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GRAB Grab Holdings

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  • 4.778
  • -0.182-3.67%
Trading Dec 27 13:24 ET
19.24BMarket Cap-238.90P/E (TTM)

Grab Holdings 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
17.84%5.65B
-3.06%4.43B
-17.81%4.01B
-0.85%5.04B
-0.85%5.04B
-26.87%4.8B
-32.96%4.57B
-34.87%4.87B
-37.04%5.09B
-37.04%5.09B
-Cash and cash equivalents
-4.41%2.89B
-1.01%2.26B
-10.12%2.11B
60.76%3.14B
60.76%3.14B
23.33%3.02B
-18.30%2.28B
-30.59%2.35B
-59.65%1.95B
-59.65%1.95B
-Short-term investments
55.56%2.77B
-5.12%2.17B
-24.98%1.89B
-39.22%1.91B
-39.22%1.91B
-56.73%1.78B
-43.15%2.29B
-38.41%2.52B
-3.27%3.13B
-3.27%3.13B
Receivables
69.07%656M
43.09%518M
45.59%495M
19.70%486M
19.70%486M
25.16%388M
19.47%362M
11.84%340M
40.97%406M
40.97%406M
-Accounts receivable
77.03%262M
-44.20%202M
-40.29%203M
19.00%119M
19.00%119M
-52.26%148M
19.47%362M
11.84%340M
5.26%100M
5.26%100M
-Loans receivable
64.17%394M
--316M
--292M
47.03%272M
47.03%272M
--240M
----
----
72.90%185M
72.90%185M
-Taxes receivable
----
----
----
-34.78%30M
-34.78%30M
----
----
----
-4.17%46M
-4.17%46M
-Other receivables
----
----
----
-11.49%77M
-11.49%77M
----
----
----
64.15%87M
64.15%87M
-Recievables adjustments allowances
----
----
----
0.00%-12M
0.00%-12M
----
----
----
20.00%-12M
20.00%-12M
Inventory
21.74%56M
6.67%48M
2.13%48M
2.08%49M
2.08%49M
9.52%46M
-4.26%45M
4.44%47M
1,100.00%48M
1,100.00%48M
Prepaid assets
----
----
----
31.45%163M
31.45%163M
----
----
----
-3.88%124M
-3.88%124M
Restricted cash
----
--188M
----
----
----
----
----
----
----
----
Other current assets
-24.23%172M
26.97%306M
6.02%282M
12.50%27M
12.50%27M
1.79%227M
-15.73%241M
17.70%266M
4.35%24M
4.35%24M
Total current assets
19.77%6.54B
5.21%5.49B
-12.60%4.83B
1.41%5.77B
1.41%5.77B
-23.50%5.46B
-29.99%5.22B
-31.41%5.53B
-34.43%5.69B
-34.43%5.69B
Non current assets
Net PPE
10.32%524M
2.99%483M
1.25%485M
4.07%512M
4.07%512M
1.06%475M
-5.06%469M
-5.71%479M
11.56%492M
11.56%492M
-Gross PPE
----
----
----
10.71%1.03B
10.71%1.03B
----
----
----
16.90%934M
16.90%934M
-Accumulated depreciation
----
----
----
-18.10%-522M
-18.10%-522M
----
----
----
-23.46%-442M
-23.46%-442M
Goodwill and other intangible assets
2.84%943M
0.11%914M
0.33%912M
1.33%916M
1.33%916M
1.44%917M
0.88%913M
0.44%909M
33.93%904M
33.93%904M
-Goodwill
----
----
----
0.00%807M
0.00%807M
----
----
----
24.73%807M
24.73%807M
-Other intangible assets
----
----
----
12.37%109M
12.37%109M
----
----
----
246.43%97M
246.43%97M
Investments and advances
-39.87%902M
-8.13%1.34B
27.58%1.64B
-30.23%1.29B
-30.23%1.29B
5.56%1.5B
6.63%1.46B
-3.31%1.29B
47.33%1.85B
47.33%1.85B
Long-term notes receivables
197.14%104M
--82M
--71M
