US Stock MarketDetailed Quotes

ABLZF ABB LTD

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  • 56.188
  • +0.398+0.71%
15min DelayTrading Aug 28 14:10 ET
103.73BMarket Cap27.41P/E (TTM)

ABB LTD 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
40.39%1.07B
157.45%726M
222.41%4.3B
163.47%1.9B
71.63%1.36B
97.40%760M
150.00%282M
-60.04%1.33B
-30.30%720M
-29.13%793M
Net income from continuing operations
18.75%1.1B
-13.87%913M
45.92%3.85B
-19.01%946M
115.48%905M
128.57%928M
64.85%1.06B
-44.25%2.64B
-56.79%1.17B
-38.86%420M
Operating gains losses
75.81%-15M
65.45%-19M
-147.15%-304M
32.00%-68M
-321.43%-118M
-198.41%-62M
5.17%-55M
94.65%-123M
95.65%-100M
-411.11%-28M
Depreciation and amortization
3.06%202M
5.24%201M
-4.18%780M
0.00%199M
-2.02%194M
-5.31%196M
-9.05%191M
-8.85%814M
-7.87%199M
-10.00%198M
Deferred tax
154.55%28M
-124.00%-6M
92.73%-25M
110.56%17M
-125.71%-79M
134.38%11M
121.55%25M
-19.03%-344M
56.60%-161M
-29.63%-35M
Other non cash items
-43.08%37M
0.00%27M
139.39%158M
760.00%43M
1,250.00%23M
140.74%65M
-25.00%27M
-43.59%66M
-91.07%5M
-106.25%-2M
Change In working capital
23.71%-280M
60.44%-377M
92.45%-127M
291.69%761M
66.67%440M
-24.41%-367M
24.06%-953M
-646.43%-1.68B
-153.87%-397M
32.66%264M
-Change in receivables
50.84%-146M
90.88%-33M
20.46%-661M
190.80%158M
-322.22%-152M
2.30%-297M
-14.20%-362M
-485.21%-831M
-535.00%-174M
-115.52%-36M
-Change in inventory
43.01%-106M
22.35%-205M
99.81%-3M
539.71%435M
102.05%12M
65.62%-186M
51.29%-264M
-107.39%-1.6B
186.08%68M
-46.37%-584M
-Change in payables and accrued expense
83.33%165M
-29.47%-391M
-72.13%148M
-49.44%45M
-36.57%307M
-73.61%90M
21.15%-302M
-52.29%531M
-78.61%89M
44.48%484M
-Change in other working capital
-842.31%-193M
1,108.00%252M
80.09%389M
132.37%123M
-31.75%273M
-87.56%26M
-92.31%-25M
100.00%216M
-205.56%-380M
1,190.32%400M
Cash from discontinued investing activities
76.60%-11M
0
-400.00%-10M
-487.50%-47M
-153.85%-33M
86.67%-2M
Operating cash flow
40.39%1.07B
157.45%726M
233.33%4.29B
176.13%1.9B
70.80%1.35B
98.95%760M
149.21%282M
-61.35%1.29B
-32.65%687M
-28.35%791M
Investing cash flow
Cash flow from continuing investing activities
751.00%651M
55.33%-331M
-231.90%-1.59B
-168.69%-1.12B
235.55%347M
18.03%-100M
-1,584.09%-741M
-54.81%1.21B
-19.48%1.63B
-271.01%-256M
Net PPE purchase and sale
3.25%-149M
-45.83%-175M
1.89%-623M
15.21%-184M
-13.01%-165M
-28.33%-154M
21.05%-120M
12.65%-635M
28.62%-217M
4.58%-146M
Net business purchase and sale
-16.85%-104M
-58.33%-38M
-73.82%328M
-104.30%-64M
1,252.38%484M
-89.36%-89M
83.45%-24M
-53.88%1.25B
-47.84%1.49B
72.55%-42M
Net investment purchase and sale
550.71%911M
80.30%-119M
-561.84%-1.31B
-1,700.00%-864M
127.27%21M
122.22%140M
-348.56%-604M
-59.80%283M
110.27%54M
-131.05%-77M
Net other investing changes
-333.33%-7M
-85.71%1M
-96.73%10M
-102.30%-7M
-22.22%7M
116.67%3M
-30.00%7M
1,430.43%306M
15,150.00%305M
181.82%9M
Cash from discontinued investing activities
Investing cash flow
751.00%651M
55.33%-331M
-264.63%-1.62B
-174.97%-1.12B
235.16%346M
47.92%-100M
-1,040.00%-741M
-57.48%981M
-14.24%1.49B
-212.20%-256M
Financing cash flow
