US Stock MarketDetailed Quotes

CMBT Euronav

Watchlist
  • 16.930
  • -0.190-1.11%
Close Aug 9 16:00 ET
  • 16.830
  • -0.100-0.59%
Post 20:01 ET
3.29BMarket Cap2.82P/E (TTM)

Euronav 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
Assets
Current assets
Cash, cash equivalents and short term investments
109.02%343.9M
143.18%508.85M
138.63%429.37M
138.63%429.37M
-21.24%160.4M
-40.65%164.53M
23.39%209.25M
17.96%179.93M
17.96%179.93M
25.57%203.67M
-Cash and cash equivalents
109.02%343.9M
143.18%508.85M
138.63%429.37M
138.63%429.37M
-21.24%160.4M
-40.65%164.53M
23.39%209.25M
17.96%179.93M
17.96%179.93M
25.57%203.67M
Receivables
-40.16%246.82M
-21.21%305.77M
-12.87%286.82M
-12.87%286.82M
24.90%386.46M
75.45%412.5M
44.07%388.08M
53.39%329.18M
53.39%329.18M
-29.06%309.41M
-Accounts receivable
-45.40%224.97M
-22.02%302.47M
-14.30%257.88M
-14.30%257.88M
24.67%385.66M
96.15%412.05M
44.04%387.87M
54.02%300.92M
54.02%300.92M
-29.06%309.35M
-Accrued interest receivable
--835K
----
-41.95%1.35M
-41.95%1.35M
----
----
----
301.55%2.33M
301.55%2.33M
----
-Taxes receivable
658.11%3.37M
1,479.43%3.3M
263.60%869K
263.60%869K
1,255.93%800K
678.95%444K
186.30%209K
141.41%239K
141.41%239K
-57.55%59K
-Other receivables
--17.65M
----
3.94%26.71M
3.94%26.71M
----
----
----
38.55%25.7M
38.55%25.7M
----
Inventory
-24.21%32.79M
-32.10%30.35M
-45.94%22.51M
-45.94%22.51M
-50.78%33.9M
-9.21%43.26M
-52.44%44.69M
-39.68%41.64M
-39.68%41.64M
159.14%68.88M
Current deferred assets
--36.13M
----
-9.54%19.88M
-9.54%19.88M
----
----
----
-5.44%21.98M
-5.44%21.98M
----
Total current assets
30.34%843.84M
44.11%925.22M
168.79%1.63B
168.79%1.63B
-14.10%580.77M
1.36%647.4M
-11.79%642.02M
32.14%607.06M
32.14%607.06M
8.18%676.1M
Non current assets
Net PPE
-18.97%2.74B
-19.75%2.72B
-46.51%1.77B
-46.51%1.77B
2.00%3.38B
-0.28%3.38B
13.02%3.38B
4.07%3.31B
4.07%3.31B
3.33%3.31B
-Gross PPE
25.52%4.24B
-19.75%2.72B
-35.40%3.43B
-35.40%3.43B
2.00%3.38B
-39.48%3.38B
13.02%3.38B
3.90%5.32B
3.90%5.32B
3.33%3.31B
-Accumulated depreciation
---1.5B
----
17.08%-1.66B
17.08%-1.66B
----
----
----
-3.63%-2.01B
-3.63%-2.01B
----
Goodwill and other intangible assets
11.15%16.66M
12.14%17.24M
-9.86%14.19M
-9.86%14.19M
-9.71%14.58M
-9.54%14.99M
9,630.38%15.37M
8,365.59%15.75M
8,365.59%15.75M
11,604.35%16.15M
-Other intangible assets
--16.66M
----
-9.86%14.19M
-9.86%14.19M
----
----
----
--15.75M
--15.75M
----
Investments and advances
4,203.44%61.24M
832.89%13.28M
-63.55%519K
-63.55%519K
-55.56%1.42M
-33.10%1.42M
-98.26%1.42M
-98.03%1.42M
-98.03%1.42M
-95.19%3.2M
Long-term notes receivables
--11.81M
----
-91.67%2K
-91.67%2K
----
----
----
-99.92%24K
-99.92%24K
----
Non current accounts receivable
-83.31%5.01M
130.32%65.22M
-82.73%2.89M
-82.73%2.89M
-27.05%28.29M
67.05%30.04M
-55.71%28.32M
-12.08%16.71M
-12.08%16.71M
-28.63%38.78M
Financial assets
--1.01M
----
--0
--0
----
----
----
183.03%18.09M
183.03%18.09M
----
Non current deferred assets
13.40%5.6M
3.60%5.76M
-80.04%280K
-80.04%280K
-79.11%295K
225.35%4.94M
261.48%5.56M
-9.25%1.4M
