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FMC FMC Corp

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  • 48.705
  • -0.425-0.87%
Trading Dec 27 12:30 ET
6.08BMarket Cap4.20P/E (TTM)

FMC 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
Assets
Current assets
Cash, cash equivalents and short term investments
28.69%416.7M
-49.92%471.5M
-15.49%417.8M
-47.13%302.4M
-47.13%302.4M
-11.00%323.8M
59.17%941.5M
35.41%494.4M
10.68%572M
10.68%572M
-Cash and cash equivalents
28.69%416.7M
-49.92%471.5M
-15.49%417.8M
-47.13%302.4M
-47.13%302.4M
-11.00%323.8M
59.17%941.5M
35.41%494.4M
10.68%572M
10.68%572M
Receivables
12.71%2.89B
-2.89%2.7B
-12.00%2.82B
-3.24%2.95B
-3.24%2.95B
-1.36%2.56B
-3.55%2.78B
11.63%3.2B
8.32%3.04B
8.32%3.04B
-Accounts receivable
12.71%2.89B
-2.89%2.7B
-12.00%2.82B
-5.86%2.7B
-5.86%2.7B
-1.36%2.56B
-3.55%2.78B
11.63%3.2B
11.14%2.87B
11.14%2.87B
-Taxes receivable
----
----
----
40.31%241.9M
40.31%241.9M
----
----
----
-23.78%172.4M
-23.78%172.4M
Inventory
-30.35%1.39B
-30.75%1.44B
-16.94%1.59B
4.42%1.72B
4.42%1.72B
15.43%2B
30.30%2.07B
20.13%1.91B
8.52%1.65B
8.52%1.65B
Prepaid assets
----
----
----
21.43%15.3M
21.43%15.3M
----
----
----
-91.01%12.6M
-91.01%12.6M
Other current assets
41.53%616.2M
27.88%601.3M
-9.46%375.2M
-2.68%141.5M
-2.68%141.5M
4.81%435.4M
4.40%470.2M
-12.57%414.4M
249.52%145.4M
249.52%145.4M
Total current assets
-0.13%5.32B
-16.86%5.21B
-13.68%5.2B
-5.69%5.13B
-5.69%5.13B
4.14%5.32B
13.58%6.27B
13.65%6.02B
7.61%5.44B
7.61%5.44B
Non current assets
Net PPE
-0.36%869.4M
-0.78%861.1M
1.50%875.6M
4.20%1.01B
4.20%1.01B
10.50%872.5M
8.84%867.9M
7.29%862.7M
2.23%973.4M
2.23%973.4M
-Gross PPE
6.95%1.62B
5.85%1.57B
8.26%1.57B
9.24%1.68B
9.24%1.68B
10.99%1.51B
9.45%1.48B
7.96%1.45B
5.09%1.54B
5.09%1.54B
-Accumulated depreciation
-16.92%-746.9M
-15.23%-707.4M
-18.22%-692.2M
-17.92%-667.3M
-17.92%-667.3M
-11.68%-638.8M
-10.33%-613.9M
-8.97%-585.5M
-10.42%-565.9M
-10.42%-565.9M
Goodwill and other intangible assets
-2.43%3.94B
-3.88%3.92B
-1.74%4.02B
-1.14%4.18B
-1.14%4.18B
-0.22%4.04B
4.58%4.08B
3.48%4.09B
2.46%4.23B
2.46%4.23B
-Goodwill
-4.22%1.52B
-5.22%1.51B
-0.26%1.59B
0.27%1.59B
0.27%1.59B
0.67%1.58B
9.38%1.59B
8.81%1.59B
8.61%1.59B
8.61%1.59B
-Other intangible assets
-1.28%2.42B
-3.03%2.41B
-2.69%2.43B
-2.00%2.59B
-2.00%2.59B
-0.79%2.45B
1.72%2.49B
0.35%2.5B
-0.92%2.64B
-0.92%2.64B
Investments and advances
31.09%25.3M
28.09%22.8M
13.56%20.1M
36.55%19.8M
36.55%19.8M
87.38%19.3M
76.24%17.8M
73.53%17.7M
