US Stock MarketDetailed Quotes

BG Bunge

Watchlist
  • 89.740
  • +0.830+0.93%
Close Nov 29 13:00 ET
  • 90.400
  • +0.660+0.74%
Pre 04:10 ET
12.53BMarket Cap11.37P/E (TTM)

Bunge 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
31.33%3.01B
-5.42%1.33B
-0.35%3.14B
121.34%2.71B
121.34%2.71B
119.41%2.3B
41.72%1.4B
384.46%3.15B
-13.99%1.22B
-13.99%1.22B
-Cash and cash equivalents
30.51%2.84B
-12.71%1.16B
-3.70%2.94B
135.69%2.6B
135.69%2.6B
127.30%2.17B
62.59%1.33B
690.67%3.05B
22.39%1.1B
22.39%1.1B
-Short-term investments
45.90%178M
127.40%166M
105.15%199M
-11.76%105M
-11.76%105M
35.56%122M
-57.56%73M
-63.26%97M
-77.12%119M
-77.12%119M
Receivables
-14.50%2.49B
-11.52%2.69B
-14.60%2.71B
-8.25%3.02B
-8.25%3.02B
2.03%2.91B
4.22%3.04B
6.79%3.18B
31.52%3.3B
31.52%3.3B
-Accounts receivable
-16.30%2.1B
-12.39%2.28B
-18.07%2.29B
-8.38%2.59B
-8.38%2.59B
7.41%2.51B
7.09%2.6B
8.78%2.79B
33.95%2.83B
33.95%2.83B
-Taxes receivable
-3.24%388M
-6.36%412M
10.28%429M
-7.49%432M
-7.49%432M
-22.29%401M
-10.02%440M
-5.58%389M
18.53%467M
18.53%467M
Inventory
-1.10%7.47B
-8.51%8.06B
-16.16%7.51B
-15.50%7.11B
-15.50%7.11B
-6.95%7.55B
-15.98%8.81B
-18.53%8.95B
-0.27%8.41B
-0.27%8.41B
Prepaid assets
-31.45%765M
-10.83%840M
14.44%1.04B
13.37%1.13B
13.37%1.13B
0.81%1.12B
-4.94%942M
-19.09%907M
5.74%995M
5.74%995M
Restricted cash
-10.02%826M
15.85%972M
30.55%859M
-21.79%639M
-21.79%639M
52.75%918M
30.28%839M
-32.65%658M
42.83%817M
42.83%817M
Other current assets
1.82%336M
1.63%311M
-1.10%269M
-31.35%265M
-31.35%265M
0.61%330M
6.99%306M
23.64%272M
94.95%386M
94.95%386M
Total current assets
-4.24%15.92B
-10.16%15.45B
-12.08%16.74B
-2.43%16.35B
-2.43%16.35B
-3.32%16.62B
-12.83%17.2B
-8.86%19.04B
1.81%16.76B
1.81%16.76B
Non current assets
Net PPE
17.58%6.05B
11.27%5.68B
18.32%5.54B
17.80%5.47B
17.80%5.47B
14.40%5.15B
13.37%5.1B
2.83%4.68B
5.21%4.64B
5.21%4.64B
-Gross PPE
17.58%6.05B
11.27%5.68B
18.32%5.54B
14.59%10.15B
14.59%10.15B
14.40%5.15B
13.37%5.1B
2.83%4.68B
5.09%8.86B
5.09%8.86B
-Accumulated depreciation
----
----
----
-11.07%-4.69B
-11.07%-4.69B
----
----
----
-4.95%-4.22B
-4.95%-4.22B
Goodwill and other intangible assets
-5.51%840M
-1.08%821M
3.12%860M
6.87%887M
6.87%887M
11.82%889M
-2.47%830M
-8.65%834M
-9.29%830M
-9.29%830M
-Goodwill
2.12%482M
-3.72%466M
0.42%480M
4.04%489M
4.04%489M
6.07%472M
3.42%484M
-3.82%478M
-2.89%470M
-2.89%470M
-Other intangible assets
-14.15%358M
2.60%355M
6.74%380M
10.56%398M
10.56%398M
19.14%417M
-9.66%346M
-14.42%356M
-16.47%360M
-16.47%360M
