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AA Alcoa

Watchlist
  • 45.470
  • -0.980-2.11%
Close Nov 22 16:00 ET
  • 45.810
  • +0.340+0.75%
Pre 07:27 ET
11.75BMarket Cap-29147P/E (TTM)

Alcoa 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
41.79%1.31B
41.01%1.4B
19.33%1.36B
-30.74%944M
-30.74%944M
-35.34%926M
-39.56%990M
-26.77%1.14B
-24.86%1.36B
-24.86%1.36B
-Cash and cash equivalents
41.79%1.31B
41.01%1.4B
19.33%1.36B
-30.74%944M
-30.74%944M
-35.34%926M
-39.56%990M
-26.77%1.14B
-24.86%1.36B
-24.86%1.36B
Receivables
26.51%1.01B
33.25%1.07B
17.49%1B
-11.11%808M
-11.11%808M
-8.29%796M
-21.14%806M
-18.86%852M
2.83%909M
2.83%909M
-Accounts receivable
24.75%862M
33.76%939M
15.41%869M
-15.68%656M
-15.68%656M
-7.74%691M
-21.83%702M
-20.90%753M
2.77%778M
2.77%778M
-Other receivables
38.10%145M
29.81%135M
33.33%132M
16.03%152M
16.03%152M
-11.76%105M
-16.13%104M
1.02%99M
3.15%131M
3.15%131M
Inventory
-4.29%2.1B
-17.71%1.98B
-14.49%2.05B
-11.08%2.16B
-11.08%2.16B
-8.75%2.19B
-6.10%2.4B
-4.01%2.4B
24.08%2.43B
24.08%2.43B
Other current assets
5.95%445M
10.24%420M
-0.66%452M
11.75%466M
11.75%466M
8.25%420M
0.00%381M
4.60%455M
16.48%417M
16.48%417M
Total current assets
11.48%4.87B
4.99%4.9B
-1.31%4.88B
-16.10%4.41B
-16.10%4.41B
-18.41%4.37B
-20.35%4.67B
-11.65%4.95B
4.46%5.25B
4.46%5.25B
Non current assets
Net PPE
2.89%6.72B
0.90%6.5B
2.35%6.58B
4.50%6.79B
4.50%6.79B
4.45%6.53B
-0.19%6.45B
-5.83%6.43B
-1.96%6.49B
-1.96%6.49B
-Gross PPE
3.52%20.54B
0.93%20B
1.58%19.96B
3.96%20.38B
3.96%20.38B
4.30%19.84B
0.85%19.81B
-3.89%19.65B
-0.75%19.61B
-0.75%19.61B
-Accumulated depreciation
-3.83%-13.81B
-0.95%-13.5B
-1.20%-13.38B
-3.69%-13.6B
-3.69%-13.6B
-4.22%-13.3B
-1.36%-13.37B
2.92%-13.22B
0.14%-13.11B
0.14%-13.11B
Goodwill and other intangible assets
-2.73%178M
-3.24%179M
4.00%182M
5.17%183M
5.17%183M
5.17%183M
5.11%185M
--175M
-3.33%174M
-3.33%174M
-Goodwill
-1.37%144M
-1.37%144M
0.69%146M
0.69%146M
0.69%146M
1.39%146M
0.69%146M
--145M
0.69%145M
0.69%145M
-Other intangible assets
-8.11%34M
-10.26%35M
20.00%36M
27.59%37M
27.59%37M
23.33%37M
25.81%39M
--30M
-19.44%29M
-19.44%29M
Investments and advances
-2.19%982M
-4.35%989M
-7.80%969M
-12.75%979M
-12.75%979M
-17.91%1B
-16.48%1.03B
-14.13%1.05B
-6.42%1.12B
-6.42%1.12B
Non current accounts receivable
-16.07%282M
-15.84%287M
-13.14%324M
14.29%336M
14.29%336M
15.86%336M
2.71%341M
--373M
0.34%294M
0.34%294M
Financial assets
-66.67%1M
--0
0.00%1M
50.00%3M
50.00%3M
-85.00%3M
-66.67%5M
-95.00%1M
-71.43%2M
-71.43%2M
Non current deferred assets
-7.26%524M
1.43%497M
-5.77%474M
13.79%520M
13.79%520M
0.18%565M
-17.51%490M
-24.59%503M