57.61%14.5M
57.61%14.5M
Non current accounts receivable
----
----
----
-52.20%39.2M
-52.20%39.2M
----
----
----
-9.69%82M
-9.69%82M
Non current deferred assets
674.53%1.62B
661.60%1.66B
528.47%1.38B
483.36%1.36B
483.36%1.36B
13.69%209.3M
1.68%218.5M
-2.06%218.8M
8.36%233.2M
8.36%233.2M
Non current prepaid assets
----
----
----
-18.68%97.1M
-18.68%97.1M
----
----
----
-7.44%119.4M
-7.44%119.4M
Defined pension benefit
----
----
----
37.05%30.7M
37.05%30.7M
----
----
----
-55.56%22.4M
-55.56%22.4M
Other non current assets
-9.55%447.9M
-9.94%450.1M
-5.82%488.8M
-6.62%53.6M
-6.62%53.6M
-20.55%495.2M
-17.00%499.8M
-15.49%519M
31.95%57.4M
31.95%57.4M
Total non current assets
22.53%6.9B
21.73%6.92B
18.74%6.78B
18.57%6.8B
18.57%6.8B
-0.35%5.63B
2.86%5.68B
1.85%5.71B
2.02%5.73B
2.02%5.73B
Total assets
11.52%12.22B
1.50%12.13B
2.10%11.98B
6.76%11.93B
6.76%11.93B
1.78%10.96B
8.22%11.95B
7.59%11.73B
4.67%11.17B
4.67%11.17B
Liabilities
Current liabilities
Payables
15.03%886.1M
-28.96%817.6M
-46.67%705.5M
-44.48%799.3M
-44.48%799.3M
-32.72%770.3M
-6.59%1.15B
14.90%1.32B
13.60%1.44B
13.60%1.44B
-accounts payable
21.19%802.9M
-32.48%697.3M
-50.18%589.3M
-51.89%602.4M
-51.89%602.4M
-36.65%662.5M
-7.98%1.03B
11.86%1.18B
10.33%1.25B
10.33%1.25B
-Total tax payable
-22.82%83.2M
1.78%120.3M
-17.12%116.2M
8.46%124.4M
8.46%124.4M
8.56%107.8M
7.55%118.2M
49.15%140.2M
75.38%114.7M
75.38%114.7M
-Dividends payable
----
----
----
-0.28%72.5M
-0.28%72.5M
----
----
----
8.83%72.7M
8.83%72.7M
Current accrued expenses
6.19%1.57B
3.71%1.48B
1.98%1.36B
7.14%907.4M
7.14%907.4M
0.92%1.48B
2.93%1.43B
0.17%1.33B
12.34%846.9M
12.34%846.9M
Current provisions
----
----
----
48.21%144.8M
48.21%144.8M
----
----
----
0.00%97.7M
0.00%97.7M
Current debt and capital lease obligation
-4.54%1.04B
-30.55%1.15B
-30.21%1.31B
70.29%958.4M
70.29%958.4M
32.25%1.09B
43.75%1.66B
80.57%1.88B
21.21%562.8M
21.21%562.8M
-Current debt
-4.54%1.04B
-30.55%1.15B
-30.21%1.31B
72.71%934M
72.71%934M
32.25%1.09B
43.75%1.66B
80.57%1.88B
22.69%540.8M
22.69%540.8M
-Current capital lease obligation
----
----
----
10.91%24.4M
10.91%24.4M
----
----
----
-6.38%22M
-6.38%22M
Current deferred liabilities
-76.47%400K
-76.47%800K
533.57%88.7M
-29.16%482.1M
-29.16%482.1M
-48.48%1.7M
88.89%3.4M
-65.00%14M
-4.52%680.5M
-4.52%680.5M
Other current liabilities
-18.51%77.9M
-39.89%63.9M
-29.97%80.4M
-49.23%86.2M
-49.23%86.2M
-48.10%95.6M
-48.12%106.3M
-56.03%114.8M
-22.89%169.8M
-22.89%169.8M
Current liabilities
4.12%3.59B
-19.06%3.52B
