%14.57T
6.29%14.4T
5.84%14.01T
7.28%14.26T
7.28%14.26T
8.08%13.86T
Paid-in capital
0.00%1.44T
0.00%1.44T
0.00%1.44T
0.00%1.44T
0.00%1.44T
0.00%1.44T
0.00%1.44T
0.00%1.44T
0.00%1.44T
0.00%1.44T
Gains losses not affecting retained earnings
1,076.22%294.21B
2,033.76%182.84B
167.38%52.41B
167.38%52.41B
154.00%28.3B
-62.76%25.01B
-108.59%-9.46B
-166.21%-77.78B
-166.21%-77.78B
-301.57%-52.4B
Other equity interest
22.14%-637.18B
-23.40%-797.43B
-40.25%-802.42B
-40.25%-802.42B
-16.74%-803.78B
42.33%-818.38B
54.67%-646.19B
60.08%-572.15B
60.08%-572.15B
49.04%-688.5B
Total stockholders'equity
3.00%17.11T
2.41%16.75T
0.73%16.73T
0.73%16.73T
4.21%16.8T
9.28%16.62T
9.60%16.36T
10.91%16.61T
10.91%16.61T
11.17%16.12T
Noncontrolling interests
1.58%1.87T
2.00%1.83T
0.52%1.81T
0.52%1.81T
7.69%1.92T
8.09%1.84T
7.49%1.79T
13.32%1.8T
13.32%1.8T
11.80%1.78T
Total equity
2.86%18.98T
2.37%18.58T
0.71%18.54T
0.71%18.54T
4.56%18.72T
9.16%18.45T
9.39%18.15T
11.14%18.41T
11.14%18.41T
11.23%17.91T
Currency Unit
KRW
KRW
KRW
KRW
KRW
KRW
KRW
KRW
KRW
KRW
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
--
--
(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
Assets
Current assets
Cash, cash equivalents and short term investments 61.43%5.01T26.26%4.47T14.54%4.32T14.54%4.32T4.38%4.61T-28.46%3.1T-13.37%3.54T-10.31%3.77T-10.31%3.77T12.28%4.42T
-Cash and cash equivalents 109.73%3.79T42.26%3T17.58%2.88T17.58%2.88T0.49%3.11T-36.01%1.81T-21.36%2.11T-18.89%2.45T-18.89%2.45T0.20%3.1T
-Short-term investments -5.87%1.22T2.70%1.47T8.90%1.44T8.90%1.44T13.45%1.5T-14.38%1.3T1.88%1.43T11.54%1.32T11.54%1.32T56.25%1.33T
Receivables 25.65%6.88T32.00%7.37T17.61%7.17T17.61%7.17T40.47%7.95T2.87%5.48T5.46%5.58T19.75%6.1T19.75%6.1T3.86%5.66T
-Accounts receivable 4.80%3.17T10.61%3.58T5.43%3.26T5.43%3.26T6.18%3.53T0.29%3.03T0.48%3.24T3.59%3.09T3.59%3.09T-0.27%3.33T
-Taxes receivable 79.26%2.33B169.69%3.19B113.80%3.3B113.80%3.3B127.66%3.01B69.99%1.3B88.06%1.18B-74.08%1.54B-74.08%1.54B-81.67%1.32B
-Other receivables 51.36%3.71T61.00%3.78T30.07%3.91T30.07%3.91T89.39%4.41T6.22%2.45T13.51%2.35T36.86%3.01T36.86%3.01T10.71%2.33T
-Recievables adjustments allowances ---------------------------6.95B------------
Inventory 51.36%964.04B15.34%899.14B37.72%988.35B37.72%988.35B4.70%707.44B24.09%636.92B31.50%779.58B39.59%717.67B39.59%717.67B66.17%675.7B
Other current assets 2.14%2.24T-1.74%2.26T0.54%2.11T0.54%2.11T-1.57%2.25T-8.40%2.19T3.80%2.3T2.78%2.1T2.78%2.1T8.70%2.29T
Total current assets 33.05%15.18T22.91%15T15.01%14.59T15.01%14.59T19.00%15.52T-9.22%11.41T0.10%12.2T7.01%12.69T7.01%12.69T9.62%13.04T
Non current assets
Net PPE -0.31%15.88T0.09%15.85T0.78%16.18T0.78%16.18T0.97%15.94T0.56%15.93T2.24%15.83T2.16%16.05T2.16%16.05T4.02%15.79T
