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BA Boeing

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  • 169.950
  • -8.360-4.69%
Close Aug 2 16:00 ET
  • 169.940
  • -0.010-0.01%
Post 20:01 ET
104.72BMarket Cap-30132P/E (TTM)

Boeing 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
-236.45%-3.92B
-957.23%-3.36B
69.70%5.96B
-2.20%3.38B
-99.31%22M
3,449.38%2.88B
90.11%-318M
202.81%3.51B
382.82%3.46B
1,317.56%3.19B
Net income from continuing operations
-865.77%-1.44B
16.47%-355M
55.63%-2.24B
95.48%-30M
50.48%-1.64B
-193.13%-149M
65.78%-425M
-17.79%-5.05B
84.08%-663M
-2,406.06%-3.31B
Operating gains losses
----
----
66.67%-2M
75.00%-1M
--0
----
----
-100.19%-6M
-100.12%-4M
--0
Depreciation and amortization
-3.29%441M
-3.28%442M
-5.96%1.86B
-4.18%481M
-5.27%467M
-8.43%456M
-5.97%457M
-7.70%1.98B
-5.99%502M
-5.74%493M
Other non cash items
-0.98%303M
5.12%616M
-6.06%1.52B
29.89%339M
-34.92%287M
-15.47%306M
6.16%586M
1.44%1.62B
-64.10%261M
83.75%441M
Change In working capital
-258.11%-3.33B
-259.71%-4.21B
-1.21%4.09B
-22.81%2.42B
-86.27%739M
293.47%2.1B
64.42%-1.17B
159.32%4.14B
10,893.10%3.13B
671.34%5.38B
-Change in receivables
-120.00%-112M
-24.02%-1.61B
163.45%764M
49.02%1.36B
-68.43%137M
158.52%560M
-1,182.18%-1.3B
126.63%290M
-11.35%914M
191.75%434M
-Change in inventory
-1,548.99%-2.16B
-868.72%-3.78B
-500.24%-1.68B
-146.78%-741M
-828.13%-699M
361.40%149M
67.58%-390M
137.27%420M
196.88%1.58B
1.05%96M
-Change in payables and accrued expense
-73.26%265M
-72.86%-930M
-35.40%2.45B
159.26%2.04B
-101.31%-45M
89.48%991M
44.13%-538M
150.79%3.79B
206.92%788M
265.28%3.45B
-Change in other current assets
-130.74%-71M
-403.66%-249M
165.82%389M
-218.22%-318M
139.24%394M
5,675.00%231M
-41.43%82M
-271.30%-591M
307.58%269M
-2,131.11%-1B
-Change in other current liabilities
-3.17%-65M
29.06%-83M
-98.10%-313M
-34.09%-59M
-48.00%-74M
60.63%-63M
-221.88%-117M
23.30%-158M
-15.79%-44M
-21.95%-50M
-Change in other working capital
-603.40%-1.18B
124.15%2.44B
545.57%2.48B
133.86%129M
-58.29%1.03B
153.41%235M
186.77%1.09B
-85.06%384M
-129.67%-381M
53.08%2.46B
Cash from discontinued investing activities
Operating cash flow
-236.45%-3.92B
-957.23%-3.36B
69.70%5.96B
-2.20%3.38B
-99.31%22M
3,449.38%2.88B
90.11%-318M
202.81%3.51B
382.82%3.46B
1,317.56%3.19B
Investing cash flow
Cash flow from continuing investing activities
30.35%-2.1B
213.77%2.07B
-155.77%-2.44B
230.36%2.8B
-238.97%-403M
-192.31%-3.02B
-161.48%-1.82B
-53.13%4.37B
-211.16%-2.15B
-90.22%290M
Net PPE purchase and sale
-33.68%-385M
-20.09%-556M
-26.37%-1.5B
-36.45%-423M
-16.01%-326M
-12.94%-288M
-35.78%-463M
-163.19%-1.19B
-297.44%-310M
-415.73%-281M
Net business purchase and sale
----
----
---70M
---51M
----
----
----
----
----
----
Net investment purchase and sale
56.90%-1.11B
296.17%2.66B
-112.73%-709M
278.11%3.28B
-110.10%-59M
-173.04%-2.57B
-141.09%-1.36B
-43.04%5.57B
-191.41%-1.84B
-79.73%584M
Net other investing changes
-200.64%-469M
-1,600.00%-34M
-1,336.36%-158M
---1M
107.69%1M
-15,700.00%-156M
-300.00%-2M
-320.00%-11M
--0
-750.00%-13M
Cash from discontinued investing activities
Investing cash flow
30.35%-2.1B
213.77%2.07B
