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BUD Anheuser-Busch Inbev

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  • 54.750
  • +0.060+0.11%
Trading Nov 22 13:58 ET
107.97BMarket Cap17.11P/E (TTM)

Anheuser-Busch Inbev Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(FY)Dec 31, 2022
(FY)Dec 31, 2021
(FY)Dec 31, 2020
(FY)Dec 31, 2019
(FY)Dec 31, 2018
(FY)Dec 31, 2017
(FY)Dec 31, 2016
(FY)Dec 31, 2015
(FY)Dec 31, 2014
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-0.25%13.27B
-10.14%13.3B
36.94%14.8B
-19.33%10.81B
-5.54%13.4B
-4.95%14.18B
47.58%14.92B
-28.40%10.11B
-0.16%14.12B
2.02%14.14B
Net income from continuing operations
-9.29%6.89B
24.26%7.6B
4,059.18%6.11B
-98.53%147M
93.72%9.99B
-40.08%5.16B
210.80%8.61B
-71.94%2.77B
-12.70%9.87B
-31.58%11.3B
Operating gains losses
-183.09%-516M
350.40%621M
-58.97%-248M
53.43%-156M
-31.37%-335M
56.11%-255M
-35.12%-581M
23.35%-430M
-150.45%-561M
44.55%-224M
Depreciation and amortization
6.56%5.41B
0.51%5.08B
4.62%5.05B
3.69%4.83B
0.71%4.66B
-0.02%4.62B
33.02%4.63B
10.28%3.48B
-5.96%3.15B
12.33%3.35B
Deferred tax
15.87%2.23B
-17.96%1.93B
21.64%2.35B
-30.65%1.93B
7.78%2.79B
55.91%2.59B
2.79%1.66B
-37.82%1.61B
3.80%2.59B
23.96%2.5B
Other non cash items
26.83%5.74B
-2.77%4.52B
-21.44%4.65B
133.37%5.92B
-66.97%2.54B
32.77%7.69B
-25.87%5.79B
1,169.59%7.81B
-8.35%615M
-53.56%671M
Change In working capital
-345.09%-1.54B
-114.07%-346M
315.37%2.46B
11,940.00%592M
-101.05%-5M
253.33%477M
-21.97%135M
-90.31%173M
119.14%1.79B
-5.89%815M
-Change in receivables
-2,289.58%-1.15B
-129.27%-48M
-68.22%164M
300.00%516M
-145.71%-258M
-207.14%-105M
113.73%98M
-417.39%-714M
62.80%-138M
-1,384.00%-371M
-Change in inventory
146.35%717M
-25.57%-1.55B
-188.52%-1.23B
-0.23%-427M
27.55%-426M
-130.59%-588M
29.95%-255M
14.15%-364M
-19.77%-424M
-174.42%-354M
-Change in payables and accrued expense
-188.87%-1.11B
-64.59%1.25B
601.19%3.53B
-25.92%503M
-41.97%679M
300.68%1.17B
-76.66%292M
-46.72%1.25B
52.47%2.35B
50.98%1.54B
Cash from discontinued investing activities
-86.88%84M
-27.52%640M
883M
Operating cash flow
-0.25%13.27B
-10.14%13.3B
35.88%14.8B
-22.41%10.89B
-6.82%14.04B
0.97%15.06B
47.58%14.92B
-28.40%10.11B
-0.16%14.12B
2.02%14.14B
Investing cash flow
Cash flow from continuing investing activities
5.76%-4.35B
21.39%-4.62B
-192.57%-5.88B
230.80%6.35B
-25.85%-4.85B
-149.04%-3.86B
113.09%7.87B
-1,118.60%-60.08B
55.42%-4.93B
-8.62%-11.06B
Net PPE purchase and sale
7.36%-4.48B
12.00%-4.84B
-49.12%-5.5B
24.04%-3.69B
-6.26%-4.85B
-10.28%-4.57B
13.13%-4.14B
-9.94%-4.77B
-5.22%-4.34B
-14.12%-4.12B
Net business purchase and sale
112.86%9M
84.23%-70M
-104.30%-444M
31,396.97%10.33B
-119.08%-33M
-98.45%173M
122.50%11.17B
-5,304.79%-49.62B
86.43%-918M
61.11%-6.77B
Net investment purchase and sale
----
----
----
----
----
----
177.68%4.34B
-3,403.55%-5.58B
190.37%169M
-102.79%-187M
Net other investing changes
-58.68%119M
350.00%288M
121.92%64M
-984.85%-292M
-93.87%33M
115.39%538M
-3,078.18%-3.5B
-170.51%-110M
1,014.29%156M
-99.66%14M
Cash from discontinued investing activities
Investing cash flow
5.76%-4.35B
21.40%-4.62B
-192.77%-5.88B
228.49%6.34B
-24.33%-4.93B
-150.43%-3.97B
113.09%7.87B
-1,118.60%-60.08B
55.42%-4.93B
-8.62%-11.06B
Financing cash flow
Cash flow from continuing financing activities
19.06%-8.6B
8.43%-10.62B
