US Stock MarketDetailed Quotes

CSX CSX Corp

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  • 35.470
  • -0.030-0.08%
Close Oct 16 16:00 ET
  • 34.219
  • -1.252-3.53%
Post 19:58 ET
68.77BMarket Cap19.17P/E (TTM)

CSX Corp 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
6.98%1.69B
-10.88%1.09B
-13.35%1.08B
-1.25%5.55B
9.97%1.5B
-8.64%1.58B
-0.73%1.22B
-3.70%1.25B
10.20%5.62B
6.56%1.36B
Net income from continuing operations
2.64%894M
-2.16%950M
-9.52%893M
-10.83%3.72B
-12.97%886M
-21.60%871M
-17.57%971M
14.90%987M
10.18%4.17B
8.99%1.02B
Operating gains losses
116.67%1M
33.33%-8M
87.50%-1M
85.71%-34M
85.45%-8M
77.78%-6M
90.70%-12M
70.37%-8M
47.58%-238M
-129.17%-55M
Depreciation and amortization
5.32%416M
0.99%410M
4.33%410M
7.40%1.61B
6.11%417M
4.50%395M
10.03%406M
9.17%393M
5.63%1.5B
9.17%393M
Deferred tax
-87.80%5M
-91.43%3M
-68.57%11M
19.66%140M
462.50%29M
115.79%41M
-49.28%35M
-5.41%35M
-29.94%117M
-113.79%-8M
Other non cash items
-325.49%-115M
-89.80%5M
51.61%-15M
70.59%-5M
-311.43%-74M
234.21%51M
372.22%49M
-875.00%-31M
-241.67%-17M
1,650.00%35M
Change In working capital
----
-19.38%-271M
-71.20%-214M
34.07%122M
1,415.79%250M
-20.57%224M
4.62%-227M
-289.39%-125M
-47.40%91M
62.00%-19M
-Change in receivables
----
-133.80%-24M
107.94%5M
49.50%-51M
-66.67%14M
-232.73%-73M
205.97%71M
51.91%-63M
28.37%-101M
250.00%42M
-Change in payables and accrued expense
----
-15.79%-374M
-121.13%-71M
408.91%514M
324.14%195M
264.29%306M
-59.11%-323M
9.45%336M
-49.50%101M
17.92%-87M
-Change in other current assets
----
258.82%54M
59.72%-29M
-445.45%-120M
-440.00%-34M
-48.72%20M
-9.68%-34M
-80.00%-72M
12.00%-22M
147.62%10M
-Change in other current liabilities
----
23.73%73M
63.50%-119M
-295.58%-221M
368.75%75M
-127.88%-29M
-6.35%59M
-365.71%-326M
-18.71%113M
-75.38%16M
Cash from discontinued investing activities
Operating cash flow
6.98%1.69B
-10.88%1.09B
-13.35%1.08B
-1.25%5.55B
9.97%1.5B
-8.64%1.58B
-0.73%1.22B
-3.70%1.25B
10.20%5.62B
6.56%1.36B
Investing cash flow
Cash flow from continuing investing activities
-10.49%-674M
-16.99%-544M
-5.00%-504M
-7.32%-2.29B
-50.31%-732M
2.40%-610M
28.57%-465M
-30.43%-480M
-13.53%-2.13B
-17.63%-487M
Net PPE purchase and sale
-1.31%-618M
2.16%-499M
-20.46%-524M
-18.12%-2.23B
-34.53%-674M
-0.99%-610M
-11.11%-510M
-34.67%-435M
-49.52%-1.89B
-47.79%-501M
Net business purchase and sale
---18M
17.24%-24M
-1,200.00%-26M
86.34%-31M
--0
--0
85.43%-29M
77.78%-2M
58.04%-227M
-300.00%-4M
Net investment purchase and sale
--0
--0
268.75%81M
198.00%49M
97.50%-1M
---1M
1,000.00%99M
-152.63%-48M
28.57%-50M
45.21%-40M
Net other investing changes
-3,900.00%-38M
16.00%-21M
-800.00%-35M
-330.30%-76M
-198.28%-57M
116.67%1M
-1,150.00%-25M
129.41%5M
925.00%33M
--58M
Cash from discontinued investing activities
Investing cash flow
-10.49%-674M
-16.99%-544M
-5.00%-504M
-7.32%-2.29B
-50.31%-732M
2.40%-610M
28.57%-465M