Investments and advances
-2.53%1.31B
2.79%1.36B
12.27%1.46B
21.02%1.42B
21.02%1.42B
12.09%1.34B
7.64%1.32B
16.34%1.3B
22.40%1.18B
22.40%1.18B
Long-term notes receivables
0.00%8M
0.00%8M
0.00%8M
0.00%8M
0.00%8M
-20.00%8M
-42.86%8M
-42.86%8M
-50.00%8M
-50.00%8M
Non current accounts receivable
-21.03%199M
-36.96%191M
-21.26%237M
-12.00%220M
-12.00%220M
10.04%252M
28.39%303M
8.66%301M
0.40%250M
0.40%250M
Financial assets
-50.00%1M
0.00%1M
0.00%1M
0.00%1M
0.00%1M
-60.00%2M
-87.50%1M
-96.88%1M
-97.96%1M
-97.96%1M
Non current deferred assets
14.72%725M
0.14%698M
2.62%743M
8.57%773M
8.57%773M
-0.94%632M
12.06%697M
5.08%724M
29.45%712M
29.45%712M
Other non current assets
-9.36%213M
-11.38%218M
5.86%235M
19.02%244M
19.02%244M
5.86%235M
9.33%246M
-7.50%222M
-1.91%205M
-1.91%205M
Total non current assets
9.86%9.35B
5.45%8.98B
12.53%9.08B
15.34%9.02B
15.34%9.02B
12.00%8.51B
10.73%8.51B
3.01%8.07B
6.29%7.82B
6.29%7.82B
Total assets
0.53%25.27B
-4.99%24.43B
-4.75%25.82B
3.22%25.37B
3.22%25.37B
1.38%25.13B
-6.23%25.71B
-5.62%27.11B
3.19%24.58B
3.19%24.58B
Liabilities
Current liabilities
Payables
-12.76%3.51B
-11.09%3.83B
-17.31%4.73B
-14.09%3.9B
-14.09%3.9B
-10.87%4.02B
-20.61%4.31B
-4.84%5.73B
2.81%4.54B
2.81%4.54B
-accounts payable
-19.22%3.21B
-19.28%3.43B
-17.77%4.5B
-16.46%3.66B
-16.46%3.66B
-10.77%3.98B
-20.55%4.25B
-6.17%5.48B
3.20%4.39B
3.20%4.39B
-Total tax payable
138.64%105M
82.54%115M
-7.23%231M
52.56%238M
52.56%238M
-18.52%44M
-24.10%63M
38.33%249M
-7.14%156M
-7.14%156M
-Dividends payable
--190M
--289M
----
----
----
----
----
----
----
----
Current accrued expenses
5.09%784M
9.72%700M
15.20%705M
14.57%865M
14.57%865M
8.75%746M
3.24%638M
7.37%612M
9.58%755M
9.58%755M
Current debt and capital lease obligation
11.36%1.71B
20.46%1.25B
-26.71%1.33B
-38.91%1.11B
-38.91%1.11B
-39.59%1.53B
-72.98%1.04B
-35.53%1.82B
18.99%1.82B
18.99%1.82B
-Current debt
16.71%1.42B
42.18%954M
-27.84%1.02B
-42.39%802M
-42.39%802M
-42.14%1.22B
-80.59%671M
-42.30%1.41B
18.27%1.39B
18.27%1.39B
-Current capital lease obligation
-9.15%288M
-18.92%300M
-22.79%315M
-27.53%308M
-27.53%308M
-27.29%317M
-6.57%370M
8.22%408M
21.43%425M
21.43%425M
Current deferred liabilities
-25.00%279M
-4.21%364M
-11.34%430M
-22.96%463M
-22.96%463M
9.73%372M
0.53%380M
17.43%485M
37.53%601M
37.53%601M
Other current liabilities
-10.15%1.42B
-24.26%1.46B
-30.56%1.23B
-28.54%1.35B
-28.54%1.35B
-36.88%1.58B
-31.93%1.92B
-56.23%1.77B
-16.33%1.89B
-16.33%1.89B
Current liabilities
-6.72%7.69B
-8.26%7.61B
-19.01%8.43B
-19.93%7.69B
-19.93%7.69B
