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BG Bunge

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  • 70.500
  • +0.710+1.02%
Close Feb 14 16:00 ET
  • 70.500
  • 0.0000.00%
Post 20:01 ET
9.84BMarket Cap8.82P/E (TTM)

Bunge 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
-42.56%1.9B
-27.28%1.05B
-4.39%1.33B
-221.13%-1.47B
6.77%994M
159.61%3.31B
379.54%1.45B
341.81%1.39B
74.51%-459M
135.05%931M
Net income from continuing operations
-49.17%1.19B
-4.55%630M
-40.10%233M
-88.39%73M
-61.76%252M
39.27%2.34B
76.47%660M
1.57%389M
179.56%629M
-5.32%659M
Operating gains losses
97.29%-12M
52.88%-90M
-293.75%-63M
190.96%151M
85.51%-10M
-107.51%-442M
-768.18%-191M
86.67%-16M
-460.87%-166M
41.03%-69M
Depreciation and amortization
3.77%468M
-8.21%123M
9.17%119M
7.55%114M
9.80%112M
10.54%451M
30.10%134M
7.92%109M
3.92%106M
0.00%102M
Deferred tax
-900.00%-10M
128.45%33M
-133.33%-16M
-130.36%-17M
-190.91%-10M
99.16%-1M
-329.63%-116M
245.45%48M
1,220.00%56M
120.37%11M
Other non cash items
-44.44%65M
-67.31%17M
-108.33%-1M
-39.53%26M
130.00%23M
20.62%117M
205.88%52M
200.00%12M
-52.22%43M
400.00%10M
Change In working capital
-85.88%95M
-62.16%319M
27.42%1.01B
-58.40%-1.85B
203.48%610M
108.82%673M
181.53%843M
178.87%795M
48.84%-1.17B
106.08%201M
-Change in receivables
-33.98%169M
-326.00%-213M
1,206.25%209M
-138.95%-111M
5,580.00%284M
224.27%256M
-100.92%-50M
100.30%16M
458.82%285M
101.28%5M
-Change in inventory
-93.68%96M
11.62%653M
-36.52%716M
-430.13%-789M
-11.52%-484M
664.31%1.52B
1,562.50%585M
-46.59%1.13B
2,555.56%239M
81.53%-434M
-Change in prepaid assets
271.07%207M
-42.99%61M
126.73%58M
307.69%54M
126.67%34M
-764.29%-121M
367.50%107M
-985.00%-217M
-126.53%-26M
128.85%15M
-Change in payables and accrued expense
42.71%-538M
38.96%-152M
-181.18%-239M
34.54%-921M
-3.49%774M
-1,501.49%-939M
-29.69%-249M
87.57%-85M
-528.13%-1.41B
-31.28%802M
-Change in other current assets
-256.52%-36M
-207.50%-43M
152.83%28M
-165.22%-15M
-146.15%-6M
-92.92%23M
350.00%40M
-194.64%-53M
-45.24%23M
-94.65%13M
-Change in other working capital
407.81%197M
-96.83%13M
3,916.67%241M
76.79%-65M
104.00%8M
99.15%-64M
106.63%410M
-99.79%6M
87.58%-280M
89.59%-200M
Cash from discontinued investing activities
Operating cash flow
-42.56%1.9B
-27.28%1.05B
-4.39%1.33B
-221.13%-1.47B
6.77%994M
159.61%3.31B
379.54%1.45B
341.81%1.39B
74.51%-459M
135.05%931M
Investing cash flow
Cash flow from continuing investing activities
-10.41%-1.11B
56.75%-157M
-56.11%-409M
64.57%-152M
-980.00%-396M
-115.53%-1.01B
-126.19%-363M
-111.67%-262M
-130.23%-429M
-96.89%45M
Capital expenditure reported
-22.64%-1.38B
-54.26%-489M
-34.09%-354M
19.29%-297M
-36.42%-236M
-102.16%-1.12B
-56.93%-317M
-87.23%-264M
-247.17%-368M
-63.21%-173M
Net business purchase and sale
1,885.29%675M
11,680.00%589M
33.33%-2M
415.15%104M
-124.62%-16M
-92.49%34M
-58.33%5M
-100.61%-3M
37.74%-33M
--65M
Net investment purchase and sale
-289.29%-327M
-763.64%-190M
-550.00%-52M
170.59%36M
-3,933.33%-121M
35.38%-84M
-170.97%-22M
-166.67%-8M
62.50%-51M
91.89%-3M
Net other investing changes
-152.76%-86M
-131.03%-67M
-107.69%-1M
-78.26%5M
-114.74%-23M
-97.58%163M
-101.88%-29M
-99.31%13M
-98.66%23M
-90.19%156M
Cash from discontinued investing activities
Investing cash flow
-10.41%-1.11B
56.75%-157M
-56.11%-409M
