US Stock MarketDetailed Quotes

ADM Archer Daniels Midland

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  • 46.100
  • +0.390+0.85%
Close Feb 14 16:00 ET
  • 46.100
  • 0.0000.00%
Post 20:01 ET
22.06BMarket Cap12.63P/E (TTM)

Archer Daniels Midland Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-37.67%2.78B
-87.86%312M
31.05%1.3B
-81.35%468M
143.48%700M
28.23%4.46B
1,876.15%2.57B
-75.34%992M
372.50%2.51B
-33.50%-1.61B
Net income from continuing operations
-48.67%1.78B
3.51%561M
-97.82%18M
-48.17%481M
-38.65%719M
-20.60%3.47B
-47.07%542M
-20.54%824M
-25.16%928M
10.15%1.17B
Operating gains losses
86.67%-12M
1,125.00%245M
-118.88%-27M
-56.00%-39M
16.23%-191M
86.28%-90M
103.67%20M
226.55%143M
71.59%-25M
-353.33%-228M
Depreciation and amortization
7.74%1.14B
3.61%287M
10.34%288M
9.16%286M
8.11%280M
3.02%1.06B
9.06%277M
0.38%261M
1.95%262M
0.78%259M
Deferred tax
----
----
-266.67%-15M
28.21%-28M
-236.17%-64M
74.16%-23M
20.00%-40M
137.50%9M
75.47%-39M
-67.36%47M
Other non cash items
-20.75%-128M
-115.19%-170M
-1,144.44%-112M
950.00%85M
962.50%69M
-159.55%-106M
78.71%-79M
-103.80%-9M
-103.12%-10M
11.11%-8M
Change In working capital
-94.38%-519M
-139.25%-646M
302.17%651M
-125.73%-342M
93.77%-182M
82.57%-267M
838.12%1.65B
-112.46%-322M
224.09%1.33B
-3.47%-2.92B
-Change in receivables
----
----
262.78%656M
-167.32%-241M
-87.50%61M
143.82%737M
526.09%294M
-174.35%-403M
129.39%358M
152.08%488M
-Change in inventory
----
----
-135.96%-210M
-59.93%1.15B
467.31%295M
1,079.32%2.89B
30.85%-612M
-37.81%584M
13.15%2.87B
101.80%52M
-Change in payables and accrued expense
----
----
132.81%84M
4.67%-1.61B
81.00%-542M
-296.47%-4.39B
188.65%407M
-285.51%-256M
-1.74%-1.69B
-178.83%-2.85B
-Change in other current assets
----
----
125.66%117M
83.07%465M
-50.30%163M
348.75%694M
-12.62%568M
-168.67%-456M
-53.65%254M
115.32%328M
-Change in other working capital
-167.53%-519M
-126.49%-262M
-98.09%4M
77.68%-102M
82.99%-159M
87.17%-194M
1,748.33%989M
-30.56%209M
64.04%-457M
-93.98%-935M
Cash from discontinued investing activities
Operating cash flow
-37.67%2.78B
-87.86%312M
31.05%1.3B
-81.35%468M
143.48%700M
28.23%4.46B
1,876.15%2.57B
-75.34%992M
372.50%2.51B
-33.50%-1.61B
Investing cash flow
Cash flow from continuing investing activities
-81.82%-2.72B
-65.06%-718M
13.33%-390M
-34.98%-382M
-275.00%-1.23B
-6.86%-1.5B
3.76%-435M
-49.50%-450M
7.21%-283M
4.09%-328M
Capital expenditure reported
----
----
13.61%-381M
-26.13%-362M
-0.31%-328M
-13.27%-1.49B
8.16%-439M
-29.33%-441M
-1.41%-287M
-50.69%-327M
Net PPE purchase and sale
---1.56B
----
----
----
----
----
----
----
----
----
Net business purchase and sale
-2,185.37%-937M
295.45%43M
-7,376.92%-972M
45,650.00%911M
-22,875.00%-919M
58.59%-41M
43.59%-22M
-550.00%-13M
90.91%-2M
88.89%-4M
Net investment purchase and sale
---223M
-4,560.00%-223M
--0
----
----
--0
123.81%5M
--0
----
----
Net other investing changes
-92.31%3M
-319.05%-46M
24,025.00%965M
-8,581.82%-933M
466.67%17M
-77.46%39M
-75.58%21M
-90.70%4M
-64.52%11M
-76.92%3M
Cash from discontinued investing activities
Investing cash flow
-81.82%-2.72B
-65.06%-718M
13.33%-390M
-34.98%-382M
-275.00%-1.23B