-9.25%1.4M
-36.77%1.41M
Non current prepaid assets
469.79%1.89M
565.96%1.88M
----
----
--1.23M
--331K
--282K
----
----
----
Other non current assets
--46.17M
----
----
----
----
----
----
--1K
--1K
----
Total non current assets
-15.84%2.89B
-17.93%2.82B
-46.83%1.79B
-46.83%1.79B
1.55%3.42B
-0.53%3.43B
9.35%3.44B
1.60%3.36B
1.60%3.36B
1.29%3.37B
Total assets
-8.51%3.73B
-8.16%3.74B
-13.85%3.42B
-13.85%3.42B
-1.06%4B
-0.23%4.08B
5.37%4.08B
5.32%3.97B
5.32%3.97B
2.38%4.05B
Liabilities
Current liabilities
Payables
-69.14%48.33M
94.14%217.41M
98.72%64.8M
98.72%64.8M
-13.52%115.72M
233.28%156.63M
8.01%111.99M
8.76%32.61M
8.76%32.61M
33.85%133.81M
-accounts payable
-73.88%40.5M
101.19%211.54M
70.20%42.03M
70.20%42.03M
-11.65%113.23M
280.15%155.05M
1.92%105.14M
-5.06%24.7M
-5.06%24.7M
29.40%128.15M
-Total tax payable
349.15%7.11M
-14.26%5.87M
-19.55%4.77M
-19.55%4.77M
-55.93%2.5M
-61.89%1.58M
1,196.59%6.85M
1,519.40%5.93M
1,519.40%5.93M
504.81%5.66M
-Dividends payable
--541K
----
2,880.07%16.3M
2,880.07%16.3M
----
----
----
-1.44%547K
-1.44%547K
----
-Other payable
--183K
----
18.18%1.7M
18.18%1.7M
----
----
----
-52.75%1.44M
-52.75%1.44M
----
Current accrued expenses
--30.5M
----
0.82%46.62M
0.82%46.62M
----
----
----
-1.08%46.24M
-1.08%46.24M
----
Current provisions
0.65%310K
5.65%318K
9.83%324K
9.83%324K
10.10%316K
10.79%308K
11.48%301K
12.60%295K
12.60%295K
13.44%287K
Current debt and capital lease obligation
119.86%512.39M
132.96%415.65M
87.54%295.65M
87.54%295.65M
7.54%210.12M
29.45%233.06M
-35.24%178.42M
-33.34%157.65M
-33.34%157.65M
-60.42%195.39M
-Current debt
131.66%509.47M
157.76%412.31M
94.49%262.16M
94.49%262.16M
18.91%202.59M
41.64%219.93M
-37.57%159.96M
-37.07%134.79M
-37.07%134.79M
-63.18%170.37M
-Current capital lease obligation
-77.77%2.92M
-81.88%3.35M
46.55%33.49M
46.55%33.49M
-69.90%7.53M
-46.98%13.13M
-4.35%18.47M
2.53%22.86M
2.53%22.86M
-19.02%25.02M
Current deferred liabilities
--22.5M
----
-1.07%17.36M
-1.07%17.36M
----
----
----
132.50%17.54M
132.50%17.54M
----
Other current liabilities
----
--608K
----
----
----
----
----
----
----
----
Current liabilities
57.45%614.03M
118.08%633.99M
67.00%424.75M
67.00%424.75M
-1.01%326.16M
27.91%390M
-23.39%290.71M
-20.78%254.34M
-20.78%254.34M
-44.52%329.49M
Non current liabilities
Long term provisions
-71.26%125K
-62.48%191K
-54.10%274K
-54.10%274K
-47.31%353K
-41.45%435K
-22.53%509K
-33.07%597K
-33.07%597K
-29.92%670K
Long term debt and capital lease obligation
22.20%1.89B
-19.20%1.17B
-58.73%635.07M
-58.73%635.07M
-10.48%1.58B
-16.50%1.55B
-6.64%1.45B
4.27%1.54B
4.27%1.54B
34.20%1.77B
-Long term debt
22.44%1.89B
-19.22%1.16B
-58.79%631.7M
-58.79%631.7M
-10.23%1.58B
-16.06%1.54B
-6.08%1.44B
5.06%1.53B
5.06%1.53B
35.61%1.76B
-Long term capital lease obligation
-55.09%2.18M
-11.23%3.75M
-42.26%3.36M
-42.26%3.36M
-57.33%4.08M
-68.82%4.86M
-69.28%4.23M
-65.25%5.82M
-65.25%5.82M
-54.04%9.56M
Non current deferred liabilities
--13K
--110K
----
----
----
----
----
----
----
----
Employee benefits
-29.32%1.16M
1.83%1.67M
