US Stock MarketDetailed Quotes

BTI British American Tobacco

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  • 37.940
  • 0.0000.00%
Close Nov 29 13:00 ET
  • 37.940
  • 0.0000.00%
Post 17:01 ET
84.16BMarket Cap-4805P/E (TTM)

British American Tobacco Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q2)Jun 30, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q2)Jun 30, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q2)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
60.45%6.63B
29.43%2.96B
29.43%2.96B
-0.17%4.13B
18.29%2.29B
18.29%2.29B
23.55%4.14B
-5.47%1.94B
-5.47%1.94B
-32.55%3.35B
-Cash and cash equivalents
61.21%5.93B
38.11%2.36B
38.11%2.36B
3.17%3.68B
15.61%1.71B
15.61%1.71B
18.38%3.57B
-18.05%1.48B
-18.05%1.48B
-37.00%3.01B
-Short-term investments
54.32%696M
3.80%601M
3.80%601M
-21.02%451M
26.97%579M
26.97%579M
69.94%571M
88.43%456M
88.43%456M
83.61%336M
-Accounts receivable
-13.79%3.64B
-17.08%3.62B
-17.08%3.62B
15.62%4.22B
10.53%4.37B
10.53%4.37B
-7.24%3.65B
6.18%3.95B
6.18%3.95B
-12.27%3.93B
-Taxes receivable
-37.50%100M
15.44%172M
15.44%172M
10.34%160M
27.35%149M
27.35%149M
-0.68%145M
48.10%117M
48.10%117M
35.19%146M
Inventory
-5.32%5.33B
-12.93%4.94B
-12.93%4.94B
-5.34%5.63B
7.43%5.67B
7.43%5.67B
-7.12%5.95B
-11.99%5.28B
-11.99%5.28B
-5.71%6.41B
Restricted cash
----
32.33%2.3B
32.33%2.3B
----
30.55%1.74B
30.55%1.74B
----
-0.30%1.33B
-0.30%1.33B
----
Total current assets
5.17%15.87B
-7.94%14.19B
-7.94%14.19B
2.60%15.09B
20.32%15.41B
20.32%15.41B
2.49%14.71B
-5.91%12.81B
-5.91%12.81B
-13.38%14.35B
Non current assets
Net PPE
-2.08%4.43B
-5.84%4.58B
-5.84%4.58B
-4.38%4.52B
-1.74%4.87B
-1.74%4.87B
-2.84%4.73B
-2.11%4.95B
-2.11%4.95B
-10.62%4.87B
-Gross PPE
----
-4.86%9.04B
-4.86%9.04B
----
5.96%9.51B
5.96%9.51B
----
-1.46%8.97B
-1.46%8.97B
----
-Accumulated depreciation
----
3.84%-4.46B
3.84%-4.46B
----
-15.46%-4.64B
-15.46%-4.64B
----
0.64%-4.02B
0.64%-4.02B
----
Goodwill and other intangible assets
-22.46%94.7B
-25.96%95.56B
-25.96%95.56B
-4.61%122.13B
11.63%129.08B
11.63%129.08B
12.47%128.03B
0.24%115.63B
0.24%115.63B
-10.21%113.83B
-Goodwill
----
-14.32%41.09B
-14.32%41.09B
----
11.02%47.96B
11.02%47.96B
----
-0.29%43.19B
-0.29%43.19B
----
-Other intangible assets
----
-32.85%54.47B
-32.85%54.47B
----
11.99%81.12B
11.99%81.12B
----
0.57%72.43B
0.57%72.43B
----
Financial assets
-23.08%100M
-16.79%109M
-16.79%109M
-44.92%130M
-46.09%131M
-46.09%131M
-20.00%236M
-33.79%243M
-33.79%243M
-41.47%295M
Defined pension benefit
-8.47%940M
-4.40%956M
-4.40%956M
-15.75%1.03B
8.93%1B
8.93%1B
51.81%1.22B
28.57%918M
28.57%918M
39.17%803M
Total non current assets
-20.98%103.5B
-24.33%104.53B
-24.33%104.53B
-4.51%130.98B
10.90%138.14B
10.90%138.14B
11.84%137.16B
0.39%124.56B
0.39%124.56B
-9.89%122.64B
Total assets
-18.28%119.37B
-22.68%118.72B
-22.68%118.72B
-3.82%146.07B
11.78%153.55B
11.78%153.55B
10.86%151.87B
-0.24%137.37B
-0.24%137.37B
-10.27%137B
Liabilities
Current liabilities
Payables
0.78%10.2B
-7.01%10.69B
-7.01%10.69B
4.23%10.12B