64.57%-152M
-980.00%-396M
-115.53%-1.01B
-126.19%-363M
-111.67%-262M
-130.23%-429M
-96.89%45M
Financing cash flow
Cash flow from continuing financing activities
89.49%-90M
27.53%-466M
350.49%764M
84.05%-129M
-128.75%-259M
-11.31%-856M
3.60%-643M
80.28%-305M
-209.77%-809M
27.26%901M
Net issuance payments of debt
608.00%1.42B
140.95%138M
276.12%1.09B
93.77%-47M
-76.25%238M
128.25%200M
39.93%-337M
125.24%289M
-381.34%-754M
37.26%1B
Net common stock issuance
-83.33%-1.1B
-273.13%-500M
57.08%-200M
--0
---400M
-200.00%-600M
---134M
---466M
--0
--0
Cash dividends paid
1.31%-378M
5.21%-91M
3.03%-96M
-2.13%-96M
-1.06%-95M
-9.74%-383M
-3.23%-96M
-5.32%-99M
-17.50%-94M
-14.63%-94M
Proceeds from stock option exercised by employees
----
----
----
----
----
-90.22%9M
----
----
----
----
Net other financing activities
65.85%-28M
84.71%-13M
6.90%-27M
-64.10%14M
71.43%-2M
-120.71%-82M
-13.33%-85M
69.15%-29M
-92.74%39M
-125.00%-7M
Cash from discontinued financing activities
Financing cash flow
89.49%-90M
27.53%-466M
350.49%764M
84.05%-129M
-128.75%-259M
-11.31%-856M
3.60%-643M
80.28%-305M
-209.77%-809M
27.26%901M
Net cash flow
Beginning cash position
127.69%2.62B
31.74%2.89B
-11.69%1.2B
-3.40%2.95B
127.69%2.62B
27.29%1.15B
119.96%2.19B
65.25%1.36B
652.96%3.06B
27.29%1.15B
Current changes in cash
-51.77%696M
-2.71%430M
104.87%1.68B
-3.42%-1.76B
-81.94%339M
697.24%1.44B
119.90%442M
556.80%821M
-578.03%-1.7B
475.40%1.88B
Effect of exchange rate changes
-67.86%9M
175.00%9M
-50.00%6M
--3M
-132.14%-9M
-57.58%28M
73.91%-12M
-75.51%12M
--0
2,700.00%28M
End cash Position
26.88%3.33B
26.88%3.33B
31.74%2.89B
-11.69%1.2B
-3.40%2.95B
127.69%2.62B
127.69%2.62B
119.96%2.19B
65.25%1.36B
652.96%3.06B
Free cash flow
-76.03%524M
-50.13%564M
-13.43%973M
-114.15%-1.77B
0.00%758M
135.81%2.19B
257.08%1.13B
257.20%1.12B
56.63%-827M
127.44%758M
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 -42.56%1.9B-27.28%1.05B-4.39%1.33B-221.13%-1.47B6.77%994M159.61%3.31B379.54%1.45B341.81%1.39B74.51%-459M135.05%931M
Net income from continuing operations -49.17%1.19B-4.55%630M-40.10%233M-88.39%73M-61.76%252M39.27%2.34B76.47%660M1.57%389M179.56%629M-5.32%659M
Operating gains losses 97.29%-12M52.88%-90M-293.75%-63M190.96%151M85.51%-10M-107.51%-442M-768.18%-191M86.67%-16M-460.87%-166M41.03%-69M
Depreciation and amortization 3.77%468M-8.21%123M9.17%119M7.55%114M9.80%112M10.54%451M30.10%134M7.92%109M3.92%106M0.00%102M
Deferred tax -900.00%-10M128.45%33M-133.33%-16M-130.36%-17M-190.91%-10M99.16%-1M-329.63%-116M245.45%48M1,220.00%56M120.37%11M
Other non cash items -44.44%65M-67.31%17M-108.33%-1M-39.53%26M130.00%23M20.62%117M205.88%52M200.00%12M-52.22%43M400.00%10M
Change In working capital -85.88%95M-62.16%319M27.42%1.01B-58.40%-1.85B203.48%610M108.82%673M181.53%843M178.87%795M48.84%-1.17B106.08%201M
-Change in receivables -33.98%169M-326.00%-213M1,206.25%209M-138.95%-111M5,580.00%284M224.27%256M-100.92%-50M100.30%16M458.82%285M101.28%5M
-Change in inventory -93.68%96M11.62%653M-36.52%716M-430.13%-789M-11.52%-484M664.31%1.52B1,562.50%585M-46.59%1.13B2,555.56%239M81.53%-434M
-Change in prepaid assets 271.07%207M-42.99%61M126.73%58M307.69%54M126.67%34M-764.29%-121M367.50%107M-985.00%-217M-126.53%-26M128.85%15M