2.08%1.67M
2.08%1.67M
-44.27%1.64M
-84.07%1.64M
-79.67%1.64M
-76.09%1.64M
-76.09%1.64M
-67.03%2.93M
Derivative product liabilities
--0
----
-63.86%146K
-63.86%146K
----
----
----
-86.47%404K
-86.47%404K
----
Total non current liabilities
22.09%1.89B
-19.29%1.17B
-58.66%637.15M
-58.66%637.15M
-10.59%1.59B
-16.89%1.55B
-6.96%1.45B
3.66%1.54B
3.66%1.54B
33.08%1.77B
Total liabilities
29.20%2.5B
3.66%1.8B
-40.86%1.06B
-40.86%1.06B
-9.09%1.91B
-10.59%1.94B
-10.18%1.74B
-0.68%1.8B
-0.68%1.8B
9.15%2.1B
Shareholders'equity
Share capital
0.00%239.15M
0.00%239.15M
0.00%239.15M
0.00%239.15M
0.00%239.15M
0.00%239.15M
0.00%239.15M
0.00%239.15M
0.00%239.15M
0.00%239.15M
-common stock
0.00%239.15M
0.00%239.15M
0.00%239.15M
0.00%239.15M
0.00%239.15M
0.00%239.15M
0.00%239.15M
0.00%239.15M
0.00%239.15M
0.00%239.15M
Retained earnings
13.11%638.31M
-9.04%506.2M
109.32%807.92M
109.32%807.92M
242.43%518.55M
327.43%564.31M
306.45%556.53M
114.26%385.98M
114.26%385.98M
-39.59%151.43M
Paid-in capital
-56.95%631.4M
-12.62%1.47B
-12.62%1.47B
-12.62%1.47B
-12.93%1.47B
-13.25%1.47B
-1.42%1.68B
-1.42%1.68B
-1.42%1.68B
-1.07%1.68B
Less: Treasury stock
76.14%284.51M
67.56%273.16M
-3.33%157.6M
-3.33%157.6M
-0.92%161.52M
-0.92%161.52M
-0.66%163.02M
-0.66%163.02M
-0.66%163.02M
-0.66%163.02M
Gains losses not affecting retained earnings
-92.60%2.33M
-91.79%2.15M
-95.84%1.38M
-95.84%1.38M
-8.03%30.03M
47.22%31.53M
48.16%26.24M
1,059.32%33.03M
1,059.32%33.03M
2,118.23%32.66M
Total stockholders'equity
-42.68%1.23B
-16.96%1.94B
8.46%2.36B
8.46%2.36B
7.62%2.09B
11.46%2.14B
20.96%2.34B
10.86%2.17B
10.86%2.17B
-4.05%1.94B
Total equity
-42.68%1.23B
-16.96%1.94B
8.46%2.36B
8.46%2.36B
7.62%2.09B
11.46%2.14B
20.96%2.34B
10.86%2.17B
10.86%2.17B
-4.05%1.94B
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 with Explanatory Notes
--
--
--
--
Unqualified Opinion
--
--
(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
Assets
Current assets
Cash, cash equivalents and short term investments 109.02%343.9M143.18%508.85M138.63%429.37M138.63%429.37M-21.24%160.4M-40.65%164.53M23.39%209.25M17.96%179.93M17.96%179.93M25.57%203.67M
-Cash and cash equivalents 109.02%343.9M143.18%508.85M138.63%429.37M138.63%429.37M-21.24%160.4M-40.65%164.53M23.39%209.25M17.96%179.93M17.96%179.93M25.57%203.67M
Receivables -40.16%246.82M-21.21%305.77M-12.87%286.82M-12.87%286.82M24.90%386.46M75.45%412.5M44.07%388.08M53.39%329.18M53.39%329.18M-29.06%309.41M
-Accounts receivable -45.40%224.97M-22.02%302.47M-14.30%257.88M-14.30%257.88M24.67%385.66M96.15%412.05M44.04%387.87M54.02%300.92M54.02%300.92M-29.06%309.35M
-Accrued interest receivable --835K-----41.95%1.35M-41.95%1.35M------------301.55%2.33M301.55%2.33M----
-Taxes receivable 658.11%3.37M1,479.43%3.3M263.60%869K263.60%869K1,255.93%800K678.95%444K186.30%209K141.41%239K141.41%239K-57.55%59K
-Other receivables --17.65M----3.94%26.71M3.94%26.71M------------38.55%25.7M38.55%25.7M----
Inventory -24.21%32.79M-32.10%30.35M-45.94%22.51M-45.94%22.51M-50.78%33.9M-9.21%43.26M-52.44%44.69M-39.68%41.64M-39.68%41.64M159.14%68.88M