70.11%148M
70.11%148M
--35M
----
----
--87M
--87M
Non current deferred assets
58.82%54M
47.37%56M
190.00%58M
180.00%56M
180.00%56M
385.71%34M
322.22%38M
400.00%20M
300.00%20M
300.00%20M
Non current prepaid assets
----
----
----
-21.54%102M
-21.54%102M
----
----
----
2.36%130M
2.36%130M
Other non current assets
-38.25%113M
-48.97%99M
8.99%194M
----
----
41.86%183M
56.45%194M
41.27%178M
----
----
Total non current assets
-16.03%2.64B
-3.22%2.98B
17.02%3.36B
-13.15%3.02B
-13.15%3.02B
7.27%3.14B
5.96%3.08B
-0.03%2.87B
39.11%3.48B
39.11%3.48B
Total assets
6.68%9.18B
2.09%8.47B
-2.46%8.19B
-4.12%8.79B
-4.12%8.79B
-14.54%8.6B
-19.91%8.29B
-23.16%8.4B
-17.96%9.17B
-17.96%9.17B
Liabilities
Current liabilities
Payables
29.23%1.19B
5.63%975M
0.00%873M
10.44%328M
10.44%328M
8.01%917M
13.39%923M
8.58%873M
18.33%297M
18.33%297M
-accounts payable
27.60%1.14B
5.19%952M
-0.47%855M
-2.12%185M
-2.12%185M
5.92%895M
11.73%905M
7.24%859M
13.17%189M
13.17%189M
-Total tax payable
95.45%43M
27.78%23M
28.57%18M
58.70%73M
58.70%73M
450.00%22M
350.00%18M
366.67%14M
43.75%46M
43.75%46M
-Other payable
----
----
----
12.90%70M
12.90%70M
----
----
----
19.23%62M
19.23%62M
Current accrued expenses
----
----
----
-4.42%605M
-4.42%605M
----
----
----
7.84%633M
7.84%633M
Current provisions
20.51%47M
0.00%39M
-2.50%39M
2.63%39M
2.63%39M
8.33%39M
2.63%39M
5.26%40M
8.57%38M
8.57%38M
Current debt and capital lease obligation
-17.36%100M
-24.56%86M
-18.58%92M
6.84%125M
6.84%125M
3.42%121M
-25.49%114M
-27.56%113M
-18.75%117M
-18.75%117M
-Current debt
-17.36%100M
-51.75%55M
-18.58%92M
4.82%87M
4.82%87M
3.42%121M
-25.49%114M
-27.56%113M
-31.97%83M
-31.97%83M
-Current capital lease obligation
----
--31M
----
11.76%38M
11.76%38M
----
----
----
54.55%34M
54.55%34M
Current deferred liabilities
201.93%1.09B
--730M
--479M
3,075.00%381M
3,075.00%381M
--362M
----
----
33.33%12M
33.33%12M
Current liabilities
68.52%2.43B
70.07%1.83B
44.54%1.48B
34.73%1.48B
34.73%1.48B
43.61%1.44B
7.06%1.08B
2.81%1.03B
6.92%1.1B
6.92%1.1B
Non current liabilities
Long term provisions
5.88%18M
0.00%18M
-5.56%17M
0.00%18M
0.00%18M
0.00%17M
5.88%18M
5.88%18M
0.00%18M
0.00%18M
Long term debt and capital lease obligation
-65.30%228M
-68.24%209M
-69.16%206M
-46.47%668M
-46.47%668M
-67.22%657M
-67.34%658M
-67.92%668M
-38.55%1.25B
-38.55%1.25B
-Long term debt
-65.30%228M
-86.17%91M
-69.16%206M
-50.36%544M
-50.36%544M
-67.22%657M
-67.34%658M
-67.92%668M
-43.21%1.1B
-43.21%1.1B
-Long term capital lease obligation
----
--118M
----
-18.42%124M
-18.42%124M
----
----
----
50.50%152M
50.50%152M
Non current deferred liabilities
30.00%26M
15.79%22M
16.67%21M
11.11%20M
11.11%20M
17.65%20M
0.00%19M
-5.26%18M
500.00%18M
500.00%18M
Employee benefits
----
----
----
-15.38%11M
-15.38%11M