-23.89%3.55B
-10.92%3.38B
-10.92%3.38B
-5.11%3.45B
9.21%4.35B
21.91%4.67B
7.93%3.8B
7.93%3.8B
Non current liabilities
Long term provisions
10.36%459.1M
8.29%466.3M
12.16%477.9M
10.33%634.7M
10.33%634.7M
16.69%416M
15.32%430.6M
8.26%426.1M
5.97%575.3M
5.97%575.3M
Long term debt and capital lease obligation
0.13%3.03B
0.13%3.03B
29.59%3.02B
9.96%3.15B
9.96%3.15B
10.63%3.02B
10.63%3.02B
-14.58%2.33B
-0.34%2.86B
-0.34%2.86B
-Long term debt
0.13%3.03B
0.13%3.03B
29.59%3.02B
10.62%3.02B
10.62%3.02B
10.63%3.02B
10.63%3.02B
-14.58%2.33B
0.05%2.73B
0.05%2.73B
-Long term capital lease obligation
----
----
----
-4.20%123.2M
-4.20%123.2M
----
----
----
-8.14%128.6M
-8.14%128.6M
Non current deferred liabilities
-67.55%104.2M
-66.10%109.9M
-53.21%151.6M
-47.03%188.1M
-47.03%188.1M
-8.70%321.1M
-2.93%324.2M
-4.48%324M
-6.28%355.1M
-6.28%355.1M
Employee benefits
-19.93%23.7M
-20.88%23.5M
-18.18%24.3M
-23.71%26.7M
-23.71%26.7M
-23.71%29.6M
-24.81%29.7M
-26.12%29.7M
-26.93%35M
-26.93%35M
Other non current liabilities
-4.78%386.4M
-3.30%401.4M
-9.07%414.2M
9.38%88.6M
9.38%88.6M
-9.70%405.8M
-8.29%415.1M
-6.64%455.5M
7.14%81M
7.14%81M
Total non current liabilities
-4.65%4B
-4.61%4.03B
14.66%4.09B
3.46%4.11B
3.46%4.11B
6.78%4.2B
7.39%4.22B
-10.62%3.57B
-0.96%3.97B
-0.96%3.97B
Total liabilities
-0.70%7.59B
-11.95%7.55B
-7.19%7.65B
-3.57%7.49B
-3.57%7.49B
1.07%7.64B
8.30%8.57B
5.31%8.24B
3.20%7.77B
3.20%7.77B
Shareholders'equity
Share capital
0.00%18.6M
0.00%18.6M
0.00%18.6M
0.00%18.6M
0.00%18.6M
0.00%18.6M
0.00%18.6M
0.00%18.6M
0.00%18.6M
0.00%18.6M
-common stock
0.00%18.6M
0.00%18.6M
0.00%18.6M
0.00%18.6M
0.00%18.6M
0.00%18.6M
0.00%18.6M
0.00%18.6M
0.00%18.6M
0.00%18.6M
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
20.95%6.73B
19.46%6.73B
14.66%6.51B
18.56%6.59B
18.56%6.59B
3.85%5.56B
8.43%5.64B
10.67%5.68B
9.09%5.56B
9.09%5.56B
Paid-in capital
3.38%960.9M
3.60%955.6M
2.84%942.4M
2.90%935.6M
2.90%935.6M
2.90%929.5M
2.77%922.4M
2.86%916.4M
3.27%909.2M
3.27%909.2M
Less: Treasury stock
0.03%2.72B
0.02%2.72B
1.87%2.72B
2.94%2.72B
2.94%2.72B
6.96%2.72B
6.98%2.72B
5.03%2.67B
4.10%2.65B
4.10%2.65B
Gains losses not affecting retained earnings
24.49%-373.4M
15.33%-424.3M
6.87%-436.6M
11.55%-406.5M
11.55%-406.5M
8.76%-494.5M
-8.84%-501.1M
-7.62%-468.8M
-41.20%-459.6M
-41.20%-459.6M
Total stockholders'equity
40.02%4.61B
35.98%4.56B
24.23%4.31B
30.58%4.41B
30.58%4.41B
3.22%3.29B
7.87%3.35B
13.45%3.47B
8.12%3.38B
8.12%3.38B
Noncontrolling interests
-5.51%22.3M
