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CWEN.A Clearway Energy-A

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  • 24.530
  • +0.220+0.90%
Close Dec 20 16:00 ET
  • 24.530
  • 0.0000.00%
Post 16:20 ET
2.88BMarket Cap32.28P/E (TTM)

Clearway Energy-A 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
Assets
Current assets
Cash, cash equivalents and short term investments
-48.41%292M
-58.68%226M
-17.01%478M
-18.57%535M
-18.57%535M
-28.63%566M
-42.72%547M
311.43%576M
267.04%657M
267.04%657M
-Cash and cash equivalents
-48.41%292M
-58.68%226M
-17.01%478M
-18.57%535M
-18.57%535M
-28.63%566M
-42.72%547M
311.43%576M
267.04%657M
267.04%657M
Receivables
-51.58%199M
18.52%256M
141.33%362M
125.49%345M
125.49%345M
105.50%411M
-3.57%216M
-1.96%150M
6.25%153M
6.25%153M
-Accounts receivable
1.53%199M
18.60%255M
22.67%184M
11.76%171M
11.76%171M
-2.00%196M
-3.15%215M
-1.96%150M
6.25%153M
6.25%153M
-Notes receivable
--0
--0
--178M
--174M
--174M
--215M
----
----
--0
--0
-Related party accounts receivable
----
0.00%1M
----
----
----
----
-50.00%1M
----
----
----
Inventory
14.55%63M
17.65%60M
18.37%58M
17.02%55M
17.02%55M
14.58%55M
30.77%51M
28.95%49M
27.03%47M
27.03%47M
Restricted cash
-35.25%382M
-7.28%344M
10.98%485M
52.21%516M
52.21%516M
62.53%590M
11.41%371M
34.05%437M
-28.63%339M
-28.63%339M
Other current assets
32.79%81M
20.00%84M
20.00%60M
25.93%68M
25.93%68M
--61M
--70M
--50M
--54M
--54M
Total current assets
-39.39%1.05B
-20.79%1.02B
16.14%1.5B
22.26%1.56B
22.26%1.56B
16.53%1.73B
-21.16%1.29B
-6.12%1.29B
-16.66%1.28B
-16.66%1.28B
Non current assets
Net PPE
21.52%10.44B
27.13%10.55B
23.10%10.36B
27.37%10.12B
27.37%10.12B
8.02%8.59B
3.02%8.3B
2.78%8.42B
-3.07%7.95B
-3.07%7.95B
-Gross PPE
67.34%14.38B
27.13%10.55B
23.10%10.36B
24.02%13.61B
24.02%13.61B
8.02%8.59B
3.02%8.3B
2.78%8.42B
2.53%10.97B
2.53%10.97B
-Accumulated depreciation
---3.94B
----
----
-15.24%-3.49B
-15.24%-3.49B
----
----
----
-20.91%-3.02B
-20.91%-3.02B
Goodwill and other intangible assets
-7.59%2.24B
-7.53%2.29B
-7.43%2.33B
-7.45%2.37B
-7.45%2.37B
-7.30%2.42B
2.15%2.47B
2.48%2.52B
2.64%2.57B
2.64%2.57B
-Other intangible assets
-7.59%2.24B
-7.53%2.29B
-7.43%2.33B
-7.45%2.37B
-7.45%2.37B
-7.30%2.42B
2.15%2.47B
2.48%2.52B
2.64%2.57B
2.64%2.57B
Investments and advances
-13.67%322M
-8.81%321M
0.87%349M
-1.10%360M
-1.10%360M
-1.06%373M
-6.13%352M
-7.49%346M
-4.46%364M
-4.46%364M
Related parties assets
----
0.00%1M
----
----
----
----
-50.00%1M
----
----
----
Financial assets
-46.97%70M
40.96%117M
73.44%111M
30.16%82M
30.16%82M
85.92%132M
137.14%83M
300.00%64M
950.00%63M
950.00%63M
Other non current assets
8.85%123M
70.99%224M
85.22%213M
110.42%202M
110.42%202M
26.97%113M
1.55%131M
-3.36%115M
-4.95%96M
-4.95%96M
Total non current assets
13.42%13.2B
19.06%13.5B
16.62%13.37B
19.07%13.14B
19.07%13.14B
4.75%11.64B
2.92%11.34B
1.82%11.46B
-2.18%11.04B
-2.18%11.04B
Total assets
6.57%14.25B
15.00%14.52B
16.57%14.86B
19.40%14.7B
19.40%14.7B
6.14%13.37B
