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EOG EOG Resources

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  • 119.040
  • +0.820+0.69%
Close Dec 20 16:00 ET
  • 119.040
  • 0.0000.00%
Post 20:01 ET
66.95BMarket Cap9.61P/E (TTM)

EOG Resources 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
14.95%6.12B
14.00%5.43B
5.46%5.29B
-11.62%5.28B
-11.62%5.28B
1.02%5.33B
55.03%4.76B
25.17%5.02B
14.65%5.97B
14.65%5.97B
-Cash and cash equivalents
14.95%6.12B
14.00%5.43B
5.46%5.29B
-11.62%5.28B
-11.62%5.28B
1.02%5.33B
55.03%4.76B
25.17%5.02B
14.65%5.97B
14.65%5.97B
Receivables
-12.98%2.55B
17.45%2.66B
9.49%2.69B
-5.40%2.72B
-5.40%2.72B
-14.81%2.93B
-39.38%2.26B
-23.59%2.46B
22.96%2.87B
22.96%2.87B
-Accounts receivable
-13.05%2.55B
17.41%2.66B
9.49%2.69B
-2.09%2.72B
-2.09%2.72B
-12.44%2.93B
-39.41%2.26B
-23.59%2.46B
18.80%2.77B
18.80%2.77B
-Taxes receivable
--2M
100.00%2M
----
--0
--0
--0
--1M
--0
--97M
--97M
Inventory
-24.73%1.04B
-21.11%1.07B
2.03%1.15B
20.51%1.28B
20.51%1.28B
58.14%1.38B
83.36%1.36B
93.00%1.13B
81.16%1.06B
81.16%1.06B
Other current assets
-26.84%458M
22.37%640M
17.93%684M
-2.44%560M
-2.44%560M
0.81%626M
-13.55%523M
-13.56%580M
25.88%574M
25.88%574M
Total current assets
-0.91%10.17B
10.07%9.8B
8.10%9.93B
-5.16%9.94B
-5.16%9.94B
0.56%10.26B
9.24%8.91B
8.31%9.18B
22.03%10.48B
22.03%10.48B
Non current assets
Net PPE
7.57%34.13B
8.85%33.64B
9.44%33.08B
9.75%32.3B
9.75%32.3B
9.01%31.72B
7.15%30.91B
6.19%30.22B
3.53%29.43B
3.53%29.43B
-Gross PPE
8.04%82.2B
8.37%80.69B
8.38%79.12B
7.60%77.59B
7.60%77.59B
6.08%76.09B
4.93%74.46B
3.99%73.01B
-0.40%72.11B
-0.40%72.11B
-Accumulated depreciation
-8.37%-48.08B
-8.03%-47.05B
-7.62%-46.05B
-6.12%-45.29B
-6.12%-45.29B
-4.08%-44.36B
-3.41%-43.55B
-2.49%-42.79B
2.94%-42.68B
2.94%-42.68B
Non current deferred assets
27.27%42M
33.33%44M
22.58%38M
27.27%42M
27.27%42M
83.33%33M
175.00%33M
138.46%31M
200.00%33M
200.00%33M
Other non current assets
11.33%1.82B
5.80%1.73B
10.46%1.75B
10.39%1.58B
10.39%1.58B
39.93%1.63B
45.34%1.64B
38.85%1.59B
18.02%1.43B
18.02%1.43B
Total non current assets
7.78%35.99B
8.72%35.42B
9.51%34.87B
9.79%33.92B
9.79%33.92B
10.25%33.39B
8.65%32.58B
7.51%31.84B
4.20%30.9B
4.20%30.9B
Total assets
5.74%46.15B
9.01%45.22B
9.19%44.8B
6.01%43.86B
6.01%43.86B
7.80%43.65B
8.78%41.49B
7.69%41.03B
8.20%41.37B
8.20%41.37B
Liabilities
Current liabilities
Payables
3.13%3.66B
14.29%3.55B
3.96%3.7B
0.29%3.43B
0.29%3.43B
-4.06%3.55B
-20.86%3.11B
-15.83%3.56B
6.98%3.42B
6.98%3.42B
-accounts payable
-7.06%2.29B
10.48%2.44B
-2.01%2.39B
-3.75%2.44B
-3.75%2.44B
-9.35%2.46B
-23.86%2.21B
-8.35%2.44B
12.93%2.53B
12.93%2.53B
-Total tax payable
41.32%855M
41.18%600M
23.39%786M
15.06%466M
15.06%466M
11.62%605M
-28.45%425M
-43.63%637M
-21.81%405M
