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ATLKY ATLAS COPCO AB ADR-CNV INTO 1 SER'A'NPV

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  • 17.300
  • +0.150+0.87%
15min DelayClose Jul 22 16:00 ET
84.33BMarket Cap30.78P/E (TTM)

ATLAS COPCO AB ADR-CNV INTO 1 SER'A'NPV 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
Net income from continuing operations
3.01%9.47B
7.43%9.35B
22.75%37.09B
16.34%9.09B
20.76%10.12B
26.24%9.19B
28.89%8.7B
28.26%30.22B
25.00%7.81B
39.63%8.38B
Change In working capital
101.71%54M
39.69%-1.33B
22.12%-5.78B
140.73%558M
-44.81%-963M
-37.24%-3.16B
28.16%-2.21B
-2,938.93%-7.42B
-361.45%-1.37B
-963.64%-665M
-Change in receivables
----
----
33.51%-4.42B
----
----
----
----
-138.51%-6.65B
----
----
-Change in inventory
----
----
53.58%-2.95B
----
----
----
----
-87.96%-6.36B
----
----
-Change in other current liabilities
----
----
-71.48%1.59B
----
----
----
----
-5.71%5.59B
----
----
Cash from discontinued investing activities
Operating cash flow
122.80%8.49B
24.81%7.57B
31.37%28.08B
52.63%10.31B
11.32%7.9B
-5.90%3.81B
74.45%6.06B
-7.67%21.38B
-15.95%6.76B
29.70%7.1B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale
4.18%-895M
12.72%-858M
-9.13%-3.89B
-1.42%-1B
1.02%-967M
-22.89%-934M
-17.58%-983M
-89.72%-3.56B
-57.32%-988M
-90.45%-977M
Net intangibles purchase and sale
-11.05%-402M
4.56%-356M
-6.78%-1.46B
-4.90%-364M
-11.28%-365M
-3.13%-362M
-8.12%-373M
1.30%-1.37B
2.53%-347M
3.24%-328M
Net business purchase and sale
57.98%-1.11B
-289.36%-2.2B
59.27%-4.31B
11.62%-791M
96.30%-315M
-176.28%-2.64B
-149.56%-564M
-352.41%-10.59B
-2,696.88%-895M
-435.07%-8.51B
Net investment purchase and sale
233.33%8M
133.33%7M
1,280.00%276M
29,500.00%294M
-275.00%-15M
-120.69%-6M
175.00%3M
103.89%20M
-150.00%-1M
-114.81%-4M
Cash from discontinued investing activities
Investing cash flow
39.18%-2.4B
-77.52%-3.4B
39.44%-9.39B
16.49%-1.86B
83.08%-1.66B
-93.53%-3.95B
-35.86%-1.92B
-153.28%-15.5B
-120.02%-2.23B
-306.54%-9.82B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
-121.47%-956M
101.39%75M
-183.78%-5.23B
-157.66%-1.62B
-247.74%-2.68B
366.43%4.45B
-263.61%-5.38B
12,335.29%6.24B
194.03%2.81B
597.53%1.82B
Net common stock issuance
-45.05%383M
41,100.00%410M
102.59%265M
-294.56%-465M
-33.33%34M
106.80%697M
99.60%-1M
-1,087.91%-10.22B
178.88%239M
-90.91%51M
Cash dividends paid
-21.84%-6.82B
----
-21.11%-11.2B
-21.22%-5.6B
----
-21.01%-5.6B
----
-4.06%-9.25B
-3.96%-4.62B
----
Net other financing activities
----
----
-1,187.50%-309M
----
----
----
----
98.10%-24M
----
----
Cash from discontinued financing activities
Financing cash flow
-1,528.85%-7.4B
109.02%485M
-24.74%-18.28B
-226.12%-9.79B
-242.10%-2.65B
97.26%-454M
-277.12%-5.38B
-41.93%-14.65B
44.29%-3B
998.24%1.87B
Net cash flow
Beginning cash position
62.05%16.01B
-3.26%10.89B
-40.74%11.25B
30.59%12.91B
-8.73%9.51B
-59.14%9.88B
-40.74%11.25B
62.93%18.99B
-42.22%9.88B
-24.06%10.42B
Current changes in cash
-121.39%-1.3B
476.66%4.65B
104.79%420M
-188.05%-1.34B
517.23%3.58B
95.95%-589M
-124.19%-1.23B
-230.84%-8.78B
-6.85%1.52B
-126.64%-859M
Effect of exchange rate changes
-199.54%-215M
447.10%479M
-175.60%-787M
-346.05%-678M
-157.89%-187M
-72.24%216M
-250.00%-138M
66.03%1.04B
-161.04%-152M
100.62%323M
End cash Position
52.43%14.5B
62.05%16.01B
-3.26%10.89B
-3.26%10.89B
30.59%12.91B
-8.73%9.51B
-59.14%9.88B
-40.74%11.25B
-40.74%11.25B
