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GRAB Grab Holdings

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  • 4.785
  • +0.005+0.10%
Trading Mar 27 13:55 ET
19.49BMarket Cap-159.50P/E (TTM)

Grab Holdings Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(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
Assets
Current assets
Cash, cash equivalents and short term investments
11.62%5.63B
11.62%5.63B
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
-Cash and cash equivalents
-5.54%2.96B
-5.54%2.96B
-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
-Short-term investments
39.90%2.67B
39.90%2.67B
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
Receivables
33.54%649M
33.54%649M
69.07%656M
43.09%518M
45.59%495M
19.70%486M
19.70%486M
25.16%388M
19.47%362M
11.84%340M
-Accounts receivable
15.97%138M
15.97%138M
77.03%262M
-44.20%202M
-40.29%203M
19.00%119M
19.00%119M
-52.26%148M
19.47%362M
11.84%340M
-Loans receivable
58.46%431M
58.46%431M
64.17%394M
--316M
--292M
47.03%272M
47.03%272M
--240M
----
----
-Taxes receivable
-13.33%26M
-13.33%26M
----
----
----
-34.78%30M
-34.78%30M
----
----
----
-Other receivables
-11.69%68M
-11.69%68M
----
----
----
-11.49%77M
-11.49%77M
----
----
----
-Recievables adjustments allowances
-16.67%-14M
-16.67%-14M
----
----
----
0.00%-12M
0.00%-12M
----
----
----
Inventory
20.41%59M
20.41%59M
21.74%56M
6.67%48M
2.13%48M
2.08%49M
2.08%49M
9.52%46M
-4.26%45M
4.44%47M
Prepaid assets
-17.79%134M
-17.79%134M
----
----
----
31.45%163M
31.45%163M
----
----
----
Restricted cash
----
----
----
--188M
----
----
----
----
----
----
Other current assets
251.85%95M
251.85%95M
-24.23%172M
26.97%306M
6.02%282M
12.50%27M
12.50%27M
1.79%227M
-15.73%241M
17.70%266M
Total current assets
13.83%6.57B
13.83%6.57B
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
Non current assets
Net PPE
10.74%567M
10.74%567M
10.32%524M
2.99%483M
1.25%485M
4.07%512M
4.07%512M
1.06%475M
-5.06%469M
-5.71%479M
-Gross PPE
8.80%1.13B
8.80%1.13B
----
----
----
10.71%1.03B
10.71%1.03B
----
----
----
-Accumulated depreciation
-6.90%-558M
-6.90%-558M
----
----
----
-18.10%-522M
-18.10%-522M
----
----
----
Goodwill and other intangible assets
6.44%975M
6.44%975M
2.84%943M
0.11%914M
0.33%912M
1.33%916M
1.33%916M
1.44%917M
0.88%913M
0.44%909M
-Goodwill
4.71%845M
4.71%845M
----
----
----
0.00%807M
0.00%807M
----
----
----
-Other intangible assets
19.27%130M
19.27%130M
----
----
----
12.37%109M
12.37%109M
----
----
----
Investments and advances
-30.54%896M
-30.54%896M
-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
Long-term notes receivables
-29.05%105M
-29.05%105M
197.14%104M
--82M
--71M
70.11%148M
70.11%148M
--35M
----
----
Non current deferred assets
19.64%67M
19.64%67M
58.82%54M
47.37%56M
190.00%58M
180.00%56M
180.00%56M
385.71%34M
322.22%38M
400.00%20M
Non current prepaid assets
16.67%119M
16.67%119M
----
----
----
-21.54%102M
-21.54%102M
----
----
----
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
-9.76%2.73B
-9.76%2.73B
-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
Total assets
5.72%9.3B
5.72%9.3B
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
Liabilities
Current liabilities
Payables
15.55%379M
15.55%379M
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