-21.97%8.25B
-36.71%8.29B
-24.91%10.41B
2.96%9.6B
2.96%9.6B
Non current liabilities
Long term provisions
-9.77%194M
-8.33%198M
4.39%214M
6.34%218M
6.34%218M
9.69%215M
18.03%216M
-3.76%205M
9.63%205M
9.63%205M
Long term debt and capital lease obligation
20.39%5.37B
-3.00%4.66B
-3.46%4.64B
22.07%4.65B
22.07%4.65B
23.98%4.46B
31.81%4.81B
4.41%4.8B
-28.09%3.81B
-28.09%3.81B
-Long term debt
20.42%4.78B
-4.49%4.09B
-5.40%4.08B
25.19%4.08B
25.19%4.08B
32.37%3.97B
39.71%4.28B
6.73%4.31B
-31.92%3.26B
-31.92%3.26B
-Long term capital lease obligation
20.20%595M
9.07%577M
13.67%557M
3.47%566M
3.47%566M
-17.77%495M
-9.57%529M
-12.34%490M
8.10%547M
8.10%547M
Non current deferred liabilities
-1.05%376M
-3.15%369M
2.67%385M
9.59%400M
9.59%400M
13.43%380M
20.95%381M
5.93%375M
7.99%365M
7.99%365M
Employee benefits
4.79%153M
7.38%160M
11.33%167M
11.84%170M
11.84%170M
-29.47%146M
-31.34%149M
-32.74%150M
-33.04%152M
-33.04%152M
Derivative product liabilities
-59.62%147M
-13.27%281M
5.09%289M
-21.69%260M
-21.69%260M
3.70%364M
40.87%324M
74.05%275M
577.55%332M
577.55%332M
Other non current liabilities
0.57%176M
-8.79%166M
0.00%172M
10.00%176M
10.00%176M
6.71%175M
-2.15%182M
-16.50%172M
-17.95%160M
-17.95%160M
Total non current liabilities
11.77%6.42B
-3.66%5.84B
-1.94%5.86B
16.93%5.87B
16.93%5.87B
18.34%5.74B
26.81%6.06B
3.93%5.98B
-20.18%5.02B
-20.18%5.02B
Total liabilities
0.87%14.11B
-6.32%13.44B
-12.78%14.29B
-7.27%13.56B
-7.27%13.56B
-9.29%13.99B
-19.74%14.35B
-16.45%16.39B
-6.36%14.62B
-6.36%14.62B
Shareholders'equity
Share capital
0.00%1M
0.00%1M
0.00%1M
0.00%1M
0.00%1M
0.00%1M
0.00%1M
0.00%1M
-99.86%1M
-99.86%1M
-common stock
0.00%1M
0.00%1M
0.00%1M
--0
--0
0.00%1M
0.00%1M
0.00%1M
0.00%1M
0.00%1M
-Preferred stock
----
----
----
--1M
--1M
----
----
----
--0
--0
Retained earnings
5.85%12.23B
6.44%12.01B
14.54%12.32B
18.15%12.08B
18.15%12.08B
15.78%11.56B
16.37%11.28B
12.27%10.76B
13.84%10.22B
13.84%10.22B
Paid-in capital
-12.58%5.88B
-12.48%5.87B
-12.47%5.85B
-11.84%5.9B
-11.84%5.9B
1.08%6.73B
1.68%6.71B
5.62%6.69B
19.71%6.69B
19.71%6.69B
Less: Treasury stock
-10.18%1.62B
8.11%1.43B
8.41%1.43B
-18.71%1.07B
-18.71%1.07B
36.97%1.81B
17.86%1.32B
17.86%1.32B
17.86%1.32B
17.86%1.32B
Gains losses not affecting retained earnings
-2.09%-6.35B
-5.83%-6.45B
-0.37%-6.19B
4.98%-6.05B
4.98%-6.05B
5.85%-6.22B
5.36%-6.09B
0.68%-6.17B
1.55%-6.37B
1.55%-6.37B
Total stockholders'equity
-1.13%10.14B
-5.42%10B
5.99%10.55B
17.64%10.85B
17.64%10.85B
17.76%10.25B
21.11%10.58B
16.01%9.96B
20.28%9.22B