-42.22%9.88B
Free cash flow
187.77%7.17B
35.05%6.33B
38.46%22.63B
65.18%8.9B
13.82%6.55B
-14.74%2.49B
105.79%4.69B
-17.42%16.35B
-23.11%5.39B
24.82%5.75B
Currency Unit
SEK
SEK
SEK
SEK
SEK
SEK
SEK
SEK
SEK
SEK
(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
Net income from continuing operations 3.01%9.47B7.43%9.35B22.75%37.09B16.34%9.09B20.76%10.12B26.24%9.19B28.89%8.7B28.26%30.22B25.00%7.81B39.63%8.38B
Change In working capital 101.71%54M39.69%-1.33B22.12%-5.78B140.73%558M-44.81%-963M-37.24%-3.16B28.16%-2.21B-2,938.93%-7.42B-361.45%-1.37B-963.64%-665M
-Change in receivables --------33.51%-4.42B-----------------138.51%-6.65B--------
-Change in inventory --------53.58%-2.95B-----------------87.96%-6.36B--------
-Change in other current liabilities ---------71.48%1.59B-----------------5.71%5.59B--------
Cash from discontinued investing activities
Operating cash flow 122.80%8.49B24.81%7.57B31.37%28.08B52.63%10.31B11.32%7.9B-5.90%3.81B74.45%6.06B-7.67%21.38B-15.95%6.76B29.70%7.1B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale 4.18%-895M12.72%-858M-9.13%-3.89B-1.42%-1B1.02%-967M-22.89%-934M-17.58%-983M-89.72%-3.56B-57.32%-988M-90.45%-977M
Net intangibles purchase and sale -11.05%-402M4.56%-356M-6.78%-1.46B-4.90%-364M-11.28%-365M-3.13%-362M-8.12%-373M1.30%-1.37B2.53%-347M3.24%-328M
Net business purchase and sale 57.98%-1.11B-289.36%-2.2B59.27%-4.31B11.62%-791M96.30%-315M-176.28%-2.64B-149.56%-564M-352.41%-10.59B-2,696.88%-895M-435.07%-8.51B
Net investment purchase and sale 233.33%8M133.33%7M1,280.00%276M29,500.00%294M-275.00%-15M-120.69%-6M175.00%3M103.89%20M-150.00%-1M-114.81%-4M
Cash from discontinued investing activities
Investing cash flow 39.18%-2.4B-77.52%-3.4B39.44%-9.39B16.49%-1.86B83.08%-1.66B-93.53%-3.95B-35.86%-1.92B-153.28%-15.5B-120.02%-2.23B-306.54%-9.82B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt -121.47%-956M101.39%75M-183.78%-5.23B-157.66%-1.62B-247.74%-2.68B366.43%4.45B-263.61%-5.38B12,335.29%6.24B194.03%2.81B597.53%1.82B
Net common stock issuance -45.05%383M41,100.00%410M102.59%265M-294.56%-465M-33.33%34M106.80%697M99.60%-1M-1,087.91%-10.22B178.88%239M-90.91%51M
Cash dividends paid -21.84%-6.82B-----21.11%-11.2B-21.22%-5.6B-----21.01%-5.6B-----4.06%-9.25B-3.96%-4.62B----
Net other financing activities ---------1,187.50%-309M----------------98.10%-24M--------
Cash from discontinued financing activities
Financing cash flow -1,528.85%-7.4B109.02%485M-24.74%-18.28B-226.12%-9.79B-242.10%-2.65B97.26%-454M-277.12%-5.38B-41.93%-14.65B44.29%-3B998.24%1.87B
Net cash flow
Beginning cash position 62.05%16.01B-3.26%10.89B-40.74%11.25B30.59%12.91B-8.73%9.51B-59.14%9.88B-40.74%11.25B62.93%18.99B-42.22%9.88B-24.06%10.42B
Current changes in cash -121.39%-1.3B476.66%4.65B104.79%420M-188.05%-1.34B517.23%3.58B95.95%-589M-124.19%-1.23B-230.84%-8.78B-6.85%1.52B-126.64%-859M
Effect of exchange rate changes -199.54%-215M447.10%479M-175.60%-787M-346.05%-678M-157.89%-187M-72.24%216M-250.00%-138M66.03%1.04B-161.04%-152M100.62%323M
End cash Position 52.43%14.5B62.05%16.01B-3.26%10.89B-3.26%10.89B30.59%12.91B-8.73%9.51B-59.14%9.88B-40.74%11.25B-40.74%11.25B-42.22%9.88B
Free cash flow 187.77%7.17B35.05%6.33B38.46%22.63B65.18%8.9B13.82%6.55B-14.74%2.49B105.79%4.69B-17.42%16.35B-23.11%5.39B24.82%5.75B
Currency Unit SEKSEKSEKSEKSEKSEKSEKSEKSEKSEK

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