-21.81%405M
-Dividends payable
7.32%513M
7.95%516M
8.51%523M
9.13%526M
9.13%526M
9.38%478M
9.38%478M
10.55%482M
10.55%482M
10.55%482M
Current debt and capital lease obligation
0.27%372M
126.83%837M
-9.04%352M
-77.26%359M
-77.26%359M
-75.54%371M
-75.37%369M
-74.30%387M
470.04%1.58B
470.04%1.58B
-Current debt
0.00%34M
1,470.59%534M
3.03%34M
-97.35%34M
-97.35%34M
-97.35%34M
-97.35%34M
-97.43%33M
--1.28B
--1.28B
-Current capital lease obligation
0.30%338M
-9.55%303M
-10.17%318M
9.80%325M
9.80%325M
43.40%337M
55.09%335M
58.74%354M
6.86%296M
6.86%296M
Other current liabilities
22.48%376M
-5.91%239M
-21.48%223M
-44.47%286M
-44.47%286M
-42.29%307M
-25.95%254M
-46.62%284M
-9.49%515M
-9.49%515M
Current liabilities
4.28%4.41B
24.04%4.63B
1.06%4.27B
-26.10%4.07B
-26.10%4.07B
-26.47%4.23B
-35.32%3.73B
-32.50%4.23B
36.39%5.51B
36.39%5.51B
Non current liabilities
Long term debt and capital lease obligation
-0.80%3.74B
-14.02%3.25B
-0.79%3.76B
1.42%4.44B
1.42%4.44B
-0.79%3.77B
-0.76%3.78B
-0.76%3.79B
-22.22%4.38B
-22.22%4.38B
-Long term debt
-0.80%3.74B
-14.02%3.25B
-0.79%3.76B
0.06%3.58B
0.06%3.58B
-0.79%3.77B
-0.76%3.78B
-0.76%3.79B
-26.32%3.58B
-26.32%3.58B
-Long term capital lease obligation
----
----
----
7.51%859M
7.51%859M
----
----
----
3.63%799M
3.63%799M
Non current deferred liabilities
14.54%5.95B
11.54%5.73B
13.23%5.6B
14.69%5.4B
14.69%5.4B
14.99%5.19B
22.83%5.14B
15.33%4.94B
-0.82%4.71B
-0.82%4.71B
Other non current liabilities
-8.08%2.48B
-4.84%2.46B
-3.32%2.53B
-7.04%1.85B
-7.04%1.85B
4.86%2.7B
24.87%2.58B
19.58%2.62B
21.71%1.99B
21.71%1.99B
Total non current liabilities
4.35%12.17B
-0.54%11.44B
4.73%11.89B
5.54%11.69B
5.54%11.69B
7.09%11.66B
14.32%11.5B
10.27%11.35B
-7.78%11.08B
-7.78%11.08B
Total liabilities
4.33%16.58B
5.48%16.07B
3.74%16.16B
-4.97%15.77B
-4.97%15.77B
-4.50%15.89B
-3.77%15.23B
-5.91%15.58B
3.34%16.59B
3.34%16.59B
Shareholders'equity
Share capital
0.00%206M
0.00%206M
0.00%206M
0.00%206M
0.00%206M
0.00%206M
0.00%206M
0.00%206M
0.00%206M
0.00%206M
-common stock
0.00%206M
0.00%206M
0.00%206M
0.00%206M
0.00%206M
0.00%206M
0.00%206M
0.00%206M
0.00%206M
0.00%206M
Retained earnings
18.98%26.23B
22.32%25.07B
23.03%23.9B
22.53%22.63B
22.53%22.63B
25.53%22.05B
27.88%20.5B
27.09%19.42B
16.04%18.47B
16.04%18.47B
Paid-in capital
-1.22%6.06B
-0.61%6.22B
-0.50%6.19B
-0.34%6.17B
-0.34%6.17B
-0.36%6.13B
2.11%6.26B
2.03%6.22B
1.64%6.19B
1.64%6.19B
Less: Treasury stock
368.92%2.91B
235.59%2.33B
319.08%1.65B
1,062.82%907M
1,062.82%907M
800.00%621M
1,726.32%694M
1,167.74%393M
290.00%78M
290.00%78M
Gains losses not affecting retained earnings
-28.57%-9M
11.11%-8M
0.00%-8M
-12.50%-9M
-12.50%-9M
-16.67%-7M
25.00%-9M
38.46%-8M
33.33%-8M
33.33%-8M
Total stockholders'equity
6.54%29.57B
11.05%29.16B
12.53%28.64B