20.28%9.22B
Noncontrolling interests
14.30%1.02B
24.90%983M
27.34%978M
30.98%964M
30.98%964M
33.98%895M
-2.60%787M
44.91%768M
37.06%736M
37.06%736M
Total equity
0.11%11.16B
-3.32%10.99B
7.52%11.53B
18.62%11.82B
18.62%11.82B
18.92%11.15B
19.10%11.36B
17.69%10.72B
21.37%9.96B
21.37%9.96B
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 31.33%3.01B-5.42%1.33B-0.35%3.14B121.34%2.71B121.34%2.71B119.41%2.3B41.72%1.4B384.46%3.15B-13.99%1.22B-13.99%1.22B
-Cash and cash equivalents 30.51%2.84B-12.71%1.16B-3.70%2.94B135.69%2.6B135.69%2.6B127.30%2.17B62.59%1.33B690.67%3.05B22.39%1.1B22.39%1.1B
-Short-term investments 45.90%178M127.40%166M105.15%199M-11.76%105M-11.76%105M35.56%122M-57.56%73M-63.26%97M-77.12%119M-77.12%119M
Receivables -14.50%2.49B-11.52%2.69B-14.60%2.71B-8.25%3.02B-8.25%3.02B2.03%2.91B4.22%3.04B6.79%3.18B31.52%3.3B31.52%3.3B
-Accounts receivable -16.30%2.1B-12.39%2.28B-18.07%2.29B-8.38%2.59B-8.38%2.59B7.41%2.51B7.09%2.6B8.78%2.79B33.95%2.83B33.95%2.83B
-Taxes receivable -3.24%388M-6.36%412M10.28%429M-7.49%432M-7.49%432M-22.29%401M-10.02%440M-5.58%389M18.53%467M18.53%467M
Inventory -1.10%7.47B-8.51%8.06B-16.16%7.51B-15.50%7.11B-15.50%7.11B-6.95%7.55B-15.98%8.81B-18.53%8.95B-0.27%8.41B-0.27%8.41B
Prepaid assets -31.45%765M-10.83%840M14.44%1.04B13.37%1.13B13.37%1.13B0.81%1.12B-4.94%942M-19.09%907M5.74%995M5.74%995M
Restricted cash -10.02%826M15.85%972M30.55%859M-21.79%639M-21.79%639M52.75%918M30.28%839M-32.65%658M42.83%817M42.83%817M
Other current assets 1.82%336M1.63%311M-1.10%269M-31.35%265M-31.35%265M0.61%330M6.99%306M23.64%272M94.95%386M94.95%386M
Total current assets -4.24%15.92B-10.16%15.45B-12.08%16.74B-2.43%16.35B-2.43%16.35B-3.32%16.62B-12.83%17.2B-8.86%19.04B1.81%16.76B1.81%16.76B
Non current assets
Net PPE 17.58%6.05B11.27%5.68B18.32%5.54B17.80%5.47B17.80%5.47B14.40%5.15B13.37%5.1B2.83%4.68B5.21%4.64B5.21%4.64B
-Gross PPE 17.58%6.05B11.27%5.68B18.32%5.54B14.59%10.15B14.59%10.15B14.40%5.15B13.37%5.1B2.83%4.68B5.09%8.86B5.09%8.86B
-Accumulated depreciation -------------11.07%-4.69B-11.07%-4.69B-------------4.95%-4.22B-4.95%-4.22B
Goodwill and other intangible assets -5.51%840M-1.08%821M3.12%860M6.87%887M6.87%887M11.82%889M-2.47%830M-8.65%834M-9.29%830M-9.29%830M
-Goodwill 2.12%482M-3.72%466M0.42%480M4.04%489M4.04%489M6.07%472M3.42%484M-3.82%478M-2.89%470M-2.89%470M
-Other intangible assets -14.15%358M2.60%355M6.74%380M10.56%398M10.56%398M19.14%417M-9.66%346M-14.42%356M-16.47%360M-16.47%360M
