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CNC Centene

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  • 59.420
  • +1.420+2.45%
Close Dec 13 16:00 ET
  • 59.420
  • 0.0000.00%
Post 20:01 ET
30.00BMarket Cap10.26P/E (TTM)

Centene 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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-195.79%-978M
-14.57%2.18B
-110.68%-456M
28.62%8.05B
113.77%217M
-69.36%1.02B
-24.09%2.55B
270.89%4.27B
48.89%6.26B
-333.48%-1.58B
Net income from continuing operations
49.47%710M
8.63%1.15B
2.48%1.16B
124.54%2.7B
117.81%39M
-35.81%475M
716.96%1.06B
32.63%1.13B
-10.03%1.2B
-136.93%-219M
Operating gains losses
--0
94.62%-5M
-24.05%-98M
73.61%-152M
142.55%20M
--0
-615.38%-93M
-2,533.33%-79M
-1,275.51%-576M
65.94%-47M
Depreciation and amortization
-4.57%313M
-5.85%306M
-5.23%308M
-9.58%1.29B
-10.26%315M
-9.14%328M
-0.91%325M
-16.67%325M
7.12%1.43B
48.10%351M
Deferred tax
-114.94%-26M
-6,300.00%-64M
165.41%104M
87.64%-78M
-280.39%-92M
165.66%174M
99.77%-1M
-1,425.00%-159M
-378.03%-631M
363.64%51M
Other non cash items
-90.00%9M
-114.75%-9M
-128.57%-2M
621.21%172M
107.11%14M
2,150.00%90M
-55.80%61M
-68.18%7M
90.06%-33M
-1,058.82%-197M
Change In working capital
-279.29%-2.03B
-34.31%739M
-167.78%-2.01B
45.62%3.37B
91.67%-179M
-120.11%-536M
-43.52%1.13B
1,643.75%2.96B
52.74%2.32B
-2,368.97%-2.15B
-Change in receivables
16.52%-1.68B
-90.61%152M
37.51%-1.21B
-46.28%-2.38B
85.55%-51M
-14,457.14%-2.01B
-10.60%1.62B
37.46%-1.94B
33.67%-1.63B
51.64%-353M
-Change in payables and accrued expense
-52.13%1.2B
68.49%-293M
-191.15%-1.41B
707.13%3.4B
202.26%271M
288.99%2.51B
-1.53%-930M
61.76%1.55B
-63.10%421M
-279.05%-265M
-Change in other current assets
117.12%482M
800.00%70M
-50.48%-474M
-96.09%5M
550.00%108M
-44.08%222M
-118.52%-10M
-5.35%-315M
229.29%128M
-196.00%-24M
-Change in other current liabilities
-69.90%-2.1B
81.26%890M
-35.16%1.12B
-34.64%2.12B
183.25%1.13B
-301.30%-1.24B
-49.85%491M
-20.25%1.73B
11.88%3.24B
48.15%400M
-Change in other working capital
395.24%62M
-77.78%-80M
-101.75%-34M
50.00%234M
13.96%-1.64B
-101.10%-21M
-170.31%-45M
2,295.06%1.94B
372.73%156M
-1,053.00%-1.91B
Cash from discontinued investing activities
Operating cash flow
-195.79%-978M
-14.57%2.18B
-110.68%-456M
28.62%8.05B
113.77%217M
-69.36%1.02B
-24.09%2.55B
270.89%4.27B
48.89%6.26B
-333.48%-1.58B
Investing cash flow
Cash flow from continuing investing activities
-292.87%-839M
-175.24%-1.17B
436.76%852M
59.23%-1.19B
-529.41%-949M
14,400.00%435M
43.01%-424M
89.46%-253M
11.46%-2.92B
125.79%221M
Capital expenditure reported
-12.50%-153M
13.49%-186M
32.89%-151M
20.42%-799M
4.29%-223M
44.94%-136M
23.76%-215M
7.02%-225M
-10.33%-1B
6.05%-233M
Net business purchase and sale
--0
-64.60%80M
98.42%879M
-30.48%707M
-98.47%17M
-98.52%21M
2,925.00%226M
129.45%443M
318.24%1.02B
755.38%1.11B
Net investment purchase and sale
-224.73%-686M
-143.91%-1.06B
126.33%124M
62.54%-1.1B
-12.92%-743M
147.13%550M
4.61%-435M
27.87%-471M
-51.08%-2.93B
13.19%-658M
Cash from discontinued investing activities
Investing cash flow
-292.87%-839M