-36.95%-11.6B
3.00%-8.47B
39.06%-8.73B
32.84%-14.33B
-142.05%-21.33B
646.61%50.73B
-135.14%-9.28B
-1,730.99%-3.95B
Net issuance payments of debt
52.77%-3.68B
13.91%-7.78B
-3.28%-9.04B
-3.62%-8.76B
-64.70%-8.45B
50.45%-5.13B
-116.52%-10.35B
13,614.44%62.68B
-85.82%457M
-27.70%3.22B
Net common stock issuance
---362M
--0
--0
----
--5.58B
--0
--0
----
-1,298.80%-995M
13.70%83M
Cash dividends paid
-23.38%-3.01B
-3.30%-2.44B
-31.33%-2.36B
64.11%-1.8B
35.38%-5.02B
16.32%-7.76B
-9.76%-9.28B
-6.08%-8.45B
-7.65%-7.97B
-18.34%-7.4B
Net other financing activities
-292.13%-1.55B
-105.21%-394M
-109.20%-192M
347.74%2.09B
41.36%-842M
15.78%-1.44B
51.20%-1.71B
-349.68%-3.49B
-628.57%-777M
-92.52%147M
Cash from discontinued financing activities
75.00%-6M
-26.32%-24M
-19M
Financing cash flow
19.06%-8.6B
8.43%-10.62B
-36.85%-11.6B
3.20%-8.48B
38.97%-8.76B
32.76%-14.35B
-142.05%-21.33B
646.61%50.73B
-135.14%-9.28B
-1,730.99%-3.95B
Net cash flow
Beginning cash position
-17.88%9.89B
-21.01%12.04B
112.68%15.25B
3.00%7.17B
-32.79%6.96B
23.36%10.36B
21.49%8.4B
-16.91%6.91B
-15.43%8.32B
39.46%9.83B
Current changes in cash
116.22%315M
27.48%-1.94B
-130.60%-2.68B
2,400.57%8.75B
110.78%350M
-242.52%-3.25B
198.30%2.28B
948.89%764M
89.57%-90M
-121.99%-863M
Effect of exchange rate changes
151.66%109M
59.89%-211M
21.96%-526M
-378.01%-674M
4.73%-141M
53.61%-148M
-144.24%-319M
154.79%721M
-101.22%-1.32B
42.73%-654M
End cash Position
4.29%10.31B
-17.88%9.89B
-21.01%12.04B
112.68%15.25B
3.00%7.17B
-32.79%6.96B
23.35%10.36B
21.49%8.4B
-16.91%6.91B
-15.43%8.32B
Free cash flow
6.01%8.63B
-11.15%8.14B
28.82%9.16B
-19.77%7.11B
-11.90%8.86B
-1.77%10.06B
99.57%10.24B
-45.25%5.13B
-3.87%9.37B
-2.46%9.75B
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
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion with Explanatory Notes
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
(FY)Dec 31, 2023(FY)Dec 31, 2022(FY)Dec 31, 2021(FY)Dec 31, 2020(FY)Dec 31, 2019(FY)Dec 31, 2018(FY)Dec 31, 2017(FY)Dec 31, 2016(FY)Dec 31, 2015(FY)Dec 31, 2014
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -0.25%13.27B-10.14%13.3B36.94%14.8B-19.33%10.81B-5.54%13.4B-4.95%14.18B47.58%14.92B-28.40%10.11B-0.16%14.12B2.02%14.14B
Net income from continuing operations -9.29%6.89B24.26%7.6B4,059.18%6.11B-98.53%147M93.72%9.99B-40.08%5.16B210.80%8.61B-71.94%2.77B-12.70%9.87B-31.58%11.3B
Operating gains losses -183.09%-516M350.40%621M-58.97%-248M53.43%-156M-31.37%-335M56.11%-255M-35.12%-581M23.35%-430M-150.45%-561M44.55%-224M
Depreciation and amortization 6.56%5.41B0.51%5.08B4.62%5.05B3.69%4.83B0.71%4.66B-0.02%4.62B33.02%4.63B10.28%3.48B-5.96%3.15B12.33%3.35B
Deferred tax 15.87%2.23B-17.96%1.93B21.64%2.35B-30.65%1.93B7.78%2.79B55.91%2.59B2.79%1.66B-37.82%1.61B3.80%2.59B23.96%2.5B
Other non cash items 26.83%5.74B-2.77%4.52B-21.44%4.65B133.37%5.92B-66.97%2.54B32.77%7.69B-25.87%5.79B1,169.59%7.81B-8.35%615M-53.56%671M
Change In working capital -345.09%-1.54B-114.07%-346M315.37%2.46B11,940.00%592M-101.05%-5M253.33%477M-21.97%135M-90.31%173M119.14%1.79B-5.89%815M
-Change in receivables -2,289.58%-1.15B-129.27%-48M-68.22%164M300.00%516M-145.71%-258M-207.14%-105M113.73%98M-417.39%-714M62.80%-138M-1,384.00%-371M
-Change in inventory 146.35%717M-25.57%-1.55B-188.52%-1.23B-0.23%-427M27.55%-426M-130.59%-588M29.95%-255M14.15%-364M-19.77%-424M-174.42%-354M