Investments and advances -2.53%1.31B2.79%1.36B12.27%1.46B21.02%1.42B21.02%1.42B12.09%1.34B7.64%1.32B16.34%1.3B22.40%1.18B22.40%1.18B
Long-term notes receivables 0.00%8M0.00%8M0.00%8M0.00%8M0.00%8M-20.00%8M-42.86%8M-42.86%8M-50.00%8M-50.00%8M
Non current accounts receivable -21.03%199M-36.96%191M-21.26%237M-12.00%220M-12.00%220M10.04%252M28.39%303M8.66%301M0.40%250M0.40%250M
Financial assets -50.00%1M0.00%1M0.00%1M0.00%1M0.00%1M-60.00%2M-87.50%1M-96.88%1M-97.96%1M-97.96%1M
Non current deferred assets 14.72%725M0.14%698M2.62%743M8.57%773M8.57%773M-0.94%632M12.06%697M5.08%724M29.45%712M29.45%712M
Other non current assets -9.36%213M-11.38%218M5.86%235M19.02%244M19.02%244M5.86%235M9.33%246M-7.50%222M-1.91%205M-1.91%205M
Total non current assets 9.86%9.35B5.45%8.98B12.53%9.08B15.34%9.02B15.34%9.02B12.00%8.51B10.73%8.51B3.01%8.07B6.29%7.82B6.29%7.82B
Total assets 0.53%25.27B-4.99%24.43B-4.75%25.82B3.22%25.37B3.22%25.37B1.38%25.13B-6.23%25.71B-5.62%27.11B3.19%24.58B3.19%24.58B
Liabilities
Current liabilities
Payables -12.76%3.51B-11.09%3.83B-17.31%4.73B-14.09%3.9B-14.09%3.9B-10.87%4.02B-20.61%4.31B-4.84%5.73B2.81%4.54B2.81%4.54B
-accounts payable -19.22%3.21B-19.28%3.43B-17.77%4.5B-16.46%3.66B-16.46%3.66B-10.77%3.98B-20.55%4.25B-6.17%5.48B3.20%4.39B3.20%4.39B
-Total tax payable 138.64%105M82.54%115M-7.23%231M52.56%238M52.56%238M-18.52%44M-24.10%63M38.33%249M-7.14%156M-7.14%156M
-Dividends payable --190M--289M--------------------------------
Current accrued expenses 5.09%784M9.72%700M15.20%705M14.57%865M14.57%865M8.75%746M3.24%638M7.37%612M9.58%755M9.58%755M
Current debt and capital lease obligation 11.36%1.71B20.46%1.25B-26.71%1.33B-38.91%1.11B-38.91%1.11B-39.59%1.53B-72.98%1.04B-35.53%1.82B18.99%1.82B18.99%1.82B
-Current debt 16.71%1.42B42.18%954M-27.84%1.02B-42.39%802M-42.39%802M-42.14%1.22B-80.59%671M-42.30%1.41B18.27%1.39B18.27%1.39B
-Current capital lease obligation -9.15%288M-18.92%300M-22.79%315M-27.53%308M-27.53%308M-27.29%317M-6.57%370M8.22%408M21.43%425M21.43%425M
Current deferred liabilities -25.00%279M-4.21%364M-11.34%430M-22.96%463M-22.96%463M9.73%372M0.53%380M17.43%485M37.53%601M37.53%601M
Other current liabilities -10.15%1.42B-24.26%1.46B-30.56%1.23B-28.54%1.35B-28.54%1.35B-36.88%1.58B-31.93%1.92B-56.23%1.77B-16.33%1.89B-16.33%1.89B
Current liabilities -6.72%7.69B-8.26%7.61B-19.01%8.43B-19.93%7.69B-19.93%7.69B-21.97%8.25B-36.71%8.29B-24.91%10.41B2.96%9.6B2.96%9.6B
Non current liabilities
Long term provisions -9.77%194M-8.33%198M4.39%214M6.34%218M6.34%218M9.69%215M18.03%216M-3.76%205M9.63%205M9.63%205M