-6.86%-1.5B
3.76%-435M
-49.50%-450M
7.21%-283M
4.09%-328M
Financing cash flow
Cash flow from continuing financing activities
67.38%-1.5B
97.95%-37M
-20.18%-804M
75.85%-659M
-100.33%-2M
-84.23%-4.6B
-1,236.30%-1.8B
82.65%-669M
-49.37%-2.73B
-81.98%598M
Net issuance payments of debt
314.32%1.83B
2,090.00%199M
-88.03%-581M
132.06%589M
24.16%1.62B
-439.24%-852M
-103.10%-10M
88.32%-309M
-30.38%-1.84B
-63.51%1.3B
Net common stock issuance
12.94%-2.33B
--0
--0
-53.85%-1B
-278.06%-1.33B
-84.34%-2.67B
-522.00%-1.56B
88.30%-117M
-225.00%-650M
---351M
Cash dividends paid
-0.82%-985M
-0.84%-241M
1.23%-241M
0.00%-246M
-3.63%-257M
-8.68%-977M
-7.66%-239M
-8.93%-244M
-8.37%-246M
-9.73%-248M
Net other financing activities
84.31%-16M
--5M
1,700.00%18M
-150.00%-2M
65.42%-37M
-1,375.00%-102M
--0
-93.33%1M
-55.56%4M
-256.67%-107M
Cash from discontinued financing activities
Financing cash flow
67.38%-1.5B
97.95%-37M
-20.18%-804M
75.85%-659M
-100.33%-2M
-84.23%-4.6B
-1,236.30%-1.8B
82.65%-669M
-49.37%-2.73B
-81.98%598M
Net cash flow
Beginning cash position
-23.36%5.39B
-12.78%4.4B
-17.66%4.27B
-14.81%4.85B
-23.36%5.39B
-5.65%7.03B
-32.70%5.04B
-31.96%5.19B
-38.35%5.69B
-5.65%7.03B
Current changes in cash
12.07%-1.44B
-234.24%-443M
183.46%106M
-13.92%-573M
60.30%-532M
-289.55%-1.64B
172.21%330M
4.51%-127M
68.58%-503M
-175.71%-1.34B
Effect of exchange rate changes
-700.00%-24M
-257.89%-30M
205.26%20M
-133.33%-1M
-116.67%-13M
---3M
--19M
---19M
--3M
---6M
End cash Position
-27.20%3.92B
-27.20%3.92B
-12.78%4.4B
-17.66%4.27B
-14.81%4.85B
-23.36%5.39B
-23.36%5.39B
-32.70%5.04B
-31.96%5.19B
-38.35%5.69B
Free cash flow
-58.97%1.22B
-108.45%-180M
66.79%919M
-95.23%106M
119.20%372M
37.38%2.97B
712.07%2.13B
-85.04%551M
795.97%2.22B
-36.12%-1.94B
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
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -37.67%2.78B-87.86%312M31.05%1.3B-81.35%468M143.48%700M28.23%4.46B1,876.15%2.57B-75.34%992M372.50%2.51B-33.50%-1.61B
Net income from continuing operations -48.67%1.78B3.51%561M-97.82%18M-48.17%481M-38.65%719M-20.60%3.47B-47.07%542M-20.54%824M-25.16%928M10.15%1.17B
Operating gains losses 86.67%-12M1,125.00%245M-118.88%-27M-56.00%-39M16.23%-191M86.28%-90M103.67%20M226.55%143M71.59%-25M-353.33%-228M
Depreciation and amortization 7.74%1.14B3.61%287M10.34%288M9.16%286M8.11%280M3.02%1.06B9.06%277M0.38%261M1.95%262M0.78%259M
Deferred tax ---------266.67%-15M28.21%-28M-236.17%-64M74.16%-23M20.00%-40M137.50%9M75.47%-39M-67.36%47M
Other non cash items -20.75%-128M-115.19%-170M-1,144.44%-112M950.00%85M962.50%69M-159.55%-106M78.71%-79M-103.80%-9M-103.12%-10M11.11%-8M
Change In working capital -94.38%-519M-139.25%-646M302.17%651M-125.73%-342M93.77%-182M82.57%-267M838.12%1.65B-112.46%-322M224.09%1.33B-3.47%-2.92B
-Change in receivables --------262.78%656M-167.32%-241M-87.50%61M143.82%737M526.09%294M-174.35%-403M129.39%358M152.08%488M
-Change in inventory ---------135.96%-210M-59.93%1.15B467.31%295M1,079.32%2.89B30.85%-612M-37.81%584M13.15%2.87B101.80%52M
-Change in payables and accrued expense --------132.81%84M4.67%-1.61B81.00%-542M-296.47%-4.39B188.65%407M-285.51%-256M-1.74%-1.69B-178.83%-2.85B