-accounts payable
12.43%208M
12.43%208M
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
-Total tax payable
28.77%94M
28.77%94M
95.45%43M
27.78%23M
28.57%18M
58.70%73M
58.70%73M
450.00%22M
350.00%18M
366.67%14M
-Other payable
10.00%77M
10.00%77M
----
----
----
12.90%70M
12.90%70M
----
----
----
Current accrued expenses
19.67%724M
19.67%724M
----
----
----
-4.42%605M
-4.42%605M
----
----
----
Current provisions
5.13%41M
5.13%41M
20.51%47M
0.00%39M
-2.50%39M
2.63%39M
2.63%39M
8.33%39M
2.63%39M
5.26%40M
Current debt and capital lease obligation
-1.60%123M
-1.60%123M
-17.36%100M
-24.56%86M
-18.58%92M
6.84%125M
6.84%125M
3.42%121M
-25.49%114M
-27.56%113M
-Current debt
3.45%90M
3.45%90M
-17.36%100M
-51.75%55M
-18.58%92M
4.82%87M
4.82%87M
3.42%121M
-25.49%114M
-27.56%113M
-Current capital lease obligation
-13.16%33M
-13.16%33M
----
--31M
----
11.76%38M
11.76%38M
----
----
----
Current deferred liabilities
222.05%1.23B
222.05%1.23B
201.93%1.09B
--730M
--479M
3,075.00%381M
3,075.00%381M
--362M
----
----
Other current liabilities
--98M
--98M
----
----
----
----
----
----
----
----
Current liabilities
75.37%2.59B
75.37%2.59B
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
Non current liabilities
Long term provisions
11.11%20M
11.11%20M
5.88%18M
0.00%18M
-5.56%17M
0.00%18M
0.00%18M
0.00%17M
5.88%18M
5.88%18M
Long term debt and capital lease obligation
-63.92%241M
-63.92%241M
-65.30%228M
-68.24%209M
-69.16%206M
-46.47%668M
-46.47%668M
-67.22%657M
-67.34%658M
-67.92%668M
-Long term debt
-78.68%116M
-78.68%116M
-65.30%228M
-86.17%91M
-69.16%206M
-50.36%544M
-50.36%544M
-67.22%657M
-67.34%658M
-67.92%668M
-Long term capital lease obligation
0.81%125M
0.81%125M
----
--118M
----
-18.42%124M
-18.42%124M
----
----
----
Non current deferred liabilities
25.00%25M
25.00%25M
30.00%26M
15.79%22M
16.67%21M
11.11%20M
11.11%20M
17.65%20M
0.00%19M
-5.26%18M
Employee benefits
9.09%12M
9.09%12M
----
----
----
-15.38%11M
-15.38%11M
----
----
----
Derivative product liabilities
-56.45%54M
-56.45%54M
----
----
----
15.89%124M
15.89%124M
----
----
----
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
-58.39%352M
-58.39%352M
-61.51%321M
-64.53%293M
-54.50%384M
-40.25%846M
-40.25%846M
-61.62%834M
-62.16%826M
-62.61%844M
Total liabilities
26.68%2.94B
26.68%2.94B
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
Shareholders'equity
Share capital
--0
--0
3.06%23.31B
1.46%22.93B
1.88%22.87B
--0
--0
1.67%22.62B
1.67%22.6B
1.72%22.45B
-common stock
--0
--0
3.06%23.31B
1.46%22.93B
1.88%22.87B
--0
--0
1.67%22.62B
1.67%22.6B
1.72%22.45B
Retained earnings
-3.48%-17.35B
-3.48%-17.35B
-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
Paid-in capital
3.88%23.55B
3.88%23.55B
----
----
----
--22.67B
--22.67B
----
----
----
Gains losses not affecting retained earnings
-378.57%-195M
-378.57%-195M
-42.29%262M
-0.45%441M
-25.18%413M
-18.60%70M
-18.60%70M
-4.42%454M
-1.99%443M
3.76%552M
Other equity interest
-17.30%392M
-17.30%392M
----
----
----
-8.14%474M
-8.14%474M
----
----
----
Total stockholders'equity
-0.78%6.4B
-0.78%6.4B
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
Noncontrolling interests
-352.63%-48M
-352.63%-48M
73.81%73M
290.00%78M
8.89%49M
-64.81%19M
-64.81%19M
-8.70%42M
33.33%20M
-2.17%45M