Current deferred assets --36.13M-----9.54%19.88M-9.54%19.88M-------------5.44%21.98M-5.44%21.98M----
Total current assets 30.34%843.84M44.11%925.22M168.79%1.63B168.79%1.63B-14.10%580.77M1.36%647.4M-11.79%642.02M32.14%607.06M32.14%607.06M8.18%676.1M
Non current assets
Net PPE -18.97%2.74B-19.75%2.72B-46.51%1.77B-46.51%1.77B2.00%3.38B-0.28%3.38B13.02%3.38B4.07%3.31B4.07%3.31B3.33%3.31B
-Gross PPE 25.52%4.24B-19.75%2.72B-35.40%3.43B-35.40%3.43B2.00%3.38B-39.48%3.38B13.02%3.38B3.90%5.32B3.90%5.32B3.33%3.31B
-Accumulated depreciation ---1.5B----17.08%-1.66B17.08%-1.66B-------------3.63%-2.01B-3.63%-2.01B----
Goodwill and other intangible assets 11.15%16.66M12.14%17.24M-9.86%14.19M-9.86%14.19M-9.71%14.58M-9.54%14.99M9,630.38%15.37M8,365.59%15.75M8,365.59%15.75M11,604.35%16.15M
-Other intangible assets --16.66M-----9.86%14.19M-9.86%14.19M--------------15.75M--15.75M----
Investments and advances 4,203.44%61.24M832.89%13.28M-63.55%519K-63.55%519K-55.56%1.42M-33.10%1.42M-98.26%1.42M-98.03%1.42M-98.03%1.42M-95.19%3.2M
Long-term notes receivables --11.81M-----91.67%2K-91.67%2K-------------99.92%24K-99.92%24K----
Non current accounts receivable -83.31%5.01M130.32%65.22M-82.73%2.89M-82.73%2.89M-27.05%28.29M67.05%30.04M-55.71%28.32M-12.08%16.71M-12.08%16.71M-28.63%38.78M
Financial assets --1.01M------0--0------------183.03%18.09M183.03%18.09M----
Non current deferred assets 13.40%5.6M3.60%5.76M-80.04%280K-80.04%280K-79.11%295K225.35%4.94M261.48%5.56M-9.25%1.4M-9.25%1.4M-36.77%1.41M
Non current prepaid assets 469.79%1.89M565.96%1.88M----------1.23M--331K--282K------------
Other non current assets --46.17M--------------------------1K--1K----
Total non current assets -15.84%2.89B-17.93%2.82B-46.83%1.79B-46.83%1.79B1.55%3.42B-0.53%3.43B9.35%3.44B1.60%3.36B1.60%3.36B1.29%3.37B
Total assets -8.51%3.73B-8.16%3.74B-13.85%3.42B-13.85%3.42B-1.06%4B-0.23%4.08B5.37%4.08B5.32%3.97B5.32%3.97B2.38%4.05B
Liabilities
Current liabilities
Payables -69.14%48.33M94.14%217.41M98.72%64.8M98.72%64.8M-13.52%115.72M233.28%156.63M8.01%111.99M8.76%32.61M8.76%32.61M33.85%133.81M
-accounts payable -73.88%40.5M101.19%211.54M70.20%42.03M70.20%42.03M-11.65%113.23M280.15%155.05M1.92%105.14M-5.06%24.7M-5.06%24.7M29.40%128.15M
-Total tax payable 349.15%7.11M-14.26%5.87M-19.55%4.77M-19.55%4.77M-55.93%2.5M-61.89%1.58M1,196.59%6.85M1,519.40%5.93M1,519.40%5.93M504.81%5.66M
-Dividends payable --541K----2,880.07%16.3M2,880.07%16.3M-------------1.44%547K-1.44%547K----
-Other payable --183K----18.18%1.7M18.18%1.7M-------------52.75%1.44M-52.75%1.44M----
Current accrued expenses --30.5M----0.82%46.62M0.82%46.62M-------------1.08%46.24M-1.08%46.24M----
Current provisions 0.65%310K5.65%318K9.83%324K9.83%324K10.10%316K10.79%308K11.48%301K12.60%295K12.60%295K13.44%287K
Current debt and capital lease obligation 119.86%512.39M132.96%415.65M87.54%295.65M87.54%295.65M7.54%210.12M29.45%233.06M-35.24%178.42M-33.34%157.65M-33.34%157.65M-60.42%195.39M
-Current debt 131.66%509.47M157.76%412.31M94.49%262.16M94.49%262.16M18.91%202.59M41.64%219.93M-37.57%159.96M-37.07%134.79M-37.07%134.79M-63.18%170.37M