-0.19%12.62B
0.96%12.75B
-3.91%12.31B
-3.91%12.31B
Liabilities
Current liabilities
Payables
-36.55%92M
-20.97%98M
25.83%151M
109.09%161M
109.09%161M
113.24%145M
65.33%124M
31.87%120M
-57.46%77M
-57.46%77M
-accounts payable
-36.55%92M
-20.97%98M
25.83%151M
109.09%161M
109.09%161M
113.24%145M
65.33%124M
31.87%120M
-57.46%77M
-57.46%77M
Current accrued expenses
-13.82%106M
22.22%132M
-6.19%106M
-19.05%136M
-19.05%136M
-26.79%123M
-23.94%108M
18.95%113M
21.74%168M
21.74%168M
Current debt and capital lease obligation
-21.07%412M
24.85%412M
54.37%565M
73.29%558M
73.29%558M
5.88%522M
-27.79%330M
-52.47%366M
-58.29%322M
-58.29%322M
-Current debt
-21.07%412M
24.85%412M
54.37%565M
73.29%558M
73.29%558M
5.88%522M
-27.79%330M
-52.47%366M
-58.29%322M
-58.29%322M
Other current liabilities
-5.56%51M
34.09%59M
33.33%52M
2.00%51M
2.00%51M
-31.65%54M
-41.33%44M
-93.17%39M
-90.74%50M
-90.74%50M
Current liabilities
-21.68%661M
15.68%701M
36.99%874M
46.84%906M
46.84%906M
4.46%844M
-19.09%606M
-58.22%638M
-62.17%617M
-62.17%617M
Non current liabilities
Long term debt and capital lease obligation
-3.87%7.3B
1.88%7.42B
11.91%8.22B
15.16%8.11B
15.16%8.11B
7.59%7.6B
2.16%7.29B
-2.31%7.35B
-6.15%7.04B
-6.15%7.04B
-Long term debt
-3.76%6.73B
1.33%6.8B
11.97%7.58B
15.22%7.48B
15.22%7.48B
7.30%7B
1.56%6.71B
-3.01%6.77B
-6.46%6.49B
-6.46%6.49B
-Long term capital lease obligation
-5.16%570M
8.30%626M
11.27%642M
14.42%627M
14.42%627M
11.09%601M
9.68%578M
6.65%577M
-2.32%548M
-2.32%548M
Non current deferred liabilities
-61.84%58M
-70.34%35M
13.27%111M
6.72%127M
6.72%127M
21.60%152M
7.27%118M
790.91%98M
815.38%119M
815.38%119M
Derivative product liabilities
2.95%279M
29.73%336M
4.39%309M
-7.26%281M
-7.26%281M
-6.87%271M
-7.50%259M
17.46%296M
54.59%303M
54.59%303M
Other non current liabilities
32.22%316M
43.19%305M
43.54%300M
42.08%287M
42.08%287M
21.94%239M
15.76%213M
16.76%209M
16.76%202M
16.76%202M
Total non current liabilities
-3.67%7.96B
2.83%8.1B
12.48%8.94B
14.85%8.8B
14.85%8.8B
7.64%8.26B
2.21%7.88B
-0.16%7.95B
-2.78%7.66B
-2.78%7.66B
Total liabilities
-5.34%8.62B
3.75%8.8B
14.30%9.82B
17.23%9.71B
17.23%9.71B
7.33%9.1B
0.32%8.48B
-9.51%8.59B
-12.96%8.28B
-12.96%8.28B
Shareholders'equity
Share capital
0.00%1M
0.00%1M
0.00%1M
--0
--0
0.00%1M
0.00%1M
0.00%1M
--0
--0
-common stock
0.00%1M
0.00%1M
0.00%1M
--0
--0
0.00%1M
0.00%1M
0.00%1M
--0
--0
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
-18.65%301M
-23.79%314M
-25.78%311M
-22.03%361M
-22.03%361M
-25.10%370M
-18.42%412M
744.62%419M
1,503.03%463M
1,503.03%463M
Paid-in capital
5.96%1.83B
6.52%1.83B
1.28%1.74B
-1.65%1.73B
-1.65%1.73B
-3.25%1.73B
-3.75%1.72B
-5.86%1.72B
-5.93%1.76B
-5.93%1.76B
Gains losses not affecting retained earnings
-90.91%1M
-44.44%5M
-37.50%5M
-22.22%7M
-22.22%7M
10.00%11M
350.00%9M
--8M
250.00%9M
250.00%9M
Total stockholders'equity
1.14%2.13B
0.47%2.15B
-4.15%2.06B
-5.96%2.1B
-5.96%2.1B
-7.90%2.11B
-6.67%2.14B
21.85%2.15B
21.76%2.23B
21.76%2.23B