9.97%11.5B
9.97%11.5B
4.64%9.71B
-0.99%10.46B
-0.99%10.46B
-14.31%9.28B
-accounts payable
-2.17%9.02B
-7.17%9.7B
-7.17%9.7B
4.47%9.22B
9.11%10.45B
9.11%10.45B
3.75%8.82B
-1.20%9.58B
-1.20%9.58B
-10.81%8.5B
-Total tax payable
30.83%1.18B
-5.43%992M
-5.43%992M
1.91%905M
19.34%1.05B
19.34%1.05B
14.43%888M
1.27%879M
1.27%879M
-40.08%776M
Current provisions
-13.87%416M
-56.95%468M
-56.95%468M
-44.03%483M
135.79%1.09B
135.79%1.09B
131.99%863M
-22.91%461M
-22.91%461M
1.92%372M
Current debt and capital lease obligation
45.28%7.31B
-2.02%4.32B
-2.02%4.32B
-2.37%5.03B
10.55%4.41B
10.55%4.41B
-40.44%5.15B
-1.21%3.99B
-1.21%3.99B
22.40%8.65B
-Current debt
----
-1.83%4.19B
-1.83%4.19B
----
10.48%4.27B
10.48%4.27B
----
-0.97%3.87B
-0.97%3.87B
----
-Current capital lease obligation
----
-7.75%131M
-7.75%131M
----
12.70%142M
12.70%142M
----
-8.03%126M
-8.03%126M
----
Current liabilities
11.43%18.04B
-12.21%15.67B
-12.21%15.67B
-3.20%16.19B
17.89%17.85B
17.89%17.85B
-9.19%16.73B
-2.16%15.14B
-2.16%15.14B
-0.63%18.42B
Non current liabilities
Long term provisions
-42.22%271M
22.35%531M
22.35%531M
12.20%469M
10.71%434M
10.71%434M
1.70%418M
1.29%392M
1.29%392M
3.01%411M
Long term debt and capital lease obligation
-11.55%32.85B
-8.57%35.41B
-8.57%35.41B
-6.50%37.14B
8.58%38.73B
8.58%38.73B
9.25%39.72B
-10.67%35.67B
-10.67%35.67B
-16.21%36.36B
-Long term debt
----
-8.64%35.04B
-8.64%35.04B
----
8.50%38.35B
8.50%38.35B
----
-10.72%35.35B
-10.72%35.35B
----
-Long term capital lease obligation
----
-2.13%367M
-2.13%367M
----
17.19%375M
17.19%375M
----
-5.33%320M
-5.33%320M
----
Derivative product liabilities
-49.53%217M
-58.96%206M
-58.96%206M
-7.92%430M
535.44%502M
535.44%502M
853.06%467M
92.68%79M
92.68%79M
-76.89%49M
Total non current liabilities
-18.16%46.86B
-16.46%50.11B
-16.46%50.11B
-6.26%57.25B
9.42%59.98B
9.42%59.98B
10.24%61.08B
-7.49%54.82B
-7.49%54.82B
-14.39%55.4B
Total liabilities
-11.63%64.9B
-15.49%65.78B
-15.49%65.78B
-5.60%73.44B
11.25%77.84B
11.25%77.84B
5.39%77.8B
-6.38%69.96B
-6.38%69.96B
-11.33%73.82B
Shareholders'equity
Share capital
-4.07%589M
0.00%614M
0.00%614M
0.00%614M
0.00%614M
0.00%614M
0.00%614M
0.00%614M
0.00%614M
0.00%614M
-common stock
-4.07%589M
0.00%614M
0.00%614M
0.00%614M
0.00%614M
0.00%614M
0.00%614M
0.00%614M
0.00%614M
0.00%614M
Retained earnings
-42.92%26.03B
-38.22%31.63B
-38.22%31.63B
7.13%45.59B
3.78%51.2B
3.78%51.2B
-1.08%42.56B
4.54%49.33B
4.54%49.33B
3.86%43.02B
Paid-in capital
0.11%26.66B
0.93%216M
0.93%216M
0.01%26.63B
2.88%214M
2.88%214M
0.02%26.63B
1.96%208M
1.96%208M
0.02%26.62B
Less: Treasury stock
----
-0.28%7.1B
-0.28%7.1B
----
38.93%7.12B
38.93%7.12B
----
-0.54%5.12B
-0.54%5.12B
----
Other equity interest
42.19%1.69B
21.22%1.69B
21.22%1.69B
-27.17%1.19B
-17.51%1.39B
-17.51%1.39B
--1.63B
--1.69B
--1.69B
----
Total stockholders'equity
-25.16%54.11B
-30.25%52.57B
-30.25%52.57B
-1.98%72.3B
12.32%75.37B
12.32%75.37B
17.26%73.76B
7.07%67.1B
7.07%67.1B
-9.03%62.9B
Noncontrolling interests
8.48%358M
7.60%368M
7.60%368M
5.10%330M
14.00%342M