Cash flow from continuing financing activities
-152.45%-2.84B
79.17%-50M
-21.01%-2.9B
-12.77%-786M
-59.83%-748M
61.54%-1.12B
-114.19%-240M
51.81%-2.39B
69.79%-697M
-172.09%-468M
Net issuance payments of debt
-293.72%-1.57B
-12.46%773M
-113.77%-346M
-0.81%-496M
-391.30%-335M
56.60%-398M
-76.80%883M
1,236.65%2.51B
53.10%-492M
-61.67%115M
Net common stock issuance
-27.10%-272M
155.31%99M
62.49%-1.1B
-691.36%-641M
28.02%-411M
80.55%-214M
84.97%-179M
-2.12%-2.94B
93.40%-81M
-26.89%-571M
Cash dividends paid
-102.86%-850M
28.98%-919M
-0.88%-1.71B
--0
--0
48.21%-419M
-45.56%-1.29B
1.62%-1.7B
--0
--0
Net other financing activities
-58.70%-146M
-100.86%-3M
200.38%266M
383.06%351M
83.33%-2M
2.13%-92M
1,100.00%350M
-90.65%-265M
-300.00%-124M
45.45%-12M
Cash from discontinued financing activities
0
0
0
0
0
0
Financing cash flow
-152.45%-2.84B
79.17%-50M
-21.01%-2.9B
-12.77%-786M
-59.83%-748M
61.54%-1.12B
-114.19%-240M
51.81%-2.39B
69.79%-697M
-172.09%-468M
Net cash flow
Beginning cash position
19.18%4.12B
-6.35%3.91B
-7.02%4.17B
44.61%3.89B
7.53%2.94B
-37.67%3.46B
-7.02%4.17B
15.07%4.49B
-33.47%2.69B
-15.32%2.74B
Current changes in cash
-141.25%-1.12B
149.36%345M
-76.19%-222M
-100.61%-9M
1,316.42%949M
83.04%-463M
-166.38%-699M
-118.83%-126M
226.15%1.48B
-92.12%67M
Effect of exchange rate changes
35.14%-24M
-2,580.00%-134M
77.25%-43M
1,450.00%31M
72.17%-32M
53.75%-37M
-225.00%-5M
-133.33%-189M
133.33%2M
-180.49%-115M
End cash Position
1.26%2.98B
19.18%4.12B
-6.35%3.91B
-6.35%3.91B
44.61%3.89B
7.53%2.94B
-37.67%3.46B
-7.02%4.17B
-7.02%4.17B
-33.47%2.69B
Free cash flow
52.07%882M
316.03%545M
570.48%3.52B
281.54%1.63B
87.86%1.18B
151.08%580M
117.24%131M
-79.08%525M
-35.05%428M
-33.26%626M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 40.39%1.07B157.45%726M222.41%4.3B163.47%1.9B71.63%1.36B97.40%760M150.00%282M-60.04%1.33B-30.30%720M-29.13%793M
Net income from continuing operations 18.75%1.1B-13.87%913M45.92%3.85B-19.01%946M115.48%905M128.57%928M64.85%1.06B-44.25%2.64B-56.79%1.17B-38.86%420M
Operating gains losses 75.81%-15M65.45%-19M-147.15%-304M32.00%-68M-321.43%-118M-198.41%-62M5.17%-55M94.65%-123M95.65%-100M-411.11%-28M
Depreciation and amortization 3.06%202M5.24%201M-4.18%780M0.00%199M-2.02%194M-5.31%196M-9.05%191M-8.85%814M-7.87%199M-10.00%198M
Deferred tax 154.55%28M-124.00%-6M92.73%-25M110.56%17M-125.71%-79M134.38%11M121.55%25M-19.03%-344M56.60%-161M-29.63%-35M
Other non cash items -43.08%37M0.00%27M139.39%158M760.00%43M1,250.00%23M140.74%65M-25.00%27M-43.59%66M-91.07%5M-106.25%-2M
Change In working capital 23.71%-280M60.44%-377M92.45%-127M291.69%761M66.67%440M-24.41%-367M24.06%-953M-646.43%-1.68B-153.87%-397M32.66%264M
-Change in receivables 50.84%-146M90.88%-33M20.46%-661M190.80%158M-322.22%-152M2.30%-297M-14.20%-362M-485.21%-831M-535.00%-174M-115.52%-36M
-Change in inventory 43.01%-106M22.35%-205M99.81%-3M539.71%435M102.05%12M65.62%-186M51.29%-264M-107.39%-1.6B186.08%68M-46.37%-584M
-Change in payables and accrued expense 83.33%165M-29.47%-391M-72.13%148M-49.44%45M-36.57%307M-73.61%90M21.15%-302M-52.29%531M-78.61%89M44.48%484M