-Gross PPE -0.31%15.88T0.09%15.85T2.89%53.36T2.89%53.36T0.97%15.94T0.56%15.93T2.24%15.83T3.22%51.86T3.22%51.86T4.02%15.79T
-Accumulated depreciation ---------3.84%-37.18T-3.84%-37.18T-------------3.70%-35.81T-3.70%-35.81T----
Goodwill and other intangible assets -24.56%2.27T-21.58%2.41T-19.04%2.53T-19.04%2.53T-10.21%2.93T-9.26%3T-8.59%3.07T-9.21%3.13T-9.21%3.13T5.96%3.27T
-Goodwill ---------31.03%488.43B-31.03%488.43B------------1.63%708.22B1.63%708.22B----
-Other intangible assets ---------15.53%2.05T-15.53%2.05T-------------11.96%2.42T-11.96%2.42T----
Investments and advances 4.91%4.42T6.02%4.39T7.52%4.28T7.52%4.28T14.87%4.41T45.06%4.22T82.78%4.14T88.66%3.98T88.66%3.98T116.68%3.84T
Non current accounts receivable -4.76%1.38T0.28%1.35T-5.83%1.4T-5.83%1.4T-3.47%1.37T17.20%1.45T24.41%1.34T36.63%1.49T36.63%1.49T37.49%1.41T
Financial assets --239.9B------------------------------------
Non current deferred assets 4.47%623.7B4.64%615.53B6.11%614.5B6.11%614.5B-2.13%589.89B-0.82%597.01B39.73%588.26B36.67%579.09B36.67%579.09B37.44%602.72B
Defined pension benefit -63.69%92.46B-59.17%107.8B-48.34%160.75B-48.34%160.75B--257.54B--254.62B--264.03B1,669.36%311.14B1,669.36%311.14B----
Other non current assets 0.82%815.3B1.39%812.07B0.82%827.3B0.82%827.3B1.10%831.96B-0.79%808.64B5.16%800.93B5.70%820.61B5.70%820.61B10.28%822.94B
Total non current assets -1.34%27.97T-1.07%27.71T-0.36%28.2T-0.36%28.2T3.06%28.45T6.97%28.35T11.55%28.01T11.85%28.3T11.85%28.3T15.36%27.61T
Total assets 8.52%43.14T6.21%42.71T4.40%42.79T4.40%42.79T8.17%43.97T1.77%39.76T7.81%40.21T10.31%40.99T10.31%40.99T13.45%40.65T
Liabilities
Current liabilities
Payables 28.88%8.37T29.26%8.5T9.59%8.29T9.59%8.29T33.21%9.51T-5.41%6.49T-4.63%6.58T9.52%7.57T9.52%7.57T9.37%7.14T
-accounts payable 23.38%1.43T11.43%1.26T12.80%1.3T12.80%1.3T11.96%1.55T-7.24%1.16T-11.96%1.13T-25.15%1.15T-25.15%1.15T5.78%1.39T
-Total tax payable 18.19%316.96B44.01%216.9B1.76%236.46B1.76%236.46B-29.23%240.62B-16.31%268.17B-56.52%150.61B-12.78%232.38B-12.78%232.38B-7.71%340B
-Other payable 30.70%6.62T32.65%7.02T9.29%6.76T9.29%6.76T42.58%7.71T-4.32%5.07T0.57%5.29T21.13%6.18T21.13%6.18T11.63%5.41T
Current provisions -5.71%105.85B-0.24%108.58B5.57%115.21B5.57%115.21B-6.89%111.14B-31.67%112.26B-33.55%108.84B-36.30%109.13B-36.30%109.13B-28.95%119.36B
Current debt and capital lease obligation 70.73%3.6T59.10%3.54T67.41%3.06T67.41%3.06T15.43%2.37T-24.09%2.11T40.45%2.22T5.52%1.83T5.52%1.83T29.20%2.05T
-Current debt 70.73%3.6T59.10%3.54T67.41%3.06T67.41%3.06T15.43%2.37T-24.09%2.11T40.45%2.22T5.52%1.83T5.52%1.83T29.20%2.05T
Current deferred liabilities 9.89%62.5B-9.03%49.6B-7.54%51.54B-7.54%51.54B-9.43%58.23B-3.49%56.87B-2.16%54.53B-13.91%55.74B-13.91%55.74B-3.72%64.29B
Other current liabilities 79.39%1.96T53.92%1.85T51.60%1.73T51.60%1.73T18.35%1.44T-9.46%1.09T1.38%1.2T-4.62%1.14T-4.62%1.14T17.26%1.21T