-30.23%457M
-30.23%457M
Non current prepaid assets
3.23%640M
-2.48%629M
4.58%616M
-2.25%653M
-2.25%653M
-5.20%620M
-8.25%645M
--589M
-1.91%668M
-1.91%668M
Defined pension benefit
0.63%160M
-3.16%153M
-16.45%127M
-14.38%125M
-14.38%125M
-22.44%159M
-8.14%158M
--152M
-10.98%146M
-10.98%146M
Other non current assets
25.33%188M
7.74%167M
15.69%177M
10.67%166M
10.67%166M
-0.66%150M
-2.52%155M
-90.76%153M
-24.24%150M
-24.24%150M
Total non current assets
1.30%9.68B
-0.57%9.4B
0.25%9.45B
2.57%9.75B
2.57%9.75B
0.18%9.55B
-3.94%9.46B
-9.31%9.42B
-4.94%9.51B
-4.94%9.51B
Total assets
4.49%14.54B
1.27%14.31B
-0.29%14.33B
-4.07%14.16B
-4.07%14.16B
-6.50%13.92B
-10.06%14.13B
-10.13%14.37B
-1.79%14.76B
-1.79%14.76B
Liabilities
Current liabilities
Payables
4.49%1.65B
11.55%1.74B
-0.94%1.68B
-9.31%1.8B
-9.31%1.8B
-16.34%1.58B
-25.63%1.56B
-15.33%1.7B
-2.98%1.99B
-2.98%1.99B
-accounts payable
4.89%1.54B
8.58%1.62B
6.51%1.59B
-2.45%1.71B
-2.45%1.71B
-7.42%1.47B
-14.90%1.49B
-9.48%1.49B
4.96%1.76B
4.96%1.76B
-Total tax payable
-0.91%109M
77.61%119M
-54.59%94M
-61.74%88M
-61.74%88M
-63.46%110M
-80.47%67M
-42.18%207M
-38.50%230M
-38.50%230M
Current debt and capital lease obligation
46,300.00%464M
7,800.00%79M
7,800.00%79M
7,800.00%79M
7,800.00%79M
0.00%1M
0.00%1M
0.00%1M
-98.68%1M
-98.68%1M
-Current debt
46,300.00%464M
7,800.00%79M
7,800.00%79M
7,800.00%79M
7,800.00%79M
0.00%1M
0.00%1M
0.00%1M
-98.68%1M
-98.68%1M
Other current liabilities
39.06%979M
42.18%991M
25.79%951M
16.30%792M
16.30%792M
-3.96%704M
-12.77%697M
-31.58%756M
-4.89%681M
-4.89%681M
Current liabilities
31.82%3.46B
21.96%3.17B
9.19%3.04B
0.87%3.03B
0.87%3.03B
-11.17%2.62B
-19.78%2.6B
-19.65%2.79B
-6.79%3B
-6.79%3B
Non current liabilities
Long term provisions
-7.96%971M
-4.51%890M
-3.89%915M
5.21%989M
5.21%989M
20.85%1.06B
4.95%932M
5.66%952M
-1.67%940M
-1.67%940M
Long term debt and capital lease obligation
36.48%2.47B
36.56%2.47B
36.71%2.47B
-1.55%1.84B
-1.55%1.84B
4.87%1.81B
4.81%1.81B
4.57%1.81B
4.19%1.87B
4.19%1.87B
-Long term debt
36.48%2.47B
36.56%2.47B
36.71%2.47B
-4.10%1.73B
-4.10%1.73B
4.87%1.81B
4.81%1.81B
4.57%1.81B
4.63%1.81B
4.63%1.81B
-Long term capital lease obligation
----
----
----
76.27%104M
76.27%104M
----
----
----
-7.81%59M
-7.81%59M
Non current deferred liabilities
----
----
----
-4.62%62M
-4.62%62M
----
----
----
-27.78%65M
-27.78%65M
Employee benefits
2.26%680M
0.58%691M
3.68%704M
3.43%815M
3.43%815M
-32.56%665M
-30.95%687M
-35.27%679M
-33.61%788M
-33.61%788M
Derivative product liabilities
8.63%1.01B
4.28%951M
-17.11%925M
6.43%1.09B
6.43%1.09B
14.16%927M
5.19%912M
-37.83%1.12B
-2.10%1.03B
-2.10%1.03B