-155.77%-2.44B
230.36%2.8B
-238.97%-403M
-192.31%-3.02B
-161.48%-1.82B
-53.13%4.37B
-211.16%-2.15B
-90.22%290M
Financing cash flow
Cash flow from continuing financing activities
393.00%10B
-165.60%-4.46B
-333.41%-5.49B
-42.40%-356M
-111.11%-38M
-466.94%-3.41B
-324.24%-1.68B
77.39%-1.27B
94.27%-250M
98.46%-18M
Net issuance payments of debt
394.53%10.02B
-162.49%-4.42B
-302.90%-5.14B
94.16%-15M
-95.24%-41M
-463.41%-3.4B
-326.90%-1.68B
77.12%-1.28B
94.09%-257M
98.21%-21M
Proceeds from stock option exercised by employees
----
----
-10.00%45M
--0
-80.00%1M
--0
46.67%44M
19.05%50M
83.33%11M
-28.57%5M
Net other financing activities
-130.00%-23M
-11.90%-47M
-877.50%-391M
-8,425.00%-341M
200.00%2M
-400.00%-10M
-31.25%-42M
39.39%-40M
78.95%-4M
71.43%-2M
Cash from discontinued financing activities
Financing cash flow
393.00%10B
-165.60%-4.46B
-333.41%-5.49B
-42.40%-356M
-111.11%-38M
-466.94%-3.41B
-324.24%-1.68B
77.39%-1.27B
94.27%-250M
98.46%-18M
Net cash flow
Beginning cash position
-36.05%6.91B
-13.20%12.71B
80.74%14.65B
-49.53%6.81B
-28.11%7.25B
45.93%10.81B
80.74%14.65B
3.43%8.1B
37.41%13.49B
21.99%10.09B
Current changes in cash
211.93%3.98B
-50.48%-5.75B
-129.69%-1.96B
451.99%5.83B
-112.10%-419M
-229.44%-3.55B
-490.57%-3.82B
2,048.05%6.62B
161.72%1.06B
125.83%3.46B
Effect of exchange rate changes
137.50%3M
-380.00%-28M
141.10%30M
-14.75%52M
61.90%-24M
88.24%-8M
433.33%10M
-87.18%-73M
1,320.00%61M
-215.00%-63M
End cash Position
50.18%10.89B
-36.05%6.91B
-13.16%12.69B
-13.16%12.69B
-49.53%6.81B
-28.11%7.25B
45.93%10.81B
81.50%14.61B
81.50%14.61B
37.41%13.49B
Free cash flow
-271.19%-4.42B
-399.87%-3.93B
93.58%4.43B
-5.78%2.95B
-110.67%-310M
1,517.03%2.58B
77.95%-786M
152.09%2.29B
533.81%3.13B
673.18%2.91B
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
(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 -236.45%-3.92B-957.23%-3.36B69.70%5.96B-2.20%3.38B-99.31%22M3,449.38%2.88B90.11%-318M202.81%3.51B382.82%3.46B1,317.56%3.19B
Net income from continuing operations -865.77%-1.44B16.47%-355M55.63%-2.24B95.48%-30M50.48%-1.64B-193.13%-149M65.78%-425M-17.79%-5.05B84.08%-663M-2,406.06%-3.31B
Operating gains losses --------66.67%-2M75.00%-1M--0---------100.19%-6M-100.12%-4M--0
Depreciation and amortization -3.29%441M-3.28%442M-5.96%1.86B-4.18%481M-5.27%467M-8.43%456M-5.97%457M-7.70%1.98B-5.99%502M-5.74%493M
Other non cash items -0.98%303M5.12%616M-6.06%1.52B29.89%339M-34.92%287M-15.47%306M6.16%586M1.44%1.62B-64.10%261M83.75%441M
Change In working capital -258.11%-3.33B-259.71%-4.21B-1.21%4.09B-22.81%2.42B-86.27%739M293.47%2.1B64.42%-1.17B159.32%4.14B10,893.10%3.13B671.34%5.38B
-Change in receivables -120.00%-112M-24.02%-1.61B163.45%764M49.02%1.36B-68.43%137M158.52%560M-1,182.18%-1.3B126.63%290M-11.35%914M191.75%434M
-Change in inventory -1,548.99%-2.16B-868.72%-3.78B-500.24%-1.68B-146.78%-741M-828.13%-699M361.40%149M67.58%-390M137.27%420M196.88%1.58B1.05%96M
-Change in payables and accrued expense -73.26%265M-72.86%-930M-35.40%2.45B159.26%2.04B-101.31%-45M89.48%991M44.13%-538M150.79%3.79B206.92%788M265.28%3.45B
-Change in other current assets -130.74%-71M-403.66%-249M165.82%389M-218.22%-318M139.24%394M5,675.00%231M-41.43%82M-271.30%-591M307.58%269M-2,131.11%-1B