-12.70%21.3M
-10.08%21.4M
-2.17%22.5M
-2.17%22.5M
53.25%23.6M
29.79%24.4M
3.03%23.8M
18.56%23M
18.56%23M
Total equity
39.69%4.63B
35.63%4.58B
23.99%4.33B
30.36%4.43B
30.36%4.43B
3.46%3.31B
8.00%3.38B
13.38%3.49B
8.18%3.4B
8.18%3.4B
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 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
Assets
Current assets
Cash, cash equivalents and short term investments 28.69%416.7M-49.92%471.5M-15.49%417.8M-47.13%302.4M-47.13%302.4M-11.00%323.8M59.17%941.5M35.41%494.4M10.68%572M10.68%572M
-Cash and cash equivalents 28.69%416.7M-49.92%471.5M-15.49%417.8M-47.13%302.4M-47.13%302.4M-11.00%323.8M59.17%941.5M35.41%494.4M10.68%572M10.68%572M
Receivables 12.71%2.89B-2.89%2.7B-12.00%2.82B-3.24%2.95B-3.24%2.95B-1.36%2.56B-3.55%2.78B11.63%3.2B8.32%3.04B8.32%3.04B
-Accounts receivable 12.71%2.89B-2.89%2.7B-12.00%2.82B-5.86%2.7B-5.86%2.7B-1.36%2.56B-3.55%2.78B11.63%3.2B11.14%2.87B11.14%2.87B
-Taxes receivable ------------40.31%241.9M40.31%241.9M-------------23.78%172.4M-23.78%172.4M
Inventory -30.35%1.39B-30.75%1.44B-16.94%1.59B4.42%1.72B4.42%1.72B15.43%2B30.30%2.07B20.13%1.91B8.52%1.65B8.52%1.65B
Prepaid assets ------------21.43%15.3M21.43%15.3M-------------91.01%12.6M-91.01%12.6M
Other current assets 41.53%616.2M27.88%601.3M-9.46%375.2M-2.68%141.5M-2.68%141.5M4.81%435.4M4.40%470.2M-12.57%414.4M249.52%145.4M249.52%145.4M
Total current assets -0.13%5.32B-16.86%5.21B-13.68%5.2B-5.69%5.13B-5.69%5.13B4.14%5.32B13.58%6.27B13.65%6.02B7.61%5.44B7.61%5.44B
Non current assets
Net PPE -0.36%869.4M-0.78%861.1M1.50%875.6M4.20%1.01B4.20%1.01B10.50%872.5M8.84%867.9M7.29%862.7M2.23%973.4M2.23%973.4M
-Gross PPE 6.95%1.62B5.85%1.57B8.26%1.57B9.24%1.68B9.24%1.68B10.99%1.51B9.45%1.48B7.96%1.45B5.09%1.54B5.09%1.54B
-Accumulated depreciation -16.92%-746.9M-15.23%-707.4M-18.22%-692.2M-17.92%-667.3M-17.92%-667.3M-11.68%-638.8M-10.33%-613.9M-8.97%-585.5M-10.42%-565.9M-10.42%-565.9M
Goodwill and other intangible assets -2.43%3.94B-3.88%3.92B-1.74%4.02B-1.14%4.18B-1.14%4.18B-0.22%4.04B4.58%4.08B3.48%4.09B2.46%4.23B2.46%4.23B
-Goodwill -4.22%1.52B-5.22%1.51B-0.26%1.59B0.27%1.59B0.27%1.59B0.67%1.58B9.38%1.59B8.81%1.59B8.61%1.59B8.61%1.59B
-Other intangible assets -1.28%2.42B-3.03%2.41B-2.69%2.43B-2.00%2.59B-2.00%2.59B-0.79%2.45B1.72%2.49B0.35%2.5B-0.92%2.64B-0.92%2.64B
Investments and advances 31.09%25.3M28.09%22.8M13.56%20.1M36.55%19.8M36.55%19.8M87.38%19.3M76.24%17.8M73.53%17.7M57.61%14.5M57.61%14.5M