----
----
----
-13.33%13M
-13.33%13M
Derivative product liabilities
----
----
----
15.89%124M
15.89%124M
----
----
----
98.15%107M
98.15%107M
Other non current liabilities
-65.00%49M
-66.41%44M
0.00%140M
----
----
14.75%140M
8.26%131M
17.65%140M
----
----
Total non current liabilities
-61.51%321M
-64.53%293M
-54.50%384M
-40.25%846M
-40.25%846M
-61.62%834M
-62.16%826M
-62.61%844M
-33.61%1.42B
-33.61%1.42B
Total liabilities
20.81%2.75B
11.62%2.12B
-0.16%1.87B
-7.52%2.32B
-7.52%2.32B
-28.41%2.27B
-40.34%1.9B
-42.55%1.87B
-20.45%2.51B
-20.45%2.51B
Shareholders'equity
Share capital
3.06%23.31B
1.46%22.93B
1.88%22.87B
1.76%22.67B
1.76%22.67B
1.67%22.62B
1.67%22.6B
1.72%22.45B
--22.28B
--22.28B
-common stock
3.06%23.31B
1.46%22.93B
1.88%22.87B
1.76%22.67B
1.76%22.67B
1.67%22.62B
1.67%22.6B
1.72%22.45B
--22.28B
--22.28B
Retained earnings
-2.56%-17.22B
-2.60%-17.11B
-2.97%-17.01B
-2.99%-16.76B
-2.99%-16.76B
-5.72%-16.79B
-7.35%-16.68B
-10.32%-16.52B
-13.02%-16.28B
-13.02%-16.28B
Gains losses not affecting retained earnings
-42.29%262M
-0.45%441M
-25.18%413M
-18.60%70M
-18.60%70M
-4.42%454M
-1.99%443M
3.76%552M
-85.81%86M
-85.81%86M
Other equity interest
----
----
----
-8.14%474M
-8.14%474M
----
----
----
--516M
--516M
Total stockholders'equity
1.13%6.36B
-1.66%6.27B
-3.21%6.28B
-2.33%6.45B
-2.33%6.45B
-8.15%6.29B
-10.91%6.37B
-15.02%6.48B
-14.61%6.6B
-14.61%6.6B
Noncontrolling interests
73.81%73M
290.00%78M
8.89%49M
-64.81%19M
-64.81%19M
-8.70%42M
33.33%20M
-2.17%45M
-81.12%54M
-81.12%54M
Total equity
1.61%6.43B
-0.75%6.34B
-3.12%6.33B
-2.84%6.47B
-2.84%6.47B
-8.15%6.33B
-10.81%6.39B
-14.94%6.53B
-16.98%6.66B
-16.98%6.66B
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
Assets
Current assets
Cash, cash equivalents and short term investments 17.84%5.65B-3.06%4.43B-17.81%4.01B-0.85%5.04B-0.85%5.04B-26.87%4.8B-32.96%4.57B-34.87%4.87B-37.04%5.09B-37.04%5.09B
-Cash and cash equivalents -4.41%2.89B-1.01%2.26B-10.12%2.11B60.76%3.14B60.76%3.14B23.33%3.02B-18.30%2.28B-30.59%2.35B-59.65%1.95B-59.65%1.95B
-Short-term investments 55.56%2.77B-5.12%2.17B-24.98%1.89B-39.22%1.91B-39.22%1.91B-56.73%1.78B-43.15%2.29B-38.41%2.52B-3.27%3.13B-3.27%3.13B
Receivables 69.07%656M43.09%518M45.59%495M19.70%486M19.70%486M25.16%388M19.47%362M11.84%340M40.97%406M40.97%406M
-Accounts receivable 77.03%262M-44.20%202M-40.29%203M19.00%119M19.00%119M-52.26%148M19.47%362M11.84%340M5.26%100M5.26%100M
-Loans receivable 64.17%394M--316M--292M47.03%272M47.03%272M--240M--------72.90%185M72.90%185M
-Taxes receivable -------------34.78%30M-34.78%30M-------------4.17%46M-4.17%46M
-Other receivables -------------11.49%77M-11.49%77M------------64.15%87M64.15%87M
-Recievables adjustments allowances ------------0.00%-12M0.00%-12M------------20.00%-12M20.00%-12M
