US Stock MarketDetailed Quotes

EQNR Equinor

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  • 22.290
  • +0.040+0.18%
Close Dec 20 16:00 ET
  • 22.380
  • +0.090+0.40%
Post 20:01 ET
60.90BMarket Cap6.80P/E (TTM)

Equinor 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
34.80%7.06B
-13.24%1.61B
-39.33%9.02B
-29.70%24.7B
-35.86%2.74B
-20.40%5.24B
-78.19%1.86B
-5.70%14.87B
21.93%35.14B
-47.64%4.27B
Net income from continuing operations
-2.61%7.27B
2.12%7.53B
-41.65%8B
-51.80%37.88B
-35.47%9.34B
-72.51%7.47B
-62.67%7.37B
-20.41%13.71B
148.88%78.6B
10.16%14.47B
Operating gains losses
-114.01%-29M
-69.32%320M
88.35%-46M
110.65%197M
-128.99%-658M
108.47%207M
136.93%1.04B
-134.41%-395M
-80.04%-1.85B
663.28%2.27B
Depreciation and amortization
-31.98%2.33B
16.14%2.35B
5.89%2.43B
66.39%10.63B
145.10%2.9B
226.12%3.42B
-5.61%2.02B
13.58%2.29B
-45.46%6.39B
-75.21%1.18B
Other non cash items
-3,033.33%-616M
-166.43%-738M
-172.53%-883M
-380.56%-1.31B
-125.15%-735M
101.70%21M
69.86%-277M
-8.36%-324M
341.51%468M
326.72%2.92B
Change In working capital
134.37%810M
-112.92%-286M
-38.29%3.18B
207.45%4.96B
97.99%-51M
-149.15%-2.36B
290.86%2.21B
22,313.04%5.16B
-1.54%-4.62B
20.35%-2.53B
Cash from discontinued investing activities
Operating cash flow
34.78%7.06B
-13.25%1.61B
-39.34%9.02B
-29.70%24.7B
-35.88%2.74B
-20.40%5.24B
-78.20%1.86B
-5.71%14.87B
21.93%35.14B
-47.65%4.27B
Investing cash flow
Cash flow from continuing investing activities
68.10%-1.8B
-90.82%634M
73.20%-2.17B
21.78%-12.41B
42.47%-5.57B
-403.50%-5.64B
293.53%6.91B
-81.54%-8.1B
2.15%-15.86B
-18.13%-9.69B
Capital expenditure reported
-16.82%-3.1B
-3.80%-2.95B
-21.06%-2.48B
-20.75%-10.58B
-27.53%-3.03B
-29.18%-2.65B
-65.91%-2.84B
21.60%-2.05B
-8.93%-8.76B
-6.79%-2.38B
Net business purchase and sale
--0
41.84%-467M
--0
-912.93%-1.2B
---40M
-376.19%-100M
-577.98%-803M
---252M
232.43%147M
--0
Net investment purchase and sale
151.14%1.36B
-59.21%4.28B
107.80%461M
89.96%-823M
62.66%-2.75B
-171.54%-2.67B
593.33%10.5B
-143.65%-5.91B
17.65%-8.2B
-18.10%-7.37B
Net other investing changes
71.23%-63M
-597.87%-234M
-236.36%-150M
-80.49%184M
355.56%246M
-206.83%-219M
-56.07%47M
-80.94%110M
-50.16%943M
-79.31%54M
Cash from discontinued investing activities
Investing cash flow
68.10%-1.8B
-90.83%633M
73.20%-2.17B
21.77%-12.41B
42.46%-5.57B
-403.66%-5.64B
293.58%6.91B
-81.50%-8.1B
2.15%-15.86B
-18.13%-9.69B
Financing cash flow
Cash flow from continuing financing activities
-28.26%-6B
47.69%-3.32B
-33.71%-6.63B
-17.71%-18.14B
31.99%-2.17B
-20.77%-4.68B
-50.64%-6.34B
-19.68%-4.96B
-218.71%-15.41B
-994.12%-3.19B
Net issuance payments of debt
133.44%512M
-281.94%-846M
-109.72%-3.43B
75.48%-1.65B
374.48%1.05B
-147.33%-1.53B