Non current accounts receivable -------------52.20%39.2M-52.20%39.2M-------------9.69%82M-9.69%82M
Non current deferred assets 674.53%1.62B661.60%1.66B528.47%1.38B483.36%1.36B483.36%1.36B13.69%209.3M1.68%218.5M-2.06%218.8M8.36%233.2M8.36%233.2M
Non current prepaid assets -------------18.68%97.1M-18.68%97.1M-------------7.44%119.4M-7.44%119.4M
Defined pension benefit ------------37.05%30.7M37.05%30.7M-------------55.56%22.4M-55.56%22.4M
Other non current assets -9.55%447.9M-9.94%450.1M-5.82%488.8M-6.62%53.6M-6.62%53.6M-20.55%495.2M-17.00%499.8M-15.49%519M31.95%57.4M31.95%57.4M
Total non current assets 22.53%6.9B21.73%6.92B18.74%6.78B18.57%6.8B18.57%6.8B-0.35%5.63B2.86%5.68B1.85%5.71B2.02%5.73B2.02%5.73B
Total assets 11.52%12.22B1.50%12.13B2.10%11.98B6.76%11.93B6.76%11.93B1.78%10.96B8.22%11.95B7.59%11.73B4.67%11.17B4.67%11.17B
Liabilities
Current liabilities
Payables 15.03%886.1M-28.96%817.6M-46.67%705.5M-44.48%799.3M-44.48%799.3M-32.72%770.3M-6.59%1.15B14.90%1.32B13.60%1.44B13.60%1.44B
-accounts payable 21.19%802.9M-32.48%697.3M-50.18%589.3M-51.89%602.4M-51.89%602.4M-36.65%662.5M-7.98%1.03B11.86%1.18B10.33%1.25B10.33%1.25B
-Total tax payable -22.82%83.2M1.78%120.3M-17.12%116.2M8.46%124.4M8.46%124.4M8.56%107.8M7.55%118.2M49.15%140.2M75.38%114.7M75.38%114.7M
-Dividends payable -------------0.28%72.5M-0.28%72.5M------------8.83%72.7M8.83%72.7M
Current accrued expenses 6.19%1.57B3.71%1.48B1.98%1.36B7.14%907.4M7.14%907.4M0.92%1.48B2.93%1.43B0.17%1.33B12.34%846.9M12.34%846.9M
Current provisions ------------48.21%144.8M48.21%144.8M------------0.00%97.7M0.00%97.7M
Current debt and capital lease obligation -4.54%1.04B-30.55%1.15B-30.21%1.31B70.29%958.4M70.29%958.4M32.25%1.09B43.75%1.66B80.57%1.88B21.21%562.8M21.21%562.8M
-Current debt -4.54%1.04B-30.55%1.15B-30.21%1.31B72.71%934M72.71%934M32.25%1.09B43.75%1.66B80.57%1.88B22.69%540.8M22.69%540.8M
-Current capital lease obligation ------------10.91%24.4M10.91%24.4M-------------6.38%22M-6.38%22M
Current deferred liabilities -76.47%400K-76.47%800K533.57%88.7M-29.16%482.1M-29.16%482.1M-48.48%1.7M88.89%3.4M-65.00%14M-4.52%680.5M-4.52%680.5M
Other current liabilities -18.51%77.9M-39.89%63.9M-29.97%80.4M-49.23%86.2M-49.23%86.2M-48.10%95.6M-48.12%106.3M-56.03%114.8M-22.89%169.8M-22.89%169.8M
Current liabilities 4.12%3.59B-19.06%3.52B-23.89%3.55B-10.92%3.38B-10.92%3.38B-5.11%3.45B9.21%4.35B21.91%4.67B7.93%3.8B7.93%3.8B
Non current liabilities
Long term provisions 10.36%459.1M8.29%466.3M12.16%477.9M10.33%634.7M10.33%634.7M16.69%416M15.32%430.6M8.26%426.1M5.97%575.3M5.97%575.3M