-30.43%-480M
-13.53%-2.13B
-17.63%-487M
Financing cash flow
Cash flow from continuing financing activities
-3.24%-606M
25.96%-790M
68.71%-450M
-2.60%-3.87B
36.99%-775M
-220.53%-587M
40.46%-1.07B
-16.53%-1.44B
8.34%-3.77B
-52.61%-1.23B
Net issuance payments of debt
-100.34%-2M
50.00%-2M
98.59%-2M
-75.36%447M
62.50%-3M
-68.88%596M
95.40%-4M
-2,266.67%-142M
525.82%1.81B
77.78%-8M
Net common stock issuance
58.60%-402M
34.76%-563M
76.85%-247M
26.40%-3.48B
43.10%-581M
18.74%-971M
42.43%-863M
-5.02%-1.07B
-63.93%-4.73B
-79.12%-1.02B
Cash dividends paid
-6.42%-232M
-4.95%-233M
-3.98%-235M
-3.52%-882M
-4.35%-216M
-2.83%-218M
-3.26%-222M
-3.67%-226M
-1.55%-852M
-0.49%-207M
Net other financing activities
400.00%30M
-63.64%8M
1,233.33%34M
--50M
--25M
128.57%6M
144.44%22M
-150.00%-3M
----
----
Cash from discontinued financing activities
Financing cash flow
-3.24%-606M
25.96%-790M
68.71%-450M
-2.60%-3.87B
36.99%-775M
-220.53%-587M
40.46%-1.07B
-16.53%-1.44B
8.34%-3.77B
-52.61%-1.23B
Net cash flow
Beginning cash position
29.50%1.24B
14.87%1.48B
-30.90%1.35B
-12.55%1.96B
-41.15%1.36B
32.04%956M
-33.32%1.29B
-12.55%1.96B
-28.44%2.24B
6.06%2.31B
Current changes in cash
7.12%406M
20.97%-245M
119.49%130M
-115.30%-605M
98.02%-7M
-76.12%379M
74.42%-310M
-120.13%-667M
68.43%-281M
-688.33%-353M
End cash Position
20.88%1.64B
29.50%1.24B
14.87%1.48B
-30.90%1.35B
-30.90%1.35B
-41.15%1.36B
32.04%956M
-33.32%1.29B
-12.55%1.96B
-12.55%1.96B
Free cash flow
7.93%1.06B
-18.11%547M
-30.69%560M
-6.25%3.27B
21.11%809M
-10.56%983M
-11.05%668M
-16.53%808M
5.38%3.49B
-5.78%668M
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
--
(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 6.98%1.69B-10.88%1.09B-13.35%1.08B-1.25%5.55B9.97%1.5B-8.64%1.58B-0.73%1.22B-3.70%1.25B10.20%5.62B6.56%1.36B
Net income from continuing operations 2.64%894M-2.16%950M-9.52%893M-10.83%3.72B-12.97%886M-21.60%871M-17.57%971M14.90%987M10.18%4.17B8.99%1.02B
Operating gains losses 116.67%1M33.33%-8M87.50%-1M85.71%-34M85.45%-8M77.78%-6M90.70%-12M70.37%-8M47.58%-238M-129.17%-55M
Depreciation and amortization 5.32%416M0.99%410M4.33%410M7.40%1.61B6.11%417M4.50%395M10.03%406M9.17%393M5.63%1.5B9.17%393M
Deferred tax -87.80%5M-91.43%3M-68.57%11M19.66%140M462.50%29M115.79%41M-49.28%35M-5.41%35M-29.94%117M-113.79%-8M
Other non cash items -325.49%-115M-89.80%5M51.61%-15M70.59%-5M-311.43%-74M234.21%51M372.22%49M-875.00%-31M-241.67%-17M1,650.00%35M
Change In working capital -----19.38%-271M-71.20%-214M34.07%122M1,415.79%250M-20.57%224M4.62%-227M-289.39%-125M-47.40%91M62.00%-19M
-Change in receivables -----133.80%-24M107.94%5M49.50%-51M-66.67%14M-232.73%-73M205.97%71M51.91%-63M28.37%-101M250.00%42M
-Change in payables and accrued expense -----15.79%-374M-121.13%-71M408.91%514M324.14%195M264.29%306M-59.11%-323M9.45%336M-49.50%101M17.92%-87M