117.93%465M
47.61%-1.64B
-147.17%-6.72B
-133.57%-384M
Net common stock issuance
-759.51%-4.56B
90.24%-398M
-19.31%-550M
-68.60%-5.59B
10.23%-518M
73.40%-531M
-1,241.78%-4.08B
-5.01%-461M
-932.71%-3.32B
-159.91%-577M
Cash dividends paid
25.60%-1.94B
23.96%-2.07B
7.41%-2.65B
-102.71%-10.91B
-21.34%-2.71B
-108.04%-2.61B
-108.02%-2.73B
-391.58%-2.86B
-199.39%-5.38B
-294.87%-2.23B
Net other financing activities
----
0.00%1M
200.00%1M
----
----
----
--1M
---1M
---1M
----
Cash from discontinued financing activities
Financing cash flow
-28.26%-6B
47.70%-3.32B
-33.66%-6.63B
-17.70%-18.14B
32.01%-2.17B
-20.77%-4.68B
-50.62%-6.34B
-19.70%-4.96B
-218.73%-15.41B
-994.40%-3.19B
Net cash flow
Beginning cash position
-56.03%8.64B
-44.29%9.68B
-38.12%9.64B
11.38%15.58B
-38.24%14.42B
-4.44%19.65B
-16.77%17.38B
11.38%15.58B
107.00%13.99B
69.37%23.35B
Current changes in cash
85.47%-737M
-144.14%-1.07B
-87.73%222M
-251.58%-5.85B
41.83%-5.01B
-211.17%-5.07B
225.81%2.42B
-74.75%1.81B
-50.31%3.86B
-2,896.10%-8.61B
Effect of exchange rate changes
162.82%98M
118.83%29M
-2,162.50%-181M
96.16%-87M
-72.60%231M
91.23%-156M
85.53%-154M
97.04%-8M
-321.56%-2.27B
895.28%843M
End cash Position
-44.51%8B
-56.03%8.64B
-44.29%9.68B
-38.12%9.64B
-38.12%9.64B
-38.24%14.42B
-4.44%19.65B
-16.77%17.38B
11.38%15.58B
11.38%15.58B
Free cash flow
53.21%3.96B
-35.94%-1.34B
-49.00%6.54B
-46.45%14.13B
-115.55%-294M
-42.90%2.58B
-114.47%-985M
-2.55%12.82B
26.96%26.38B
-68.09%1.89B
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
--
(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 34.80%7.06B-13.24%1.61B-39.33%9.02B-29.70%24.7B-35.86%2.74B-20.40%5.24B-78.19%1.86B-5.70%14.87B21.93%35.14B-47.64%4.27B
Net income from continuing operations -2.61%7.27B2.12%7.53B-41.65%8B-51.80%37.88B-35.47%9.34B-72.51%7.47B-62.67%7.37B-20.41%13.71B148.88%78.6B10.16%14.47B
Operating gains losses -114.01%-29M-69.32%320M88.35%-46M110.65%197M-128.99%-658M108.47%207M136.93%1.04B-134.41%-395M-80.04%-1.85B663.28%2.27B
Depreciation and amortization -31.98%2.33B16.14%2.35B5.89%2.43B66.39%10.63B145.10%2.9B226.12%3.42B-5.61%2.02B13.58%2.29B-45.46%6.39B-75.21%1.18B
Other non cash items -3,033.33%-616M-166.43%-738M-172.53%-883M-380.56%-1.31B-125.15%-735M101.70%21M69.86%-277M-8.36%-324M341.51%468M326.72%2.92B
Change In working capital 134.37%810M-112.92%-286M-38.29%3.18B207.45%4.96B97.99%-51M-149.15%-2.36B290.86%2.21B22,313.04%5.16B-1.54%-4.62B20.35%-2.53B
Cash from discontinued investing activities
Operating cash flow 34.78%7.06B-13.25%1.61B-39.34%9.02B-29.70%24.7B-35.88%2.74B-20.40%5.24B-78.20%1.86B-5.71%14.87B21.93%35.14B-47.65%4.27B
Investing cash flow