14.00%342M
13.36%314M
6.38%300M
6.38%300M
-1.77%277M
Total equity
-25.00%54.47B
-30.08%52.93B
-30.08%52.93B
-1.95%72.63B
12.33%75.71B
12.33%75.71B
17.25%74.07B
7.06%67.4B
7.06%67.4B
-9.00%63.17B
Currency Unit
GBP
GBP
GBP
GBP
GBP
GBP
GBP
GBP
GBP
GBP
(Q2)Jun 30, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q2)Jun 30, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q2)Jun 30, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q2)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments 60.45%6.63B29.43%2.96B29.43%2.96B-0.17%4.13B18.29%2.29B18.29%2.29B23.55%4.14B-5.47%1.94B-5.47%1.94B-32.55%3.35B
-Cash and cash equivalents 61.21%5.93B38.11%2.36B38.11%2.36B3.17%3.68B15.61%1.71B15.61%1.71B18.38%3.57B-18.05%1.48B-18.05%1.48B-37.00%3.01B
-Short-term investments 54.32%696M3.80%601M3.80%601M-21.02%451M26.97%579M26.97%579M69.94%571M88.43%456M88.43%456M83.61%336M
-Accounts receivable -13.79%3.64B-17.08%3.62B-17.08%3.62B15.62%4.22B10.53%4.37B10.53%4.37B-7.24%3.65B6.18%3.95B6.18%3.95B-12.27%3.93B
-Taxes receivable -37.50%100M15.44%172M15.44%172M10.34%160M27.35%149M27.35%149M-0.68%145M48.10%117M48.10%117M35.19%146M
Inventory -5.32%5.33B-12.93%4.94B-12.93%4.94B-5.34%5.63B7.43%5.67B7.43%5.67B-7.12%5.95B-11.99%5.28B-11.99%5.28B-5.71%6.41B
Restricted cash ----32.33%2.3B32.33%2.3B----30.55%1.74B30.55%1.74B-----0.30%1.33B-0.30%1.33B----
Total current assets 5.17%15.87B-7.94%14.19B-7.94%14.19B2.60%15.09B20.32%15.41B20.32%15.41B2.49%14.71B-5.91%12.81B-5.91%12.81B-13.38%14.35B
Non current assets
Net PPE -2.08%4.43B-5.84%4.58B-5.84%4.58B-4.38%4.52B-1.74%4.87B-1.74%4.87B-2.84%4.73B-2.11%4.95B-2.11%4.95B-10.62%4.87B
-Gross PPE -----4.86%9.04B-4.86%9.04B----5.96%9.51B5.96%9.51B-----1.46%8.97B-1.46%8.97B----
-Accumulated depreciation ----3.84%-4.46B3.84%-4.46B-----15.46%-4.64B-15.46%-4.64B----0.64%-4.02B0.64%-4.02B----
Goodwill and other intangible assets -22.46%94.7B-25.96%95.56B-25.96%95.56B-4.61%122.13B11.63%129.08B11.63%129.08B12.47%128.03B0.24%115.63B0.24%115.63B-10.21%113.83B
-Goodwill -----14.32%41.09B-14.32%41.09B----11.02%47.96B11.02%47.96B-----0.29%43.19B-0.29%43.19B----
-Other intangible assets -----32.85%54.47B-32.85%54.47B----11.99%81.12B11.99%81.12B----0.57%72.43B0.57%72.43B----
Financial assets -23.08%100M-16.79%109M-16.79%109M-44.92%130M-46.09%131M-46.09%131M-20.00%236M-33.79%243M-33.79%243M-41.47%295M
Defined pension benefit -8.47%940M-4.40%956M-4.40%956M-15.75%1.03B8.93%1B8.93%1B51.81%1.22B28.57%918M28.57%918M39.17%803M
Total non current assets -20.98%103.5B-24.33%104.53B-24.33%104.53B-4.51%130.98B10.90%138.14B10.90%138.14B11.84%137.16B0.39%124.56B0.39%124.56B-9.89%122.64B
Total assets -18.28%119.37B-22.68%118.72B-22.68%118.72B-3.82%146.07B11.78%153.55B11.78%153.55B10.86%151.87B-0.24%137.37B-0.24%137.37B-10.27%137B
Liabilities
Current liabilities
Payables 0.78%10.2B-7.01%10.69B-7.01%10.69B4.23%10.12B9.97%11.5B9.97%11.5B4.64%9.71B-0.99%10.46B-0.99%10.46B-14.31%9.28B
-accounts payable -2.17%9.02B-7.17%9.7B-7.17%9.7B4.47%9.22B9.11%10.45B9.11%10.45B3.75%8.82B-1.20%9.58B-1.20%9.58B-10.81%8.5B