-Current capital lease obligation -77.77%2.92M-81.88%3.35M46.55%33.49M46.55%33.49M-69.90%7.53M-46.98%13.13M-4.35%18.47M2.53%22.86M2.53%22.86M-19.02%25.02M
Current deferred liabilities --22.5M-----1.07%17.36M-1.07%17.36M------------132.50%17.54M132.50%17.54M----
Other current liabilities ------608K--------------------------------
Current liabilities 57.45%614.03M118.08%633.99M67.00%424.75M67.00%424.75M-1.01%326.16M27.91%390M-23.39%290.71M-20.78%254.34M-20.78%254.34M-44.52%329.49M
Non current liabilities
Long term provisions -71.26%125K-62.48%191K-54.10%274K-54.10%274K-47.31%353K-41.45%435K-22.53%509K-33.07%597K-33.07%597K-29.92%670K
Long term debt and capital lease obligation 22.20%1.89B-19.20%1.17B-58.73%635.07M-58.73%635.07M-10.48%1.58B-16.50%1.55B-6.64%1.45B4.27%1.54B4.27%1.54B34.20%1.77B
-Long term debt 22.44%1.89B-19.22%1.16B-58.79%631.7M-58.79%631.7M-10.23%1.58B-16.06%1.54B-6.08%1.44B5.06%1.53B5.06%1.53B35.61%1.76B
-Long term capital lease obligation -55.09%2.18M-11.23%3.75M-42.26%3.36M-42.26%3.36M-57.33%4.08M-68.82%4.86M-69.28%4.23M-65.25%5.82M-65.25%5.82M-54.04%9.56M
Non current deferred liabilities --13K--110K--------------------------------
Employee benefits -29.32%1.16M1.83%1.67M2.08%1.67M2.08%1.67M-44.27%1.64M-84.07%1.64M-79.67%1.64M-76.09%1.64M-76.09%1.64M-67.03%2.93M
Derivative product liabilities --0-----63.86%146K-63.86%146K-------------86.47%404K-86.47%404K----
Total non current liabilities 22.09%1.89B-19.29%1.17B-58.66%637.15M-58.66%637.15M-10.59%1.59B-16.89%1.55B-6.96%1.45B3.66%1.54B3.66%1.54B33.08%1.77B
Total liabilities 29.20%2.5B3.66%1.8B-40.86%1.06B-40.86%1.06B-9.09%1.91B-10.59%1.94B-10.18%1.74B-0.68%1.8B-0.68%1.8B9.15%2.1B
Shareholders'equity
Share capital 0.00%239.15M0.00%239.15M0.00%239.15M0.00%239.15M0.00%239.15M0.00%239.15M0.00%239.15M0.00%239.15M0.00%239.15M0.00%239.15M
-common stock 0.00%239.15M0.00%239.15M0.00%239.15M0.00%239.15M0.00%239.15M0.00%239.15M0.00%239.15M0.00%239.15M0.00%239.15M0.00%239.15M
Retained earnings 13.11%638.31M-9.04%506.2M109.32%807.92M109.32%807.92M242.43%518.55M327.43%564.31M306.45%556.53M114.26%385.98M114.26%385.98M-39.59%151.43M
Paid-in capital -56.95%631.4M-12.62%1.47B-12.62%1.47B-12.62%1.47B-12.93%1.47B-13.25%1.47B-1.42%1.68B-1.42%1.68B-1.42%1.68B-1.07%1.68B
Less: Treasury stock 76.14%284.51M67.56%273.16M-3.33%157.6M-3.33%157.6M-0.92%161.52M-0.92%161.52M-0.66%163.02M-0.66%163.02M-0.66%163.02M-0.66%163.02M
Gains losses not affecting retained earnings -92.60%2.33M-91.79%2.15M-95.84%1.38M-95.84%1.38M-8.03%30.03M47.22%31.53M48.16%26.24M1,059.32%33.03M1,059.32%33.03M2,118.23%32.66M
Total stockholders'equity -42.68%1.23B-16.96%1.94B8.46%2.36B8.46%2.36B7.62%2.09B11.46%2.14B20.96%2.34B10.86%2.17B10.86%2.17B-4.05%1.94B
Total equity -42.68%1.23B-16.96%1.94B8.46%2.36B8.46%2.36B7.62%2.09B11.46%2.14B20.96%2.34B10.86%2.17B10.86%2.17B-4.05%1.94B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion----

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