Cash flow from continuing investing activities 68.10%-1.8B-90.82%634M73.20%-2.17B21.78%-12.41B42.47%-5.57B-403.50%-5.64B293.53%6.91B-81.54%-8.1B2.15%-15.86B-18.13%-9.69B
Capital expenditure reported -16.82%-3.1B-3.80%-2.95B-21.06%-2.48B-20.75%-10.58B-27.53%-3.03B-29.18%-2.65B-65.91%-2.84B21.60%-2.05B-8.93%-8.76B-6.79%-2.38B
Net business purchase and sale --041.84%-467M--0-912.93%-1.2B---40M-376.19%-100M-577.98%-803M---252M232.43%147M--0
Net investment purchase and sale 151.14%1.36B-59.21%4.28B107.80%461M89.96%-823M62.66%-2.75B-171.54%-2.67B593.33%10.5B-143.65%-5.91B17.65%-8.2B-18.10%-7.37B
Net other investing changes 71.23%-63M-597.87%-234M-236.36%-150M-80.49%184M355.56%246M-206.83%-219M-56.07%47M-80.94%110M-50.16%943M-79.31%54M
Cash from discontinued investing activities
Investing cash flow 68.10%-1.8B-90.83%633M73.20%-2.17B21.77%-12.41B42.46%-5.57B-403.66%-5.64B293.58%6.91B-81.50%-8.1B2.15%-15.86B-18.13%-9.69B
Financing cash flow
Cash flow from continuing financing activities -28.26%-6B47.69%-3.32B-33.71%-6.63B-17.71%-18.14B31.99%-2.17B-20.77%-4.68B-50.64%-6.34B-19.68%-4.96B-218.71%-15.41B-994.12%-3.19B
Net issuance payments of debt 133.44%512M-281.94%-846M-109.72%-3.43B75.48%-1.65B374.48%1.05B-147.33%-1.53B117.93%465M47.61%-1.64B-147.17%-6.72B-133.57%-384M
Net common stock issuance -759.51%-4.56B90.24%-398M-19.31%-550M-68.60%-5.59B10.23%-518M73.40%-531M-1,241.78%-4.08B-5.01%-461M-932.71%-3.32B-159.91%-577M
Cash dividends paid 25.60%-1.94B23.96%-2.07B7.41%-2.65B-102.71%-10.91B-21.34%-2.71B-108.04%-2.61B-108.02%-2.73B-391.58%-2.86B-199.39%-5.38B-294.87%-2.23B
Net other financing activities ----0.00%1M200.00%1M--------------1M---1M---1M----
Cash from discontinued financing activities
Financing cash flow -28.26%-6B47.70%-3.32B-33.66%-6.63B-17.70%-18.14B32.01%-2.17B-20.77%-4.68B-50.62%-6.34B-19.70%-4.96B-218.73%-15.41B-994.40%-3.19B
Net cash flow
Beginning cash position -56.03%8.64B-44.29%9.68B-38.12%9.64B11.38%15.58B-38.24%14.42B-4.44%19.65B-16.77%17.38B11.38%15.58B107.00%13.99B69.37%23.35B
Current changes in cash 85.47%-737M-144.14%-1.07B-87.73%222M-251.58%-5.85B41.83%-5.01B-211.17%-5.07B225.81%2.42B-74.75%1.81B-50.31%3.86B-2,896.10%-8.61B
Effect of exchange rate changes 162.82%98M118.83%29M-2,162.50%-181M96.16%-87M-72.60%231M91.23%-156M85.53%-154M97.04%-8M-321.56%-2.27B895.28%843M
End cash Position -44.51%8B-56.03%8.64B-44.29%9.68B-38.12%9.64B-38.12%9.64B-38.24%14.42B-4.44%19.65B-16.77%17.38B11.38%15.58B11.38%15.58B
Free cash flow 53.21%3.96B-35.94%-1.34B-49.00%6.54B-46.45%14.13B-115.55%-294M-42.90%2.58B-114.47%-985M-2.55%12.82B26.96%26.38B-68.09%1.89B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----------------Unqualified Opinion with Explanatory Notes--
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