-Change in other current liabilities -3.17%-65M29.06%-83M-98.10%-313M-34.09%-59M-48.00%-74M60.63%-63M-221.88%-117M23.30%-158M-15.79%-44M-21.95%-50M
-Change in other working capital -603.40%-1.18B124.15%2.44B545.57%2.48B133.86%129M-58.29%1.03B153.41%235M186.77%1.09B-85.06%384M-129.67%-381M53.08%2.46B
Cash from discontinued investing activities
Operating cash flow -236.45%-3.92B-957.23%-3.36B69.70%5.96B-2.20%3.38B-99.31%22M3,449.38%2.88B90.11%-318M202.81%3.51B382.82%3.46B1,317.56%3.19B
Investing cash flow
Cash flow from continuing investing activities 30.35%-2.1B213.77%2.07B-155.77%-2.44B230.36%2.8B-238.97%-403M-192.31%-3.02B-161.48%-1.82B-53.13%4.37B-211.16%-2.15B-90.22%290M
Net PPE purchase and sale -33.68%-385M-20.09%-556M-26.37%-1.5B-36.45%-423M-16.01%-326M-12.94%-288M-35.78%-463M-163.19%-1.19B-297.44%-310M-415.73%-281M
Net business purchase and sale -----------70M---51M------------------------
Net investment purchase and sale 56.90%-1.11B296.17%2.66B-112.73%-709M278.11%3.28B-110.10%-59M-173.04%-2.57B-141.09%-1.36B-43.04%5.57B-191.41%-1.84B-79.73%584M
Net other investing changes -200.64%-469M-1,600.00%-34M-1,336.36%-158M---1M107.69%1M-15,700.00%-156M-300.00%-2M-320.00%-11M--0-750.00%-13M
Cash from discontinued investing activities
Investing cash flow 30.35%-2.1B213.77%2.07B-155.77%-2.44B230.36%2.8B-238.97%-403M-192.31%-3.02B-161.48%-1.82B-53.13%4.37B-211.16%-2.15B-90.22%290M
Financing cash flow
Cash flow from continuing financing activities 393.00%10B-165.60%-4.46B-333.41%-5.49B-42.40%-356M-111.11%-38M-466.94%-3.41B-324.24%-1.68B77.39%-1.27B94.27%-250M98.46%-18M
Net issuance payments of debt 394.53%10.02B-162.49%-4.42B-302.90%-5.14B94.16%-15M-95.24%-41M-463.41%-3.4B-326.90%-1.68B77.12%-1.28B94.09%-257M98.21%-21M
Proceeds from stock option exercised by employees ---------10.00%45M--0-80.00%1M--046.67%44M19.05%50M83.33%11M-28.57%5M
Net other financing activities -130.00%-23M-11.90%-47M-877.50%-391M-8,425.00%-341M200.00%2M-400.00%-10M-31.25%-42M39.39%-40M78.95%-4M71.43%-2M
Cash from discontinued financing activities
Financing cash flow 393.00%10B-165.60%-4.46B-333.41%-5.49B-42.40%-356M-111.11%-38M-466.94%-3.41B-324.24%-1.68B77.39%-1.27B94.27%-250M98.46%-18M
Net cash flow
Beginning cash position -36.05%6.91B-13.20%12.71B80.74%14.65B-49.53%6.81B-28.11%7.25B45.93%10.81B80.74%14.65B3.43%8.1B37.41%13.49B21.99%10.09B
Current changes in cash 211.93%3.98B-50.48%-5.75B-129.69%-1.96B451.99%5.83B-112.10%-419M-229.44%-3.55B-490.57%-3.82B2,048.05%6.62B161.72%1.06B125.83%3.46B
Effect of exchange rate changes 137.50%3M-380.00%-28M141.10%30M-14.75%52M61.90%-24M88.24%-8M433.33%10M-87.18%-73M1,320.00%61M-215.00%-63M
End cash Position 50.18%10.89B-36.05%6.91B-13.16%12.69B-13.16%12.69B-49.53%6.81B-28.11%7.25B45.93%10.81B81.50%14.61B81.50%14.61B37.41%13.49B
Free cash flow -271.19%-4.42B-399.87%-3.93B93.58%4.43B-5.78%2.95B-110.67%-310M1,517.03%2.58B77.95%-786M152.09%2.29B533.81%3.13B673.18%2.91B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

Analysis

Analyst Rating

No Data

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