-Change in payables and accrued expense -188.87%-1.11B-64.59%1.25B601.19%3.53B-25.92%503M-41.97%679M300.68%1.17B-76.66%292M-46.72%1.25B52.47%2.35B50.98%1.54B
Cash from discontinued investing activities -86.88%84M-27.52%640M883M
Operating cash flow -0.25%13.27B-10.14%13.3B35.88%14.8B-22.41%10.89B-6.82%14.04B0.97%15.06B47.58%14.92B-28.40%10.11B-0.16%14.12B2.02%14.14B
Investing cash flow
Cash flow from continuing investing activities 5.76%-4.35B21.39%-4.62B-192.57%-5.88B230.80%6.35B-25.85%-4.85B-149.04%-3.86B113.09%7.87B-1,118.60%-60.08B55.42%-4.93B-8.62%-11.06B
Net PPE purchase and sale 7.36%-4.48B12.00%-4.84B-49.12%-5.5B24.04%-3.69B-6.26%-4.85B-10.28%-4.57B13.13%-4.14B-9.94%-4.77B-5.22%-4.34B-14.12%-4.12B
Net business purchase and sale 112.86%9M84.23%-70M-104.30%-444M31,396.97%10.33B-119.08%-33M-98.45%173M122.50%11.17B-5,304.79%-49.62B86.43%-918M61.11%-6.77B
Net investment purchase and sale ------------------------177.68%4.34B-3,403.55%-5.58B190.37%169M-102.79%-187M
Net other investing changes -58.68%119M350.00%288M121.92%64M-984.85%-292M-93.87%33M115.39%538M-3,078.18%-3.5B-170.51%-110M1,014.29%156M-99.66%14M
Cash from discontinued investing activities
Investing cash flow 5.76%-4.35B21.40%-4.62B-192.77%-5.88B228.49%6.34B-24.33%-4.93B-150.43%-3.97B113.09%7.87B-1,118.60%-60.08B55.42%-4.93B-8.62%-11.06B
Financing cash flow
Cash flow from continuing financing activities 19.06%-8.6B8.43%-10.62B-36.95%-11.6B3.00%-8.47B39.06%-8.73B32.84%-14.33B-142.05%-21.33B646.61%50.73B-135.14%-9.28B-1,730.99%-3.95B
Net issuance payments of debt 52.77%-3.68B13.91%-7.78B-3.28%-9.04B-3.62%-8.76B-64.70%-8.45B50.45%-5.13B-116.52%-10.35B13,614.44%62.68B-85.82%457M-27.70%3.22B
Net common stock issuance ---362M--0--0------5.58B--0--0-----1,298.80%-995M13.70%83M
Cash dividends paid -23.38%-3.01B-3.30%-2.44B-31.33%-2.36B64.11%-1.8B35.38%-5.02B16.32%-7.76B-9.76%-9.28B-6.08%-8.45B-7.65%-7.97B-18.34%-7.4B
Net other financing activities -292.13%-1.55B-105.21%-394M-109.20%-192M347.74%2.09B41.36%-842M15.78%-1.44B51.20%-1.71B-349.68%-3.49B-628.57%-777M-92.52%147M
Cash from discontinued financing activities 75.00%-6M-26.32%-24M-19M
Financing cash flow 19.06%-8.6B8.43%-10.62B-36.85%-11.6B3.20%-8.48B38.97%-8.76B32.76%-14.35B-142.05%-21.33B646.61%50.73B-135.14%-9.28B-1,730.99%-3.95B
Net cash flow
Beginning cash position -17.88%9.89B-21.01%12.04B112.68%15.25B3.00%7.17B-32.79%6.96B23.36%10.36B21.49%8.4B-16.91%6.91B-15.43%8.32B39.46%9.83B
Current changes in cash 116.22%315M27.48%-1.94B-130.60%-2.68B2,400.57%8.75B110.78%350M-242.52%-3.25B198.30%2.28B948.89%764M89.57%-90M-121.99%-863M
Effect of exchange rate changes 151.66%109M59.89%-211M21.96%-526M-378.01%-674M4.73%-141M53.61%-148M-144.24%-319M154.79%721M-101.22%-1.32B42.73%-654M
End cash Position 4.29%10.31B-17.88%9.89B-21.01%12.04B112.68%15.25B3.00%7.17B-32.79%6.96B23.35%10.36B21.49%8.4B-16.91%6.91B-15.43%8.32B
Free cash flow 6.01%8.63B-11.15%8.14B28.82%9.16B-19.77%7.11B-11.90%8.86B-1.77%10.06B99.57%10.24B-45.25%5.13B-3.87%9.37B-2.46%9.75B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified Opinion with Explanatory NotesUnqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified Opinion

Analysis

Analyst Rating

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Price Target

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