Inventory 21.74%56M6.67%48M2.13%48M2.08%49M2.08%49M9.52%46M-4.26%45M4.44%47M1,100.00%48M1,100.00%48M
Prepaid assets ------------31.45%163M31.45%163M-------------3.88%124M-3.88%124M
Restricted cash ------188M--------------------------------
Other current assets -24.23%172M26.97%306M6.02%282M12.50%27M12.50%27M1.79%227M-15.73%241M17.70%266M4.35%24M4.35%24M
Total current assets 19.77%6.54B5.21%5.49B-12.60%4.83B1.41%5.77B1.41%5.77B-23.50%5.46B-29.99%5.22B-31.41%5.53B-34.43%5.69B-34.43%5.69B
Non current assets
Net PPE 10.32%524M2.99%483M1.25%485M4.07%512M4.07%512M1.06%475M-5.06%469M-5.71%479M11.56%492M11.56%492M
-Gross PPE ------------10.71%1.03B10.71%1.03B------------16.90%934M16.90%934M
-Accumulated depreciation -------------18.10%-522M-18.10%-522M-------------23.46%-442M-23.46%-442M
Goodwill and other intangible assets 2.84%943M0.11%914M0.33%912M1.33%916M1.33%916M1.44%917M0.88%913M0.44%909M33.93%904M33.93%904M
-Goodwill ------------0.00%807M0.00%807M------------24.73%807M24.73%807M
-Other intangible assets ------------12.37%109M12.37%109M------------246.43%97M246.43%97M
Investments and advances -39.87%902M-8.13%1.34B27.58%1.64B-30.23%1.29B-30.23%1.29B5.56%1.5B6.63%1.46B-3.31%1.29B47.33%1.85B47.33%1.85B
Long-term notes receivables 197.14%104M--82M--71M70.11%148M70.11%148M--35M----------87M--87M
Non current deferred assets 58.82%54M47.37%56M190.00%58M180.00%56M180.00%56M385.71%34M322.22%38M400.00%20M300.00%20M300.00%20M
Non current prepaid assets -------------21.54%102M-21.54%102M------------2.36%130M2.36%130M
Other non current assets -38.25%113M-48.97%99M8.99%194M--------41.86%183M56.45%194M41.27%178M--------
Total non current assets -16.03%2.64B-3.22%2.98B17.02%3.36B-13.15%3.02B-13.15%3.02B7.27%3.14B5.96%3.08B-0.03%2.87B39.11%3.48B39.11%3.48B
Total assets 6.68%9.18B2.09%8.47B-2.46%8.19B-4.12%8.79B-4.12%8.79B-14.54%8.6B-19.91%8.29B-23.16%8.4B-17.96%9.17B-17.96%9.17B
Liabilities
Current liabilities
Payables 29.23%1.19B5.63%975M0.00%873M10.44%328M10.44%328M8.01%917M13.39%923M8.58%873M18.33%297M18.33%297M
-accounts payable 27.60%1.14B5.19%952M-0.47%855M-2.12%185M-2.12%185M5.92%895M11.73%905M7.24%859M13.17%189M13.17%189M
-Total tax payable 95.45%43M27.78%23M28.57%18M58.70%73M58.70%73M450.00%22M350.00%18M366.67%14M43.75%46M43.75%46M
-Other payable ------------12.90%70M12.90%70M------------19.23%62M19.23%62M
Current accrued expenses -------------4.42%605M-4.42%605M------------7.84%633M7.84%633M
Current provisions 20.51%47M0.00%39M-2.50%39M2.63%39M2.63%39M8.33%39M2.63%39M5.26%40M8.57%38M8.57%38M
Current debt and capital lease obligation -17.36%100M-24.56%86M-18.58%92M6.84%125M6.84%125M3.42%121M-25.49%114M-27.56%113M-18.75%117M-18.75%117M