-Total tax payable 30.83%1.18B-5.43%992M-5.43%992M1.91%905M19.34%1.05B19.34%1.05B14.43%888M1.27%879M1.27%879M-40.08%776M
Current provisions -13.87%416M-56.95%468M-56.95%468M-44.03%483M135.79%1.09B135.79%1.09B131.99%863M-22.91%461M-22.91%461M1.92%372M
Current debt and capital lease obligation 45.28%7.31B-2.02%4.32B-2.02%4.32B-2.37%5.03B10.55%4.41B10.55%4.41B-40.44%5.15B-1.21%3.99B-1.21%3.99B22.40%8.65B
-Current debt -----1.83%4.19B-1.83%4.19B----10.48%4.27B10.48%4.27B-----0.97%3.87B-0.97%3.87B----
-Current capital lease obligation -----7.75%131M-7.75%131M----12.70%142M12.70%142M-----8.03%126M-8.03%126M----
Current liabilities 11.43%18.04B-12.21%15.67B-12.21%15.67B-3.20%16.19B17.89%17.85B17.89%17.85B-9.19%16.73B-2.16%15.14B-2.16%15.14B-0.63%18.42B
Non current liabilities
Long term provisions -42.22%271M22.35%531M22.35%531M12.20%469M10.71%434M10.71%434M1.70%418M1.29%392M1.29%392M3.01%411M
Long term debt and capital lease obligation -11.55%32.85B-8.57%35.41B-8.57%35.41B-6.50%37.14B8.58%38.73B8.58%38.73B9.25%39.72B-10.67%35.67B-10.67%35.67B-16.21%36.36B
-Long term debt -----8.64%35.04B-8.64%35.04B----8.50%38.35B8.50%38.35B-----10.72%35.35B-10.72%35.35B----
-Long term capital lease obligation -----2.13%367M-2.13%367M----17.19%375M17.19%375M-----5.33%320M-5.33%320M----
Derivative product liabilities -49.53%217M-58.96%206M-58.96%206M-7.92%430M535.44%502M535.44%502M853.06%467M92.68%79M92.68%79M-76.89%49M
Total non current liabilities -18.16%46.86B-16.46%50.11B-16.46%50.11B-6.26%57.25B9.42%59.98B9.42%59.98B10.24%61.08B-7.49%54.82B-7.49%54.82B-14.39%55.4B
Total liabilities -11.63%64.9B-15.49%65.78B-15.49%65.78B-5.60%73.44B11.25%77.84B11.25%77.84B5.39%77.8B-6.38%69.96B-6.38%69.96B-11.33%73.82B
Shareholders'equity
Share capital -4.07%589M0.00%614M0.00%614M0.00%614M0.00%614M0.00%614M0.00%614M0.00%614M0.00%614M0.00%614M
-common stock -4.07%589M0.00%614M0.00%614M0.00%614M0.00%614M0.00%614M0.00%614M0.00%614M0.00%614M0.00%614M
Retained earnings -42.92%26.03B-38.22%31.63B-38.22%31.63B7.13%45.59B3.78%51.2B3.78%51.2B-1.08%42.56B4.54%49.33B4.54%49.33B3.86%43.02B
Paid-in capital 0.11%26.66B0.93%216M0.93%216M0.01%26.63B2.88%214M2.88%214M0.02%26.63B1.96%208M1.96%208M0.02%26.62B
Less: Treasury stock -----0.28%7.1B-0.28%7.1B----38.93%7.12B38.93%7.12B-----0.54%5.12B-0.54%5.12B----
Other equity interest 42.19%1.69B21.22%1.69B21.22%1.69B-27.17%1.19B-17.51%1.39B-17.51%1.39B--1.63B--1.69B--1.69B----
Total stockholders'equity -25.16%54.11B-30.25%52.57B-30.25%52.57B-1.98%72.3B12.32%75.37B12.32%75.37B17.26%73.76B7.07%67.1B7.07%67.1B-9.03%62.9B
Noncontrolling interests 8.48%358M7.60%368M7.60%368M5.10%330M14.00%342M14.00%342M13.36%314M6.38%300M6.38%300M-1.77%277M
Total equity -25.00%54.47B-30.08%52.93B-30.08%52.93B-1.95%72.63B12.33%75.71B12.33%75.71B17.25%74.07B7.06%67.4B7.06%67.4B-9.00%63.17B
Currency Unit GBPGBPGBPGBPGBPGBPGBPGBPGBPGBP

Analysis

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Heat List
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