Total equity
-1.81%6.35B
-1.81%6.35B
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
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
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(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
Assets
Current assets
Cash, cash equivalents and short term investments 11.62%5.63B11.62%5.63B17.84%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
-Cash and cash equivalents -5.54%2.96B-5.54%2.96B-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
-Short-term investments 39.90%2.67B39.90%2.67B55.56%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
Receivables 33.54%649M33.54%649M69.07%656M43.09%518M45.59%495M19.70%486M19.70%486M25.16%388M19.47%362M11.84%340M
-Accounts receivable 15.97%138M15.97%138M77.03%262M-44.20%202M-40.29%203M19.00%119M19.00%119M-52.26%148M19.47%362M11.84%340M
-Loans receivable 58.46%431M58.46%431M64.17%394M--316M--292M47.03%272M47.03%272M--240M--------
-Taxes receivable -13.33%26M-13.33%26M-------------34.78%30M-34.78%30M------------
-Other receivables -11.69%68M-11.69%68M-------------11.49%77M-11.49%77M------------
-Recievables adjustments allowances -16.67%-14M-16.67%-14M------------0.00%-12M0.00%-12M------------
Inventory 20.41%59M20.41%59M21.74%56M6.67%48M2.13%48M2.08%49M2.08%49M9.52%46M-4.26%45M4.44%47M
Prepaid assets -17.79%134M-17.79%134M------------31.45%163M31.45%163M------------
Restricted cash --------------188M------------------------
Other current assets 251.85%95M251.85%95M-24.23%172M26.97%306M6.02%282M12.50%27M12.50%27M1.79%227M-15.73%241M17.70%266M
Total current assets 13.83%6.57B13.83%6.57B19.77%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
Non current assets
Net PPE 10.74%567M10.74%567M10.32%524M2.99%483M1.25%485M4.07%512M4.07%512M1.06%475M-5.06%469M-5.71%479M
-Gross PPE 8.80%1.13B8.80%1.13B------------10.71%1.03B10.71%1.03B------------
-Accumulated depreciation -6.90%-558M-6.90%-558M-------------18.10%-522M-18.10%-522M------------
Goodwill and other intangible assets 6.44%975M6.44%975M2.84%943M0.11%914M0.33%912M1.33%916M1.33%916M1.44%917M0.88%913M0.44%909M
-Goodwill 4.71%845M4.71%845M------------0.00%807M0.00%807M------------
-Other intangible assets 19.27%130M19.27%130M------------12.37%109M12.37%109M------------
Investments and advances -30.54%896M-30.54%896M-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%1.29B
Long-term notes receivables -29.05%105M-29.05%105M197.14%104M--82M--71M70.11%148M70.11%148M--35M--------
Non current deferred assets 19.64%67M19.64%67M58.82%54M47.37%56M190.00%58M180.00%56M180.00%56M385.71%34M322.22%38M400.00%20M
Non current prepaid assets 16.67%119M16.67%119M-------------21.54%102M-21.54%102M------------
Other non current assets ---------38.25%113M-48.97%99M8.99%194M--------41.86%183M56.45%194M41.27%178M
Total non current assets -9.76%2.73B-9.76%2.73B-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%2.87B
Total assets 5.72%9.3B5.72%9.3B6.68%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
Liabilities
Current liabilities
Payables 15.55%379M15.55%379M29.23%1.19B5.63%975M0.00%873M10.44%328M10.44%328M8.01%917M13.39%923M8.58%873M
-accounts payable 12.43%208M12.43%208M27.60%1.14B5.19%952M-0.47%855M-2.12%185M-2.12%185M5.92%895M11.73%905M7.24%859M