-Current debt -17.36%100M-51.75%55M-18.58%92M4.82%87M4.82%87M3.42%121M-25.49%114M-27.56%113M-31.97%83M-31.97%83M
-Current capital lease obligation ------31M----11.76%38M11.76%38M------------54.55%34M54.55%34M
Current deferred liabilities 201.93%1.09B--730M--479M3,075.00%381M3,075.00%381M--362M--------33.33%12M33.33%12M
Current liabilities 68.52%2.43B70.07%1.83B44.54%1.48B34.73%1.48B34.73%1.48B43.61%1.44B7.06%1.08B2.81%1.03B6.92%1.1B6.92%1.1B
Non current liabilities
Long term provisions 5.88%18M0.00%18M-5.56%17M0.00%18M0.00%18M0.00%17M5.88%18M5.88%18M0.00%18M0.00%18M
Long term debt and capital lease obligation -65.30%228M-68.24%209M-69.16%206M-46.47%668M-46.47%668M-67.22%657M-67.34%658M-67.92%668M-38.55%1.25B-38.55%1.25B
-Long term debt -65.30%228M-86.17%91M-69.16%206M-50.36%544M-50.36%544M-67.22%657M-67.34%658M-67.92%668M-43.21%1.1B-43.21%1.1B
-Long term capital lease obligation ------118M-----18.42%124M-18.42%124M------------50.50%152M50.50%152M
Non current deferred liabilities 30.00%26M15.79%22M16.67%21M11.11%20M11.11%20M17.65%20M0.00%19M-5.26%18M500.00%18M500.00%18M
Employee benefits -------------15.38%11M-15.38%11M-------------13.33%13M-13.33%13M
Derivative product liabilities ------------15.89%124M15.89%124M------------98.15%107M98.15%107M
Other non current liabilities -65.00%49M-66.41%44M0.00%140M--------14.75%140M8.26%131M17.65%140M--------
Total non current liabilities -61.51%321M-64.53%293M-54.50%384M-40.25%846M-40.25%846M-61.62%834M-62.16%826M-62.61%844M-33.61%1.42B-33.61%1.42B
Total liabilities 20.81%2.75B11.62%2.12B-0.16%1.87B-7.52%2.32B-7.52%2.32B-28.41%2.27B-40.34%1.9B-42.55%1.87B-20.45%2.51B-20.45%2.51B
Shareholders'equity
Share capital 3.06%23.31B1.46%22.93B1.88%22.87B1.76%22.67B1.76%22.67B1.67%22.62B1.67%22.6B1.72%22.45B--22.28B--22.28B
-common stock 3.06%23.31B1.46%22.93B1.88%22.87B1.76%22.67B1.76%22.67B1.67%22.62B1.67%22.6B1.72%22.45B--22.28B--22.28B
Retained earnings -2.56%-17.22B-2.60%-17.11B-2.97%-17.01B-2.99%-16.76B-2.99%-16.76B-5.72%-16.79B-7.35%-16.68B-10.32%-16.52B-13.02%-16.28B-13.02%-16.28B
Gains losses not affecting retained earnings -42.29%262M-0.45%441M-25.18%413M-18.60%70M-18.60%70M-4.42%454M-1.99%443M3.76%552M-85.81%86M-85.81%86M
Other equity interest -------------8.14%474M-8.14%474M--------------516M--516M
Total stockholders'equity 1.13%6.36B-1.66%6.27B-3.21%6.28B-2.33%6.45B-2.33%6.45B-8.15%6.29B-10.91%6.37B-15.02%6.48B-14.61%6.6B-14.61%6.6B
Noncontrolling interests 73.81%73M290.00%78M8.89%49M-64.81%19M-64.81%19M-8.70%42M33.33%20M-2.17%45M-81.12%54M-81.12%54M
Total equity 1.61%6.43B-0.75%6.34B-3.12%6.33B-2.84%6.47B-2.84%6.47B-8.15%6.33B-10.81%6.39B-14.94%6.53B-16.98%6.66B-16.98%6.66B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--
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