Noncontrolling interests
62.14%3.5B
78.17%3.57B
48.34%2.99B
60.87%2.89B
60.87%2.89B
18.25%2.16B
5.37%2B
46.33%2.02B
22.71%1.8B
22.71%1.8B
Total equity
31.98%5.63B
38.03%5.72B
21.26%5.05B
23.86%4.99B
23.86%4.99B
3.69%4.27B
-1.22%4.14B
32.59%4.16B
22.18%4.03B
22.18%4.03B
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
Assets
Current assets
Cash, cash equivalents and short term investments -48.41%292M-58.68%226M-17.01%478M-18.57%535M-18.57%535M-28.63%566M-42.72%547M311.43%576M267.04%657M267.04%657M
-Cash and cash equivalents -48.41%292M-58.68%226M-17.01%478M-18.57%535M-18.57%535M-28.63%566M-42.72%547M311.43%576M267.04%657M267.04%657M
Receivables -51.58%199M18.52%256M141.33%362M125.49%345M125.49%345M105.50%411M-3.57%216M-1.96%150M6.25%153M6.25%153M
-Accounts receivable 1.53%199M18.60%255M22.67%184M11.76%171M11.76%171M-2.00%196M-3.15%215M-1.96%150M6.25%153M6.25%153M
-Notes receivable --0--0--178M--174M--174M--215M----------0--0
-Related party accounts receivable ----0.00%1M-----------------50.00%1M------------
Inventory 14.55%63M17.65%60M18.37%58M17.02%55M17.02%55M14.58%55M30.77%51M28.95%49M27.03%47M27.03%47M
Restricted cash -35.25%382M-7.28%344M10.98%485M52.21%516M52.21%516M62.53%590M11.41%371M34.05%437M-28.63%339M-28.63%339M
Other current assets 32.79%81M20.00%84M20.00%60M25.93%68M25.93%68M--61M--70M--50M--54M--54M
Total current assets -39.39%1.05B-20.79%1.02B16.14%1.5B22.26%1.56B22.26%1.56B16.53%1.73B-21.16%1.29B-6.12%1.29B-16.66%1.28B-16.66%1.28B
Non current assets
Net PPE 21.52%10.44B27.13%10.55B23.10%10.36B27.37%10.12B27.37%10.12B8.02%8.59B3.02%8.3B2.78%8.42B-3.07%7.95B-3.07%7.95B
-Gross PPE 67.34%14.38B27.13%10.55B23.10%10.36B24.02%13.61B24.02%13.61B8.02%8.59B3.02%8.3B2.78%8.42B2.53%10.97B2.53%10.97B
-Accumulated depreciation ---3.94B---------15.24%-3.49B-15.24%-3.49B-------------20.91%-3.02B-20.91%-3.02B
Goodwill and other intangible assets -7.59%2.24B-7.53%2.29B-7.43%2.33B-7.45%2.37B-7.45%2.37B-7.30%2.42B2.15%2.47B2.48%2.52B2.64%2.57B2.64%2.57B
-Other intangible assets -7.59%2.24B-7.53%2.29B-7.43%2.33B-7.45%2.37B-7.45%2.37B-7.30%2.42B2.15%2.47B2.48%2.52B2.64%2.57B2.64%2.57B
Investments and advances -13.67%322M-8.81%321M0.87%349M-1.10%360M-1.10%360M-1.06%373M-6.13%352M-7.49%346M-4.46%364M-4.46%364M
Related parties assets ----0.00%1M-----------------50.00%1M------------
Financial assets -46.97%70M40.96%117M73.44%111M30.16%82M30.16%82M85.92%132M137.14%83M300.00%64M950.00%63M950.00%63M
Other non current assets 8.85%123M70.99%224M85.22%213M110.42%202M110.42%202M26.97%113M1.55%131M-3.36%115M-4.95%96M-4.95%96M
Total non current assets 13.42%13.2B19.06%13.5B16.62%13.37B19.07%13.14B19.07%13.14B4.75%11.64B2.92%11.34B1.82%11.46B-2.18%11.04B-2.18%11.04B
Total assets 6.57%14.25B15.00%14.52B16.57%14.86B19.40%14.7B19.40%14.7B6.14%13.37B-0.19%12.62B0.96%12.75B-3.91%12.31B-3.91%12.31B
Liabilities
Current liabilities
Payables -36.55%92M-20.97%98M25.83%151M109.09%161M109.09%161M113.24%145M65.33%124M31.87%120M-57.46%77M-57.46%77M