Other non current liabilities
17.47%632M
14.98%591M
14.99%606M
-7.69%36M
-7.69%36M
21.72%538M
2.39%514M
-12.31%527M
11.43%39M
11.43%39M
Total non current liabilities
12.15%5.83B
12.83%5.73B
8.79%5.75B
2.27%5.28B
2.27%5.28B
3.21%5.2B
-2.07%5.07B
-15.59%5.29B
-6.43%5.16B
-6.43%5.16B
Total liabilities
18.75%9.29B
15.92%8.89B
8.93%8.79B
1.75%8.31B
1.75%8.31B
-2.10%7.83B
-8.87%7.67B
-17.04%8.07B
-6.57%8.17B
-6.57%8.17B
Shareholders'equity
Share capital
50.00%3M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
-common stock
50.00%3M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
-Preferred stock
--0
----
----
----
----
----
----
----
----
----
Retained earnings
-33.16%-1.5B
-66.35%-1.56B
-90.96%-1.56B
-126.84%-1.29B
-126.84%-1.29B
-612.03%-1.13B
-254.95%-939M
-818.42%-819M
-80.95%-570M
-80.95%-570M
Paid-in capital
25.14%11.49B
0.25%9.2B
0.24%9.18B
0.04%9.19B
0.04%9.19B
0.09%9.18B
-1.50%9.17B
-3.93%9.16B
-4.11%9.18B
-4.11%9.18B
Gains losses not affecting retained earnings
-33.69%-4.74B
-10.11%-3.74B
0.74%-3.63B
-3.00%-3.65B
-3.00%-3.65B
2.66%-3.55B
20.24%-3.39B
27.97%-3.66B
22.93%-3.54B
22.93%-3.54B
Total stockholders'equity
16.43%5.25B
-19.48%3.9B
-14.84%3.99B
-16.25%4.25B
-16.25%4.25B
-16.05%4.51B
-14.54%4.84B
2.42%4.69B
8.65%5.08B
8.65%5.08B
Noncontrolling interests
--0
-6.13%1.52B
-4.11%1.54B
5.35%1.59B
5.35%1.59B
4.08%1.58B
-0.62%1.62B
-4.29%1.61B
-6.14%1.51B
-6.14%1.51B
Total equity
-13.82%5.25B
-16.14%5.42B
-12.10%5.53B
-11.29%5.85B
-11.29%5.85B
-11.61%6.09B
-11.44%6.46B
0.62%6.3B
4.85%6.59B
4.85%6.59B
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
--
--
--
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 41.79%1.31B41.01%1.4B19.33%1.36B-30.74%944M-30.74%944M-35.34%926M-39.56%990M-26.77%1.14B-24.86%1.36B-24.86%1.36B
-Cash and cash equivalents 41.79%1.31B41.01%1.4B19.33%1.36B-30.74%944M-30.74%944M-35.34%926M-39.56%990M-26.77%1.14B-24.86%1.36B-24.86%1.36B
Receivables 26.51%1.01B33.25%1.07B17.49%1B-11.11%808M-11.11%808M-8.29%796M-21.14%806M-18.86%852M2.83%909M2.83%909M
-Accounts receivable 24.75%862M33.76%939M15.41%869M-15.68%656M-15.68%656M-7.74%691M-21.83%702M-20.90%753M2.77%778M2.77%778M
-Other receivables 38.10%145M29.81%135M33.33%132M16.03%152M16.03%152M-11.76%105M-16.13%104M1.02%99M3.15%131M3.15%131M
Inventory -4.29%2.1B-17.71%1.98B-14.49%2.05B-11.08%2.16B-11.08%2.16B-8.75%2.19B-6.10%2.4B-4.01%2.4B24.08%2.43B24.08%2.43B
Other current assets 5.95%445M10.24%420M-0.66%452M11.75%466M11.75%466M8.25%420M0.00%381M4.60%455M16.48%417M16.48%417M
Total current assets 11.48%4.87B4.99%4.9B-1.31%4.88B-16.10%4.41B-16.10%4.41B-18.41%4.37B-20.35%4.67B-11.65%4.95B4.46%5.25B4.46%5.25B