Long term debt and capital lease obligation 20.39%5.37B-3.00%4.66B-3.46%4.64B22.07%4.65B22.07%4.65B23.98%4.46B31.81%4.81B4.41%4.8B-28.09%3.81B-28.09%3.81B
-Long term debt 20.42%4.78B-4.49%4.09B-5.40%4.08B25.19%4.08B25.19%4.08B32.37%3.97B39.71%4.28B6.73%4.31B-31.92%3.26B-31.92%3.26B
-Long term capital lease obligation 20.20%595M9.07%577M13.67%557M3.47%566M3.47%566M-17.77%495M-9.57%529M-12.34%490M8.10%547M8.10%547M
Non current deferred liabilities -1.05%376M-3.15%369M2.67%385M9.59%400M9.59%400M13.43%380M20.95%381M5.93%375M7.99%365M7.99%365M
Employee benefits 4.79%153M7.38%160M11.33%167M11.84%170M11.84%170M-29.47%146M-31.34%149M-32.74%150M-33.04%152M-33.04%152M
Derivative product liabilities -59.62%147M-13.27%281M5.09%289M-21.69%260M-21.69%260M3.70%364M40.87%324M74.05%275M577.55%332M577.55%332M
Other non current liabilities 0.57%176M-8.79%166M0.00%172M10.00%176M10.00%176M6.71%175M-2.15%182M-16.50%172M-17.95%160M-17.95%160M
Total non current liabilities 11.77%6.42B-3.66%5.84B-1.94%5.86B16.93%5.87B16.93%5.87B18.34%5.74B26.81%6.06B3.93%5.98B-20.18%5.02B-20.18%5.02B
Total liabilities 0.87%14.11B-6.32%13.44B-12.78%14.29B-7.27%13.56B-7.27%13.56B-9.29%13.99B-19.74%14.35B-16.45%16.39B-6.36%14.62B-6.36%14.62B
Shareholders'equity
Share capital 0.00%1M0.00%1M0.00%1M0.00%1M0.00%1M0.00%1M0.00%1M0.00%1M-99.86%1M-99.86%1M
-common stock 0.00%1M0.00%1M0.00%1M--0--00.00%1M0.00%1M0.00%1M0.00%1M0.00%1M
-Preferred stock --------------1M--1M--------------0--0
Retained earnings 5.85%12.23B6.44%12.01B14.54%12.32B18.15%12.08B18.15%12.08B15.78%11.56B16.37%11.28B12.27%10.76B13.84%10.22B13.84%10.22B
Paid-in capital -12.58%5.88B-12.48%5.87B-12.47%5.85B-11.84%5.9B-11.84%5.9B1.08%6.73B1.68%6.71B5.62%6.69B19.71%6.69B19.71%6.69B
Less: Treasury stock -10.18%1.62B8.11%1.43B8.41%1.43B-18.71%1.07B-18.71%1.07B36.97%1.81B17.86%1.32B17.86%1.32B17.86%1.32B17.86%1.32B
Gains losses not affecting retained earnings -2.09%-6.35B-5.83%-6.45B-0.37%-6.19B4.98%-6.05B4.98%-6.05B5.85%-6.22B5.36%-6.09B0.68%-6.17B1.55%-6.37B1.55%-6.37B
Total stockholders'equity -1.13%10.14B-5.42%10B5.99%10.55B17.64%10.85B17.64%10.85B17.76%10.25B21.11%10.58B16.01%9.96B20.28%9.22B20.28%9.22B
Noncontrolling interests 14.30%1.02B24.90%983M27.34%978M30.98%964M30.98%964M33.98%895M-2.60%787M44.91%768M37.06%736M37.06%736M
Total equity 0.11%11.16B-3.32%10.99B7.52%11.53B18.62%11.82B18.62%11.82B18.92%11.15B19.10%11.36B17.69%10.72B21.37%9.96B21.37%9.96B
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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