-175.24%-1.17B
436.76%852M
59.23%-1.19B
-529.41%-949M
14,400.00%435M
43.01%-424M
89.46%-253M
11.46%-2.92B
125.79%221M
Financing cash flow
Cash flow from continuing financing activities
-137.60%-1.25B
-56.13%-1.17B
112.57%23M
60.50%-1.66B
88.39%-201M
64.62%-524M
-54.32%-750M
63.25%-183M
-408.15%-4.2B
-637.02%-1.73B
Net issuance payments of debt
-112.03%-29M
-15.24%-378M
-43.21%163M
101.68%19M
33.21%-181M
191.63%241M
-129.37%-328M
163.36%287M
-161.65%-1.13B
-275.97%-271M
Net common stock issuance
-59.24%-1.22B
-100.00%-792M
66.67%-137M
47.49%-1.59B
98.67%-19M
37.41%-763M
-17.16%-396M
-834.09%-411M
-1,054.96%-3.03B
-569.01%-1.43B
Net other financing activities
50.00%-1M
96.15%-1M
94.92%-3M
-114.63%-88M
97.22%-1M
-300.00%-2M
-420.00%-26M
-5,800.00%-59M
80.38%-41M
79.55%-36M
Cash from discontinued financing activities
Financing cash flow
-137.60%-1.25B
-56.13%-1.17B
112.57%23M
60.50%-1.66B
88.39%-201M
64.62%-524M
-54.32%-750M
63.25%-183M
-408.15%-4.2B
-637.02%-1.73B
Net cash flow
Beginning cash position
1.07%17.72B
10.59%17.88B
41.54%17.45B
-6.69%12.33B
21.26%18.45B
29.06%17.53B
40.58%16.17B
-6.69%12.33B
20.60%13.21B
11.60%15.22B
Current changes in cash
-428.54%-3.06B
-111.88%-163M
-89.07%419M
707.23%5.2B
69.78%-933M
-49.73%932M
-35.40%1.37B
319.28%3.83B
-137.79%-857M
-640.29%-3.09B
Effect of exchange rate changes
--0
111.11%1M
200.00%6M
-190.91%-32M
-296.15%-51M
192.86%26M
78.57%-9M
-93.94%2M
0.00%-11M
966.67%26M
End cash Position
-20.60%14.65B
1.07%17.72B
10.59%17.88B
41.54%17.45B
41.54%17.45B
21.26%18.45B
29.06%17.53B
40.58%16.17B
-6.69%12.33B
-6.69%12.33B
Free cash flow
-227.80%-1.13B
-14.67%1.99B
-115.01%-607M
37.99%7.25B
99.67%-6M
-71.31%885M
-24.12%2.33B
344.88%4.04B
59.54%5.26B
-523.65%-1.81B
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
--
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -195.79%-978M-14.57%2.18B-110.68%-456M28.62%8.05B113.77%217M-69.36%1.02B-24.09%2.55B270.89%4.27B48.89%6.26B-333.48%-1.58B
Net income from continuing operations 49.47%710M8.63%1.15B2.48%1.16B124.54%2.7B117.81%39M-35.81%475M716.96%1.06B32.63%1.13B-10.03%1.2B-136.93%-219M
Operating gains losses --094.62%-5M-24.05%-98M73.61%-152M142.55%20M--0-615.38%-93M-2,533.33%-79M-1,275.51%-576M65.94%-47M
Depreciation and amortization -4.57%313M-5.85%306M-5.23%308M-9.58%1.29B-10.26%315M-9.14%328M-0.91%325M-16.67%325M7.12%1.43B48.10%351M
Deferred tax -114.94%-26M-6,300.00%-64M165.41%104M87.64%-78M-280.39%-92M165.66%174M99.77%-1M-1,425.00%-159M-378.03%-631M363.64%51M
Other non cash items -90.00%9M-114.75%-9M-128.57%-2M621.21%172M107.11%14M2,150.00%90M-55.80%61M-68.18%7M90.06%-33M-1,058.82%-197M
Change In working capital -279.29%-2.03B-34.31%739M-167.78%-2.01B45.62%3.37B91.67%-179M-120.11%-536M-43.52%1.13B1,643.75%2.96B52.74%2.32B-2,368.97%-2.15B
-Change in receivables 16.52%-1.68B-90.61%152M37.51%-1.21B-46.28%-2.38B85.55%-51M-14,457.14%-2.01B-10.60%1.62B37.46%-1.94B33.67%-1.63B51.64%-353M
-Change in payables and accrued expense -52.13%1.2B68.49%-293M-191.15%-1.41B707.13%3.4B202.26%271M288.99%2.51B-1.53%-930M61.76%1.55B-63.10%421M-279.05%-265M