-Change in other current assets --------125.66%117M83.07%465M-50.30%163M348.75%694M-12.62%568M-168.67%-456M-53.65%254M115.32%328M
-Change in other working capital -167.53%-519M-126.49%-262M-98.09%4M77.68%-102M82.99%-159M87.17%-194M1,748.33%989M-30.56%209M64.04%-457M-93.98%-935M
Cash from discontinued investing activities
Operating cash flow -37.67%2.78B-87.86%312M31.05%1.3B-81.35%468M143.48%700M28.23%4.46B1,876.15%2.57B-75.34%992M372.50%2.51B-33.50%-1.61B
Investing cash flow
Cash flow from continuing investing activities -81.82%-2.72B-65.06%-718M13.33%-390M-34.98%-382M-275.00%-1.23B-6.86%-1.5B3.76%-435M-49.50%-450M7.21%-283M4.09%-328M
Capital expenditure reported --------13.61%-381M-26.13%-362M-0.31%-328M-13.27%-1.49B8.16%-439M-29.33%-441M-1.41%-287M-50.69%-327M
Net PPE purchase and sale ---1.56B------------------------------------
Net business purchase and sale -2,185.37%-937M295.45%43M-7,376.92%-972M45,650.00%911M-22,875.00%-919M58.59%-41M43.59%-22M-550.00%-13M90.91%-2M88.89%-4M
Net investment purchase and sale ---223M-4,560.00%-223M--0----------0123.81%5M--0--------
Net other investing changes -92.31%3M-319.05%-46M24,025.00%965M-8,581.82%-933M466.67%17M-77.46%39M-75.58%21M-90.70%4M-64.52%11M-76.92%3M
Cash from discontinued investing activities
Investing cash flow -81.82%-2.72B-65.06%-718M13.33%-390M-34.98%-382M-275.00%-1.23B-6.86%-1.5B3.76%-435M-49.50%-450M7.21%-283M4.09%-328M
Financing cash flow
Cash flow from continuing financing activities 67.38%-1.5B97.95%-37M-20.18%-804M75.85%-659M-100.33%-2M-84.23%-4.6B-1,236.30%-1.8B82.65%-669M-49.37%-2.73B-81.98%598M
Net issuance payments of debt 314.32%1.83B2,090.00%199M-88.03%-581M132.06%589M24.16%1.62B-439.24%-852M-103.10%-10M88.32%-309M-30.38%-1.84B-63.51%1.3B
Net common stock issuance 12.94%-2.33B--0--0-53.85%-1B-278.06%-1.33B-84.34%-2.67B-522.00%-1.56B88.30%-117M-225.00%-650M---351M
Cash dividends paid -0.82%-985M-0.84%-241M1.23%-241M0.00%-246M-3.63%-257M-8.68%-977M-7.66%-239M-8.93%-244M-8.37%-246M-9.73%-248M
Net other financing activities 84.31%-16M--5M1,700.00%18M-150.00%-2M65.42%-37M-1,375.00%-102M--0-93.33%1M-55.56%4M-256.67%-107M
Cash from discontinued financing activities
Financing cash flow 67.38%-1.5B97.95%-37M-20.18%-804M75.85%-659M-100.33%-2M-84.23%-4.6B-1,236.30%-1.8B82.65%-669M-49.37%-2.73B-81.98%598M
Net cash flow
Beginning cash position -23.36%5.39B-12.78%4.4B-17.66%4.27B-14.81%4.85B-23.36%5.39B-5.65%7.03B-32.70%5.04B-31.96%5.19B-38.35%5.69B-5.65%7.03B
Current changes in cash 12.07%-1.44B-234.24%-443M183.46%106M-13.92%-573M60.30%-532M-289.55%-1.64B172.21%330M4.51%-127M68.58%-503M-175.71%-1.34B
Effect of exchange rate changes -700.00%-24M-257.89%-30M205.26%20M-133.33%-1M-116.67%-13M---3M--19M---19M--3M---6M
End cash Position -27.20%3.92B-27.20%3.92B-12.78%4.4B-17.66%4.27B-14.81%4.85B-23.36%5.39B-23.36%5.39B-32.70%5.04B-31.96%5.19B-38.35%5.69B
Free cash flow -58.97%1.22B-108.45%-180M66.79%919M-95.23%106M119.20%372M37.38%2.97B712.07%2.13B-85.04%551M795.97%2.22B-36.12%-1.94B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----------Unqualified Opinion--------
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