-accounts payable -36.55%92M-20.97%98M25.83%151M109.09%161M109.09%161M113.24%145M65.33%124M31.87%120M-57.46%77M-57.46%77M
Current accrued expenses -13.82%106M22.22%132M-6.19%106M-19.05%136M-19.05%136M-26.79%123M-23.94%108M18.95%113M21.74%168M21.74%168M
Current debt and capital lease obligation -21.07%412M24.85%412M54.37%565M73.29%558M73.29%558M5.88%522M-27.79%330M-52.47%366M-58.29%322M-58.29%322M
-Current debt -21.07%412M24.85%412M54.37%565M73.29%558M73.29%558M5.88%522M-27.79%330M-52.47%366M-58.29%322M-58.29%322M
Other current liabilities -5.56%51M34.09%59M33.33%52M2.00%51M2.00%51M-31.65%54M-41.33%44M-93.17%39M-90.74%50M-90.74%50M
Current liabilities -21.68%661M15.68%701M36.99%874M46.84%906M46.84%906M4.46%844M-19.09%606M-58.22%638M-62.17%617M-62.17%617M
Non current liabilities
Long term debt and capital lease obligation -3.87%7.3B1.88%7.42B11.91%8.22B15.16%8.11B15.16%8.11B7.59%7.6B2.16%7.29B-2.31%7.35B-6.15%7.04B-6.15%7.04B
-Long term debt -3.76%6.73B1.33%6.8B11.97%7.58B15.22%7.48B15.22%7.48B7.30%7B1.56%6.71B-3.01%6.77B-6.46%6.49B-6.46%6.49B
-Long term capital lease obligation -5.16%570M8.30%626M11.27%642M14.42%627M14.42%627M11.09%601M9.68%578M6.65%577M-2.32%548M-2.32%548M
Non current deferred liabilities -61.84%58M-70.34%35M13.27%111M6.72%127M6.72%127M21.60%152M7.27%118M790.91%98M815.38%119M815.38%119M
Derivative product liabilities 2.95%279M29.73%336M4.39%309M-7.26%281M-7.26%281M-6.87%271M-7.50%259M17.46%296M54.59%303M54.59%303M
Other non current liabilities 32.22%316M43.19%305M43.54%300M42.08%287M42.08%287M21.94%239M15.76%213M16.76%209M16.76%202M16.76%202M
Total non current liabilities -3.67%7.96B2.83%8.1B12.48%8.94B14.85%8.8B14.85%8.8B7.64%8.26B2.21%7.88B-0.16%7.95B-2.78%7.66B-2.78%7.66B
Total liabilities -5.34%8.62B3.75%8.8B14.30%9.82B17.23%9.71B17.23%9.71B7.33%9.1B0.32%8.48B-9.51%8.59B-12.96%8.28B-12.96%8.28B
Shareholders'equity
Share capital 0.00%1M0.00%1M0.00%1M--0--00.00%1M0.00%1M0.00%1M--0--0
-common stock 0.00%1M0.00%1M0.00%1M--0--00.00%1M0.00%1M0.00%1M--0--0
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings -18.65%301M-23.79%314M-25.78%311M-22.03%361M-22.03%361M-25.10%370M-18.42%412M744.62%419M1,503.03%463M1,503.03%463M
Paid-in capital 5.96%1.83B6.52%1.83B1.28%1.74B-1.65%1.73B-1.65%1.73B-3.25%1.73B-3.75%1.72B-5.86%1.72B-5.93%1.76B-5.93%1.76B
Gains losses not affecting retained earnings -90.91%1M-44.44%5M-37.50%5M-22.22%7M-22.22%7M10.00%11M350.00%9M--8M250.00%9M250.00%9M
Total stockholders'equity 1.14%2.13B0.47%2.15B-4.15%2.06B-5.96%2.1B-5.96%2.1B-7.90%2.11B-6.67%2.14B21.85%2.15B21.76%2.23B21.76%2.23B
Noncontrolling interests 62.14%3.5B78.17%3.57B48.34%2.99B60.87%2.89B60.87%2.89B18.25%2.16B5.37%2B46.33%2.02B22.71%1.8B22.71%1.8B
Total equity 31.98%5.63B38.03%5.72B21.26%5.05B23.86%4.99B23.86%4.99B3.69%4.27B-1.22%4.14B32.59%4.16B22.18%4.03B22.18%4.03B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----------------Unqualified Opinion--
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