Non current assets
Net PPE 2.89%6.72B0.90%6.5B2.35%6.58B4.50%6.79B4.50%6.79B4.45%6.53B-0.19%6.45B-5.83%6.43B-1.96%6.49B-1.96%6.49B
-Gross PPE 3.52%20.54B0.93%20B1.58%19.96B3.96%20.38B3.96%20.38B4.30%19.84B0.85%19.81B-3.89%19.65B-0.75%19.61B-0.75%19.61B
-Accumulated depreciation -3.83%-13.81B-0.95%-13.5B-1.20%-13.38B-3.69%-13.6B-3.69%-13.6B-4.22%-13.3B-1.36%-13.37B2.92%-13.22B0.14%-13.11B0.14%-13.11B
Goodwill and other intangible assets -2.73%178M-3.24%179M4.00%182M5.17%183M5.17%183M5.17%183M5.11%185M--175M-3.33%174M-3.33%174M
-Goodwill -1.37%144M-1.37%144M0.69%146M0.69%146M0.69%146M1.39%146M0.69%146M--145M0.69%145M0.69%145M
-Other intangible assets -8.11%34M-10.26%35M20.00%36M27.59%37M27.59%37M23.33%37M25.81%39M--30M-19.44%29M-19.44%29M
Investments and advances -2.19%982M-4.35%989M-7.80%969M-12.75%979M-12.75%979M-17.91%1B-16.48%1.03B-14.13%1.05B-6.42%1.12B-6.42%1.12B
Non current accounts receivable -16.07%282M-15.84%287M-13.14%324M14.29%336M14.29%336M15.86%336M2.71%341M--373M0.34%294M0.34%294M
Financial assets -66.67%1M--00.00%1M50.00%3M50.00%3M-85.00%3M-66.67%5M-95.00%1M-71.43%2M-71.43%2M
Non current deferred assets -7.26%524M1.43%497M-5.77%474M13.79%520M13.79%520M0.18%565M-17.51%490M-24.59%503M-30.23%457M-30.23%457M
Non current prepaid assets 3.23%640M-2.48%629M4.58%616M-2.25%653M-2.25%653M-5.20%620M-8.25%645M--589M-1.91%668M-1.91%668M
Defined pension benefit 0.63%160M-3.16%153M-16.45%127M-14.38%125M-14.38%125M-22.44%159M-8.14%158M--152M-10.98%146M-10.98%146M
Other non current assets 25.33%188M7.74%167M15.69%177M10.67%166M10.67%166M-0.66%150M-2.52%155M-90.76%153M-24.24%150M-24.24%150M
Total non current assets 1.30%9.68B-0.57%9.4B0.25%9.45B2.57%9.75B2.57%9.75B0.18%9.55B-3.94%9.46B-9.31%9.42B-4.94%9.51B-4.94%9.51B
Total assets 4.49%14.54B1.27%14.31B-0.29%14.33B-4.07%14.16B-4.07%14.16B-6.50%13.92B-10.06%14.13B-10.13%14.37B-1.79%14.76B-1.79%14.76B
Liabilities
Current liabilities
Payables 4.49%1.65B11.55%1.74B-0.94%1.68B-9.31%1.8B-9.31%1.8B-16.34%1.58B-25.63%1.56B-15.33%1.7B-2.98%1.99B-2.98%1.99B
-accounts payable 4.89%1.54B8.58%1.62B6.51%1.59B-2.45%1.71B-2.45%1.71B-7.42%1.47B-14.90%1.49B-9.48%1.49B4.96%1.76B4.96%1.76B
-Total tax payable -0.91%109M77.61%119M-54.59%94M-61.74%88M-61.74%88M-63.46%110M-80.47%67M-42.18%207M-38.50%230M-38.50%230M
Current debt and capital lease obligation 46,300.00%464M7,800.00%79M7,800.00%79M7,800.00%79M7,800.00%79M0.00%1M0.00%1M0.00%1M-98.68%1M-98.68%1M
-Current debt 46,300.00%464M7,800.00%79M7,800.00%79M7,800.00%79M7,800.00%79M0.00%1M0.00%1M0.00%1M-98.68%1M-98.68%1M