-Total tax payable 28.77%94M28.77%94M95.45%43M27.78%23M28.57%18M58.70%73M58.70%73M450.00%22M350.00%18M366.67%14M
-Other payable 10.00%77M10.00%77M------------12.90%70M12.90%70M------------
Current accrued expenses 19.67%724M19.67%724M-------------4.42%605M-4.42%605M------------
Current provisions 5.13%41M5.13%41M20.51%47M0.00%39M-2.50%39M2.63%39M2.63%39M8.33%39M2.63%39M5.26%40M
Current debt and capital lease obligation -1.60%123M-1.60%123M-17.36%100M-24.56%86M-18.58%92M6.84%125M6.84%125M3.42%121M-25.49%114M-27.56%113M
-Current debt 3.45%90M3.45%90M-17.36%100M-51.75%55M-18.58%92M4.82%87M4.82%87M3.42%121M-25.49%114M-27.56%113M
-Current capital lease obligation -13.16%33M-13.16%33M------31M----11.76%38M11.76%38M------------
Current deferred liabilities 222.05%1.23B222.05%1.23B201.93%1.09B--730M--479M3,075.00%381M3,075.00%381M--362M--------
Other current liabilities --98M--98M--------------------------------
Current liabilities 75.37%2.59B75.37%2.59B68.52%2.43B70.07%1.83B44.54%1.48B34.73%1.48B34.73%1.48B43.61%1.44B7.06%1.08B2.81%1.03B
Non current liabilities
Long term provisions 11.11%20M11.11%20M5.88%18M0.00%18M-5.56%17M0.00%18M0.00%18M0.00%17M5.88%18M5.88%18M
Long term debt and capital lease obligation -63.92%241M-63.92%241M-65.30%228M-68.24%209M-69.16%206M-46.47%668M-46.47%668M-67.22%657M-67.34%658M-67.92%668M
-Long term debt -78.68%116M-78.68%116M-65.30%228M-86.17%91M-69.16%206M-50.36%544M-50.36%544M-67.22%657M-67.34%658M-67.92%668M
-Long term capital lease obligation 0.81%125M0.81%125M------118M-----18.42%124M-18.42%124M------------
Non current deferred liabilities 25.00%25M25.00%25M30.00%26M15.79%22M16.67%21M11.11%20M11.11%20M17.65%20M0.00%19M-5.26%18M
Employee benefits 9.09%12M9.09%12M-------------15.38%11M-15.38%11M------------
Derivative product liabilities -56.45%54M-56.45%54M------------15.89%124M15.89%124M------------
Other non current liabilities ---------65.00%49M-66.41%44M0.00%140M--------14.75%140M8.26%131M17.65%140M
Total non current liabilities -58.39%352M-58.39%352M-61.51%321M-64.53%293M-54.50%384M-40.25%846M-40.25%846M-61.62%834M-62.16%826M-62.61%844M
Total liabilities 26.68%2.94B26.68%2.94B20.81%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
Shareholders'equity
Share capital --0--03.06%23.31B1.46%22.93B1.88%22.87B--0--01.67%22.62B1.67%22.6B1.72%22.45B
-common stock --0--03.06%23.31B1.46%22.93B1.88%22.87B--0--01.67%22.62B1.67%22.6B1.72%22.45B
Retained earnings -3.48%-17.35B-3.48%-17.35B-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
Paid-in capital 3.88%23.55B3.88%23.55B--------------22.67B--22.67B------------
Gains losses not affecting retained earnings -378.57%-195M-378.57%-195M-42.29%262M-0.45%441M-25.18%413M-18.60%70M-18.60%70M-4.42%454M-1.99%443M3.76%552M
Other equity interest -17.30%392M-17.30%392M-------------8.14%474M-8.14%474M------------
Total stockholders'equity -0.78%6.4B-0.78%6.4B1.13%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
Noncontrolling interests -352.63%-48M-352.63%-48M73.81%73M290.00%78M8.89%49M-64.81%19M-64.81%19M-8.70%42M33.33%20M-2.17%45M
Total equity -1.81%6.35B-1.81%6.35B1.61%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
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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