13.36%28.09B
13.36%28.09B
16.39%27.76B
17.68%26.26B
18.14%25.45B
11.72%24.78B
11.72%24.78B
Total equity
6.54%29.57B
11.05%29.16B
12.53%28.64B
13.36%28.09B
13.36%28.09B
16.39%27.76B
17.68%26.26B
18.14%25.45B
11.72%24.78B
11.72%24.78B
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 14.95%6.12B14.00%5.43B5.46%5.29B-11.62%5.28B-11.62%5.28B1.02%5.33B55.03%4.76B25.17%5.02B14.65%5.97B14.65%5.97B
-Cash and cash equivalents 14.95%6.12B14.00%5.43B5.46%5.29B-11.62%5.28B-11.62%5.28B1.02%5.33B55.03%4.76B25.17%5.02B14.65%5.97B14.65%5.97B
Receivables -12.98%2.55B17.45%2.66B9.49%2.69B-5.40%2.72B-5.40%2.72B-14.81%2.93B-39.38%2.26B-23.59%2.46B22.96%2.87B22.96%2.87B
-Accounts receivable -13.05%2.55B17.41%2.66B9.49%2.69B-2.09%2.72B-2.09%2.72B-12.44%2.93B-39.41%2.26B-23.59%2.46B18.80%2.77B18.80%2.77B
-Taxes receivable --2M100.00%2M------0--0--0--1M--0--97M--97M
Inventory -24.73%1.04B-21.11%1.07B2.03%1.15B20.51%1.28B20.51%1.28B58.14%1.38B83.36%1.36B93.00%1.13B81.16%1.06B81.16%1.06B
Other current assets -26.84%458M22.37%640M17.93%684M-2.44%560M-2.44%560M0.81%626M-13.55%523M-13.56%580M25.88%574M25.88%574M
Total current assets -0.91%10.17B10.07%9.8B8.10%9.93B-5.16%9.94B-5.16%9.94B0.56%10.26B9.24%8.91B8.31%9.18B22.03%10.48B22.03%10.48B
Non current assets
Net PPE 7.57%34.13B8.85%33.64B9.44%33.08B9.75%32.3B9.75%32.3B9.01%31.72B7.15%30.91B6.19%30.22B3.53%29.43B3.53%29.43B
-Gross PPE 8.04%82.2B8.37%80.69B8.38%79.12B7.60%77.59B7.60%77.59B6.08%76.09B4.93%74.46B3.99%73.01B-0.40%72.11B-0.40%72.11B
-Accumulated depreciation -8.37%-48.08B-8.03%-47.05B-7.62%-46.05B-6.12%-45.29B-6.12%-45.29B-4.08%-44.36B-3.41%-43.55B-2.49%-42.79B2.94%-42.68B2.94%-42.68B
Non current deferred assets 27.27%42M33.33%44M22.58%38M27.27%42M27.27%42M83.33%33M175.00%33M138.46%31M200.00%33M200.00%33M
Other non current assets 11.33%1.82B5.80%1.73B10.46%1.75B10.39%1.58B10.39%1.58B39.93%1.63B45.34%1.64B38.85%1.59B18.02%1.43B18.02%1.43B
Total non current assets 7.78%35.99B8.72%35.42B9.51%34.87B9.79%33.92B9.79%33.92B10.25%33.39B8.65%32.58B7.51%31.84B4.20%30.9B4.20%30.9B
Total assets 5.74%46.15B9.01%45.22B9.19%44.8B6.01%43.86B6.01%43.86B7.80%43.65B8.78%41.49B7.69%41.03B8.20%41.37B8.20%41.37B
Liabilities
Current liabilities
Payables 3.13%3.66B14.29%3.55B3.96%3.7B0.29%3.43B0.29%3.43B-4.06%3.55B-20.86%3.11B-15.83%3.56B6.98%3.42B6.98%3.42B
-accounts payable -7.06%2.29B10.48%2.44B-2.01%2.39B-3.75%2.44B-3.75%2.44B-9.35%2.46B-23.86%2.21B-8.35%2.44B12.93%2.53B12.93%2.53B
-Total tax payable 41.32%855M41.18%600M23.39%786M15.06%466M15.06%466M11.62%605M-28.45%425M-43.63%637M-21.81%405M-21.81%405M
-Dividends payable 7.32%513M7.95%516M8.51%523M9.13%526M9.13%526M9.38%478M9.38%478M10.55%482M10.55%482M10.55%482M