Other current liabilities 39.06%979M42.18%991M25.79%951M16.30%792M16.30%792M-3.96%704M-12.77%697M-31.58%756M-4.89%681M-4.89%681M
Current liabilities 31.82%3.46B21.96%3.17B9.19%3.04B0.87%3.03B0.87%3.03B-11.17%2.62B-19.78%2.6B-19.65%2.79B-6.79%3B-6.79%3B
Non current liabilities
Long term provisions -7.96%971M-4.51%890M-3.89%915M5.21%989M5.21%989M20.85%1.06B4.95%932M5.66%952M-1.67%940M-1.67%940M
Long term debt and capital lease obligation 36.48%2.47B36.56%2.47B36.71%2.47B-1.55%1.84B-1.55%1.84B4.87%1.81B4.81%1.81B4.57%1.81B4.19%1.87B4.19%1.87B
-Long term debt 36.48%2.47B36.56%2.47B36.71%2.47B-4.10%1.73B-4.10%1.73B4.87%1.81B4.81%1.81B4.57%1.81B4.63%1.81B4.63%1.81B
-Long term capital lease obligation ------------76.27%104M76.27%104M-------------7.81%59M-7.81%59M
Non current deferred liabilities -------------4.62%62M-4.62%62M-------------27.78%65M-27.78%65M
Employee benefits 2.26%680M0.58%691M3.68%704M3.43%815M3.43%815M-32.56%665M-30.95%687M-35.27%679M-33.61%788M-33.61%788M
Derivative product liabilities 8.63%1.01B4.28%951M-17.11%925M6.43%1.09B6.43%1.09B14.16%927M5.19%912M-37.83%1.12B-2.10%1.03B-2.10%1.03B
Other non current liabilities 17.47%632M14.98%591M14.99%606M-7.69%36M-7.69%36M21.72%538M2.39%514M-12.31%527M11.43%39M11.43%39M
Total non current liabilities 12.15%5.83B12.83%5.73B8.79%5.75B2.27%5.28B2.27%5.28B3.21%5.2B-2.07%5.07B-15.59%5.29B-6.43%5.16B-6.43%5.16B
Total liabilities 18.75%9.29B15.92%8.89B8.93%8.79B1.75%8.31B1.75%8.31B-2.10%7.83B-8.87%7.67B-17.04%8.07B-6.57%8.17B-6.57%8.17B
Shareholders'equity
Share capital 50.00%3M0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M
-common stock 50.00%3M0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M
-Preferred stock --0------------------------------------
Retained earnings -33.16%-1.5B-66.35%-1.56B-90.96%-1.56B-126.84%-1.29B-126.84%-1.29B-612.03%-1.13B-254.95%-939M-818.42%-819M-80.95%-570M-80.95%-570M
Paid-in capital 25.14%11.49B0.25%9.2B0.24%9.18B0.04%9.19B0.04%9.19B0.09%9.18B-1.50%9.17B-3.93%9.16B-4.11%9.18B-4.11%9.18B
Gains losses not affecting retained earnings -33.69%-4.74B-10.11%-3.74B0.74%-3.63B-3.00%-3.65B-3.00%-3.65B2.66%-3.55B20.24%-3.39B27.97%-3.66B22.93%-3.54B22.93%-3.54B
Total stockholders'equity 16.43%5.25B-19.48%3.9B-14.84%3.99B-16.25%4.25B-16.25%4.25B-16.05%4.51B-14.54%4.84B2.42%4.69B8.65%5.08B8.65%5.08B
Noncontrolling interests --0-6.13%1.52B-4.11%1.54B5.35%1.59B5.35%1.59B4.08%1.58B-0.62%1.62B-4.29%1.61B-6.14%1.51B-6.14%1.51B
Total equity -13.82%5.25B-16.14%5.42B-12.10%5.53B-11.29%5.85B-11.29%5.85B-11.61%6.09B-11.44%6.46B0.62%6.3B4.85%6.59B4.85%6.59B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--

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