-Change in other current assets ----258.82%54M59.72%-29M-445.45%-120M-440.00%-34M-48.72%20M-9.68%-34M-80.00%-72M12.00%-22M147.62%10M
-Change in other current liabilities ----23.73%73M63.50%-119M-295.58%-221M368.75%75M-127.88%-29M-6.35%59M-365.71%-326M-18.71%113M-75.38%16M
Cash from discontinued investing activities
Operating cash flow 6.98%1.69B-10.88%1.09B-13.35%1.08B-1.25%5.55B9.97%1.5B-8.64%1.58B-0.73%1.22B-3.70%1.25B10.20%5.62B6.56%1.36B
Investing cash flow
Cash flow from continuing investing activities -10.49%-674M-16.99%-544M-5.00%-504M-7.32%-2.29B-50.31%-732M2.40%-610M28.57%-465M-30.43%-480M-13.53%-2.13B-17.63%-487M
Net PPE purchase and sale -1.31%-618M2.16%-499M-20.46%-524M-18.12%-2.23B-34.53%-674M-0.99%-610M-11.11%-510M-34.67%-435M-49.52%-1.89B-47.79%-501M
Net business purchase and sale ---18M17.24%-24M-1,200.00%-26M86.34%-31M--0--085.43%-29M77.78%-2M58.04%-227M-300.00%-4M
Net investment purchase and sale --0--0268.75%81M198.00%49M97.50%-1M---1M1,000.00%99M-152.63%-48M28.57%-50M45.21%-40M
Net other investing changes -3,900.00%-38M16.00%-21M-800.00%-35M-330.30%-76M-198.28%-57M116.67%1M-1,150.00%-25M129.41%5M925.00%33M--58M
Cash from discontinued investing activities
Investing cash flow -10.49%-674M-16.99%-544M-5.00%-504M-7.32%-2.29B-50.31%-732M2.40%-610M28.57%-465M-30.43%-480M-13.53%-2.13B-17.63%-487M
Financing cash flow
Cash flow from continuing financing activities -3.24%-606M25.96%-790M68.71%-450M-2.60%-3.87B36.99%-775M-220.53%-587M40.46%-1.07B-16.53%-1.44B8.34%-3.77B-52.61%-1.23B
Net issuance payments of debt -100.34%-2M50.00%-2M98.59%-2M-75.36%447M62.50%-3M-68.88%596M95.40%-4M-2,266.67%-142M525.82%1.81B77.78%-8M
Net common stock issuance 58.60%-402M34.76%-563M76.85%-247M26.40%-3.48B43.10%-581M18.74%-971M42.43%-863M-5.02%-1.07B-63.93%-4.73B-79.12%-1.02B
Cash dividends paid -6.42%-232M-4.95%-233M-3.98%-235M-3.52%-882M-4.35%-216M-2.83%-218M-3.26%-222M-3.67%-226M-1.55%-852M-0.49%-207M
Net other financing activities 400.00%30M-63.64%8M1,233.33%34M--50M--25M128.57%6M144.44%22M-150.00%-3M--------
Cash from discontinued financing activities
Financing cash flow -3.24%-606M25.96%-790M68.71%-450M-2.60%-3.87B36.99%-775M-220.53%-587M40.46%-1.07B-16.53%-1.44B8.34%-3.77B-52.61%-1.23B
Net cash flow
Beginning cash position 29.50%1.24B14.87%1.48B-30.90%1.35B-12.55%1.96B-41.15%1.36B32.04%956M-33.32%1.29B-12.55%1.96B-28.44%2.24B6.06%2.31B
Current changes in cash 7.12%406M20.97%-245M119.49%130M-115.30%-605M98.02%-7M-76.12%379M74.42%-310M-120.13%-667M68.43%-281M-688.33%-353M
End cash Position 20.88%1.64B29.50%1.24B14.87%1.48B-30.90%1.35B-30.90%1.35B-41.15%1.36B32.04%956M-33.32%1.29B-12.55%1.96B-12.55%1.96B
Free cash flow 7.93%1.06B-18.11%547M-30.69%560M-6.25%3.27B21.11%809M-10.56%983M-11.05%668M-16.53%808M5.38%3.49B-5.78%668M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--

Analysis

Analyst Rating

No Data

Price Target

No Data

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