Current debt and capital lease obligation 0.27%372M126.83%837M-9.04%352M-77.26%359M-77.26%359M-75.54%371M-75.37%369M-74.30%387M470.04%1.58B470.04%1.58B
-Current debt 0.00%34M1,470.59%534M3.03%34M-97.35%34M-97.35%34M-97.35%34M-97.35%34M-97.43%33M--1.28B--1.28B
-Current capital lease obligation 0.30%338M-9.55%303M-10.17%318M9.80%325M9.80%325M43.40%337M55.09%335M58.74%354M6.86%296M6.86%296M
Other current liabilities 22.48%376M-5.91%239M-21.48%223M-44.47%286M-44.47%286M-42.29%307M-25.95%254M-46.62%284M-9.49%515M-9.49%515M
Current liabilities 4.28%4.41B24.04%4.63B1.06%4.27B-26.10%4.07B-26.10%4.07B-26.47%4.23B-35.32%3.73B-32.50%4.23B36.39%5.51B36.39%5.51B
Non current liabilities
Long term debt and capital lease obligation -0.80%3.74B-14.02%3.25B-0.79%3.76B1.42%4.44B1.42%4.44B-0.79%3.77B-0.76%3.78B-0.76%3.79B-22.22%4.38B-22.22%4.38B
-Long term debt -0.80%3.74B-14.02%3.25B-0.79%3.76B0.06%3.58B0.06%3.58B-0.79%3.77B-0.76%3.78B-0.76%3.79B-26.32%3.58B-26.32%3.58B
-Long term capital lease obligation ------------7.51%859M7.51%859M------------3.63%799M3.63%799M
Non current deferred liabilities 14.54%5.95B11.54%5.73B13.23%5.6B14.69%5.4B14.69%5.4B14.99%5.19B22.83%5.14B15.33%4.94B-0.82%4.71B-0.82%4.71B
Other non current liabilities -8.08%2.48B-4.84%2.46B-3.32%2.53B-7.04%1.85B-7.04%1.85B4.86%2.7B24.87%2.58B19.58%2.62B21.71%1.99B21.71%1.99B
Total non current liabilities 4.35%12.17B-0.54%11.44B4.73%11.89B5.54%11.69B5.54%11.69B7.09%11.66B14.32%11.5B10.27%11.35B-7.78%11.08B-7.78%11.08B
Total liabilities 4.33%16.58B5.48%16.07B3.74%16.16B-4.97%15.77B-4.97%15.77B-4.50%15.89B-3.77%15.23B-5.91%15.58B3.34%16.59B3.34%16.59B
Shareholders'equity
Share capital 0.00%206M0.00%206M0.00%206M0.00%206M0.00%206M0.00%206M0.00%206M0.00%206M0.00%206M0.00%206M
-common stock 0.00%206M0.00%206M0.00%206M0.00%206M0.00%206M0.00%206M0.00%206M0.00%206M0.00%206M0.00%206M
Retained earnings 18.98%26.23B22.32%25.07B23.03%23.9B22.53%22.63B22.53%22.63B25.53%22.05B27.88%20.5B27.09%19.42B16.04%18.47B16.04%18.47B
Paid-in capital -1.22%6.06B-0.61%6.22B-0.50%6.19B-0.34%6.17B-0.34%6.17B-0.36%6.13B2.11%6.26B2.03%6.22B1.64%6.19B1.64%6.19B
Less: Treasury stock 368.92%2.91B235.59%2.33B319.08%1.65B1,062.82%907M1,062.82%907M800.00%621M1,726.32%694M1,167.74%393M290.00%78M290.00%78M
Gains losses not affecting retained earnings -28.57%-9M11.11%-8M0.00%-8M-12.50%-9M-12.50%-9M-16.67%-7M25.00%-9M38.46%-8M33.33%-8M33.33%-8M
Total stockholders'equity 6.54%29.57B11.05%29.16B12.53%28.64B13.36%28.09B13.36%28.09B16.39%27.76B17.68%26.26B18.14%25.45B11.72%24.78B11.72%24.78B
Total equity 6.54%29.57B11.05%29.16B12.53%28.64B13.36%28.09B13.36%28.09B16.39%27.76B17.68%26.26B18.14%25.45B11.72%24.78B11.72%24.78B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----------------Unqualified Opinion--
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