Long term debt and capital lease obligation 0.13%3.03B0.13%3.03B29.59%3.02B9.96%3.15B9.96%3.15B10.63%3.02B10.63%3.02B-14.58%2.33B-0.34%2.86B-0.34%2.86B
-Long term debt 0.13%3.03B0.13%3.03B29.59%3.02B10.62%3.02B10.62%3.02B10.63%3.02B10.63%3.02B-14.58%2.33B0.05%2.73B0.05%2.73B
-Long term capital lease obligation -------------4.20%123.2M-4.20%123.2M-------------8.14%128.6M-8.14%128.6M
Non current deferred liabilities -67.55%104.2M-66.10%109.9M-53.21%151.6M-47.03%188.1M-47.03%188.1M-8.70%321.1M-2.93%324.2M-4.48%324M-6.28%355.1M-6.28%355.1M
Employee benefits -19.93%23.7M-20.88%23.5M-18.18%24.3M-23.71%26.7M-23.71%26.7M-23.71%29.6M-24.81%29.7M-26.12%29.7M-26.93%35M-26.93%35M
Other non current liabilities -4.78%386.4M-3.30%401.4M-9.07%414.2M9.38%88.6M9.38%88.6M-9.70%405.8M-8.29%415.1M-6.64%455.5M7.14%81M7.14%81M
Total non current liabilities -4.65%4B-4.61%4.03B14.66%4.09B3.46%4.11B3.46%4.11B6.78%4.2B7.39%4.22B-10.62%3.57B-0.96%3.97B-0.96%3.97B
Total liabilities -0.70%7.59B-11.95%7.55B-7.19%7.65B-3.57%7.49B-3.57%7.49B1.07%7.64B8.30%8.57B5.31%8.24B3.20%7.77B3.20%7.77B
Shareholders'equity
Share capital 0.00%18.6M0.00%18.6M0.00%18.6M0.00%18.6M0.00%18.6M0.00%18.6M0.00%18.6M0.00%18.6M0.00%18.6M0.00%18.6M
-common stock 0.00%18.6M0.00%18.6M0.00%18.6M0.00%18.6M0.00%18.6M0.00%18.6M0.00%18.6M0.00%18.6M0.00%18.6M0.00%18.6M
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings 20.95%6.73B19.46%6.73B14.66%6.51B18.56%6.59B18.56%6.59B3.85%5.56B8.43%5.64B10.67%5.68B9.09%5.56B9.09%5.56B
Paid-in capital 3.38%960.9M3.60%955.6M2.84%942.4M2.90%935.6M2.90%935.6M2.90%929.5M2.77%922.4M2.86%916.4M3.27%909.2M3.27%909.2M
Less: Treasury stock 0.03%2.72B0.02%2.72B1.87%2.72B2.94%2.72B2.94%2.72B6.96%2.72B6.98%2.72B5.03%2.67B4.10%2.65B4.10%2.65B
Gains losses not affecting retained earnings 24.49%-373.4M15.33%-424.3M6.87%-436.6M11.55%-406.5M11.55%-406.5M8.76%-494.5M-8.84%-501.1M-7.62%-468.8M-41.20%-459.6M-41.20%-459.6M
Total stockholders'equity 40.02%4.61B35.98%4.56B24.23%4.31B30.58%4.41B30.58%4.41B3.22%3.29B7.87%3.35B13.45%3.47B8.12%3.38B8.12%3.38B
Noncontrolling interests -5.51%22.3M-12.70%21.3M-10.08%21.4M-2.17%22.5M-2.17%22.5M53.25%23.6M29.79%24.4M3.03%23.8M18.56%23M18.56%23M
Total equity 39.69%4.63B35.63%4.58B23.99%4.33B30.36%4.43B30.36%4.43B3.46%3.31B8.00%3.38B13.38%3.49B8.18%3.4B8.18%3.4B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion with Explanatory Notes--
Heat List
US
Overall
Symbol
Price
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