-Change in payables and accrued expense 42.71%-538M38.96%-152M-181.18%-239M34.54%-921M-3.49%774M-1,501.49%-939M-29.69%-249M87.57%-85M-528.13%-1.41B-31.28%802M
-Change in other current assets -256.52%-36M-207.50%-43M152.83%28M-165.22%-15M-146.15%-6M-92.92%23M350.00%40M-194.64%-53M-45.24%23M-94.65%13M
-Change in other working capital 407.81%197M-96.83%13M3,916.67%241M76.79%-65M104.00%8M99.15%-64M106.63%410M-99.79%6M87.58%-280M89.59%-200M
Cash from discontinued investing activities
Operating cash flow -42.56%1.9B-27.28%1.05B-4.39%1.33B-221.13%-1.47B6.77%994M159.61%3.31B379.54%1.45B341.81%1.39B74.51%-459M135.05%931M
Investing cash flow
Cash flow from continuing investing activities -10.41%-1.11B56.75%-157M-56.11%-409M64.57%-152M-980.00%-396M-115.53%-1.01B-126.19%-363M-111.67%-262M-130.23%-429M-96.89%45M
Capital expenditure reported -22.64%-1.38B-54.26%-489M-34.09%-354M19.29%-297M-36.42%-236M-102.16%-1.12B-56.93%-317M-87.23%-264M-247.17%-368M-63.21%-173M
Net business purchase and sale 1,885.29%675M11,680.00%589M33.33%-2M415.15%104M-124.62%-16M-92.49%34M-58.33%5M-100.61%-3M37.74%-33M--65M
Net investment purchase and sale -289.29%-327M-763.64%-190M-550.00%-52M170.59%36M-3,933.33%-121M35.38%-84M-170.97%-22M-166.67%-8M62.50%-51M91.89%-3M
Net other investing changes -152.76%-86M-131.03%-67M-107.69%-1M-78.26%5M-114.74%-23M-97.58%163M-101.88%-29M-99.31%13M-98.66%23M-90.19%156M
Cash from discontinued investing activities
Investing cash flow -10.41%-1.11B56.75%-157M-56.11%-409M64.57%-152M-980.00%-396M-115.53%-1.01B-126.19%-363M-111.67%-262M-130.23%-429M-96.89%45M
Financing cash flow
Cash flow from continuing financing activities 89.49%-90M27.53%-466M350.49%764M84.05%-129M-128.75%-259M-11.31%-856M3.60%-643M80.28%-305M-209.77%-809M27.26%901M
Net issuance payments of debt 608.00%1.42B140.95%138M276.12%1.09B93.77%-47M-76.25%238M128.25%200M39.93%-337M125.24%289M-381.34%-754M37.26%1B
Net common stock issuance -83.33%-1.1B-273.13%-500M57.08%-200M--0---400M-200.00%-600M---134M---466M--0--0
Cash dividends paid 1.31%-378M5.21%-91M3.03%-96M-2.13%-96M-1.06%-95M-9.74%-383M-3.23%-96M-5.32%-99M-17.50%-94M-14.63%-94M
Proceeds from stock option exercised by employees ---------------------90.22%9M----------------
Net other financing activities 65.85%-28M84.71%-13M6.90%-27M-64.10%14M71.43%-2M-120.71%-82M-13.33%-85M69.15%-29M-92.74%39M-125.00%-7M
Cash from discontinued financing activities
Financing cash flow 89.49%-90M27.53%-466M350.49%764M84.05%-129M-128.75%-259M-11.31%-856M3.60%-643M80.28%-305M-209.77%-809M27.26%901M
Net cash flow
Beginning cash position 127.69%2.62B31.74%2.89B-11.69%1.2B-3.40%2.95B127.69%2.62B27.29%1.15B119.96%2.19B65.25%1.36B652.96%3.06B27.29%1.15B
Current changes in cash -51.77%696M-2.71%430M104.87%1.68B-3.42%-1.76B-81.94%339M697.24%1.44B119.90%442M556.80%821M-578.03%-1.7B475.40%1.88B
Effect of exchange rate changes -67.86%9M175.00%9M-50.00%6M--3M-132.14%-9M-57.58%28M73.91%-12M-75.51%12M--02,700.00%28M
End cash Position 26.88%3.33B26.88%3.33B31.74%2.89B-11.69%1.2B-3.40%2.95B127.69%2.62B127.69%2.62B119.96%2.19B65.25%1.36B652.96%3.06B
Free cash flow -76.03%524M-50.13%564M-13.43%973M-114.15%-1.77B0.00%758M135.81%2.19B257.08%1.13B257.20%1.12B56.63%-827M127.44%758M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----------Unqualified Opinion--------
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