-Change in other working capital -842.31%-193M1,108.00%252M80.09%389M132.37%123M-31.75%273M-87.56%26M-92.31%-25M100.00%216M-205.56%-380M1,190.32%400M
Cash from discontinued investing activities 76.60%-11M0-400.00%-10M-487.50%-47M-153.85%-33M86.67%-2M
Operating cash flow 40.39%1.07B157.45%726M233.33%4.29B176.13%1.9B70.80%1.35B98.95%760M149.21%282M-61.35%1.29B-32.65%687M-28.35%791M
Investing cash flow
Cash flow from continuing investing activities 751.00%651M55.33%-331M-231.90%-1.59B-168.69%-1.12B235.55%347M18.03%-100M-1,584.09%-741M-54.81%1.21B-19.48%1.63B-271.01%-256M
Net PPE purchase and sale 3.25%-149M-45.83%-175M1.89%-623M15.21%-184M-13.01%-165M-28.33%-154M21.05%-120M12.65%-635M28.62%-217M4.58%-146M
Net business purchase and sale -16.85%-104M-58.33%-38M-73.82%328M-104.30%-64M1,252.38%484M-89.36%-89M83.45%-24M-53.88%1.25B-47.84%1.49B72.55%-42M
Net investment purchase and sale 550.71%911M80.30%-119M-561.84%-1.31B-1,700.00%-864M127.27%21M122.22%140M-348.56%-604M-59.80%283M110.27%54M-131.05%-77M
Net other investing changes -333.33%-7M-85.71%1M-96.73%10M-102.30%-7M-22.22%7M116.67%3M-30.00%7M1,430.43%306M15,150.00%305M181.82%9M
Cash from discontinued investing activities
Investing cash flow 751.00%651M55.33%-331M-264.63%-1.62B-174.97%-1.12B235.16%346M47.92%-100M-1,040.00%-741M-57.48%981M-14.24%1.49B-212.20%-256M
Financing cash flow
Cash flow from continuing financing activities -152.45%-2.84B79.17%-50M-21.01%-2.9B-12.77%-786M-59.83%-748M61.54%-1.12B-114.19%-240M51.81%-2.39B69.79%-697M-172.09%-468M
Net issuance payments of debt -293.72%-1.57B-12.46%773M-113.77%-346M-0.81%-496M-391.30%-335M56.60%-398M-76.80%883M1,236.65%2.51B53.10%-492M-61.67%115M
Net common stock issuance -27.10%-272M155.31%99M62.49%-1.1B-691.36%-641M28.02%-411M80.55%-214M84.97%-179M-2.12%-2.94B93.40%-81M-26.89%-571M
Cash dividends paid -102.86%-850M28.98%-919M-0.88%-1.71B--0--048.21%-419M-45.56%-1.29B1.62%-1.7B--0--0
Net other financing activities -58.70%-146M-100.86%-3M200.38%266M383.06%351M83.33%-2M2.13%-92M1,100.00%350M-90.65%-265M-300.00%-124M45.45%-12M
Cash from discontinued financing activities 000000
Financing cash flow -152.45%-2.84B79.17%-50M-21.01%-2.9B-12.77%-786M-59.83%-748M61.54%-1.12B-114.19%-240M51.81%-2.39B69.79%-697M-172.09%-468M
Net cash flow
Beginning cash position 19.18%4.12B-6.35%3.91B-7.02%4.17B44.61%3.89B7.53%2.94B-37.67%3.46B-7.02%4.17B15.07%4.49B-33.47%2.69B-15.32%2.74B
Current changes in cash -141.25%-1.12B149.36%345M-76.19%-222M-100.61%-9M1,316.42%949M83.04%-463M-166.38%-699M-118.83%-126M226.15%1.48B-92.12%67M
Effect of exchange rate changes 35.14%-24M-2,580.00%-134M77.25%-43M1,450.00%31M72.17%-32M53.75%-37M-225.00%-5M-133.33%-189M133.33%2M-180.49%-115M
End cash Position 1.26%2.98B19.18%4.12B-6.35%3.91B-6.35%3.91B44.61%3.89B7.53%2.94B-37.67%3.46B-7.02%4.17B-7.02%4.17B-33.47%2.69B
Free cash flow 52.07%882M316.03%545M570.48%3.52B281.54%1.63B87.86%1.18B151.08%580M117.24%131M-79.08%525M-35.05%428M-33.26%626M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

Analysis

Analyst Rating

No Data

Price Target

No Data

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