-Change in other current assets 117.12%482M800.00%70M-50.48%-474M-96.09%5M550.00%108M-44.08%222M-118.52%-10M-5.35%-315M229.29%128M-196.00%-24M
-Change in other current liabilities -69.90%-2.1B81.26%890M-35.16%1.12B-34.64%2.12B183.25%1.13B-301.30%-1.24B-49.85%491M-20.25%1.73B11.88%3.24B48.15%400M
-Change in other working capital 395.24%62M-77.78%-80M-101.75%-34M50.00%234M13.96%-1.64B-101.10%-21M-170.31%-45M2,295.06%1.94B372.73%156M-1,053.00%-1.91B
Cash from discontinued investing activities
Operating cash flow -195.79%-978M-14.57%2.18B-110.68%-456M28.62%8.05B113.77%217M-69.36%1.02B-24.09%2.55B270.89%4.27B48.89%6.26B-333.48%-1.58B
Investing cash flow
Cash flow from continuing investing activities -292.87%-839M-175.24%-1.17B436.76%852M59.23%-1.19B-529.41%-949M14,400.00%435M43.01%-424M89.46%-253M11.46%-2.92B125.79%221M
Capital expenditure reported -12.50%-153M13.49%-186M32.89%-151M20.42%-799M4.29%-223M44.94%-136M23.76%-215M7.02%-225M-10.33%-1B6.05%-233M
Net business purchase and sale --0-64.60%80M98.42%879M-30.48%707M-98.47%17M-98.52%21M2,925.00%226M129.45%443M318.24%1.02B755.38%1.11B
Net investment purchase and sale -224.73%-686M-143.91%-1.06B126.33%124M62.54%-1.1B-12.92%-743M147.13%550M4.61%-435M27.87%-471M-51.08%-2.93B13.19%-658M
Cash from discontinued investing activities
Investing cash flow -292.87%-839M-175.24%-1.17B436.76%852M59.23%-1.19B-529.41%-949M14,400.00%435M43.01%-424M89.46%-253M11.46%-2.92B125.79%221M
Financing cash flow
Cash flow from continuing financing activities -137.60%-1.25B-56.13%-1.17B112.57%23M60.50%-1.66B88.39%-201M64.62%-524M-54.32%-750M63.25%-183M-408.15%-4.2B-637.02%-1.73B
Net issuance payments of debt -112.03%-29M-15.24%-378M-43.21%163M101.68%19M33.21%-181M191.63%241M-129.37%-328M163.36%287M-161.65%-1.13B-275.97%-271M
Net common stock issuance -59.24%-1.22B-100.00%-792M66.67%-137M47.49%-1.59B98.67%-19M37.41%-763M-17.16%-396M-834.09%-411M-1,054.96%-3.03B-569.01%-1.43B
Net other financing activities 50.00%-1M96.15%-1M94.92%-3M-114.63%-88M97.22%-1M-300.00%-2M-420.00%-26M-5,800.00%-59M80.38%-41M79.55%-36M
Cash from discontinued financing activities
Financing cash flow -137.60%-1.25B-56.13%-1.17B112.57%23M60.50%-1.66B88.39%-201M64.62%-524M-54.32%-750M63.25%-183M-408.15%-4.2B-637.02%-1.73B
Net cash flow
Beginning cash position 1.07%17.72B10.59%17.88B41.54%17.45B-6.69%12.33B21.26%18.45B29.06%17.53B40.58%16.17B-6.69%12.33B20.60%13.21B11.60%15.22B
Current changes in cash -428.54%-3.06B-111.88%-163M-89.07%419M707.23%5.2B69.78%-933M-49.73%932M-35.40%1.37B319.28%3.83B-137.79%-857M-640.29%-3.09B
Effect of exchange rate changes --0111.11%1M200.00%6M-190.91%-32M-296.15%-51M192.86%26M78.57%-9M-93.94%2M0.00%-11M966.67%26M
End cash Position -20.60%14.65B1.07%17.72B10.59%17.88B41.54%17.45B41.54%17.45B21.26%18.45B29.06%17.53B40.58%16.17B-6.69%12.33B-6.69%12.33B
Free cash flow -227.80%-1.13B-14.67%1.99B-115.01%-607M37.99%7.25B99.67%-6M-71.31%885M-24.12%2.33B344.88%4.04B59.54%5.26B-523.65%-1.81B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----------------Unqualified Opinion--
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