Current liabilities 42.91%14.1T38.18%14.05T23.82%13.25T23.82%13.25T27.35%13.48T-10.91%9.86T2.85%10.16T6.22%10.7T6.22%10.7T12.82%10.58T
Non current liabilities
Long term provisions 8.57%111.42B8.74%107.66B17.30%107.01B17.30%107.01B15.69%105.1B14.69%102.63B14.18%99.01B5.99%91.23B5.99%91.23B5.22%90.85B
Long term debt and capital lease obligation -17.34%6.56T-20.83%6.61T-12.47%7.16T-12.47%7.16T-4.50%7.94T8.62%7.93T14.25%8.35T21.97%8.18T21.97%8.18T22.13%8.31T
-Long term debt -17.34%6.56T-20.83%6.61T-12.47%7.16T-12.47%7.16T-4.50%7.94T8.62%7.93T14.25%8.35T21.97%8.18T21.97%8.18T22.13%8.31T
Non current deferred liabilities 2.53%1.2T-1.45%1.2T1.33%1.15T1.33%1.15T18.10%1.14T14.31%1.17T50.61%1.22T35.14%1.13T35.14%1.13T66.01%967.2B
Employee benefits 28.99%73.11B22.78%68.32B23.16%63.62B23.16%63.62B-77.92%59.47B-79.01%56.68B-77.71%55.64B-73.90%51.65B-73.90%51.65B-46.54%269.34B
Derivative product liabilities --0------------------------------------
Other non current liabilities 15.46%1.57T14.91%1.54T25.43%1.7T25.43%1.7T16.66%1.67T1.83%1.36T2.59%1.34T0.44%1.36T0.44%1.36T11.13%1.43T
Total non current liabilities -12.00%10.07T-15.26%10.08T-7.38%11T-7.38%11T-3.19%11.77T3.14%11.44T9.92%11.9T12.91%11.88T12.91%11.88T17.48%12.16T
Total liabilities 13.43%24.16T9.36%24.13T7.41%24.25T7.41%24.25T11.02%25.25T-3.88%21.3T6.54%22.06T9.64%22.58T9.64%22.58T15.26%22.75T
Shareholders'equity
Share capital 0.00%1.56T0.00%1.56T0.00%1.56T0.00%1.56T0.00%1.56T0.00%1.56T0.00%1.56T0.00%1.56T0.00%1.56T0.00%1.56T
-common stock 0.00%1.56T0.00%1.56T0.00%1.56T0.00%1.56T0.00%1.56T0.00%1.56T0.00%1.56T0.00%1.56T0.00%1.56T0.00%1.56T
Retained earnings 0.34%14.45T2.52%14.36T1.55%14.48T1.55%14.48T5.15%14.57T6.29%14.4T5.84%14.01T7.28%14.26T7.28%14.26T8.08%13.86T
Paid-in capital 0.00%1.44T0.00%1.44T0.00%1.44T0.00%1.44T0.00%1.44T0.00%1.44T0.00%1.44T0.00%1.44T0.00%1.44T0.00%1.44T
Gains losses not affecting retained earnings 1,076.22%294.21B2,033.76%182.84B167.38%52.41B167.38%52.41B154.00%28.3B-62.76%25.01B-108.59%-9.46B-166.21%-77.78B-166.21%-77.78B-301.57%-52.4B
Other equity interest 22.14%-637.18B-23.40%-797.43B-40.25%-802.42B-40.25%-802.42B-16.74%-803.78B42.33%-818.38B54.67%-646.19B60.08%-572.15B60.08%-572.15B49.04%-688.5B
Total stockholders'equity 3.00%17.11T2.41%16.75T0.73%16.73T0.73%16.73T4.21%16.8T9.28%16.62T9.60%16.36T10.91%16.61T10.91%16.61T11.17%16.12T
Noncontrolling interests 1.58%1.87T2.00%1.83T0.52%1.81T0.52%1.81T7.69%1.92T8.09%1.84T7.49%1.79T13.32%1.8T13.32%1.8T11.80%1.78T
Total equity 2.86%18.98T2.37%18.58T0.71%18.54T0.71%18.54T4.56%18.72T9.16%18.45T9.39%18.15T11.14%18.41T11.14%18.41T11.23%17.91T
Currency Unit KRWKRWKRWKRWKRWKRWKRWKRWKRWKRW
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

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