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KHNGY KUEHNE & NAGEL INTERNATIONAL AG UNSP ADR EACH REPR 0.20 ORD

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  • 59.725
  • -3.105-4.94%
15min DelayClose Aug 2 16:00 ET
  • 59.725
  • 0.0000.00%
Post 16:07 ET
35.33BMarket Cap27.27P/E (TTM)

KUEHNE & NAGEL INTERNATIONAL AG UNSP ADR EACH REPR 0.20 ORD Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q3)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-57.54%862M
-54.84%1.8B
-46.77%2.01B
-46.77%2.01B
-33.23%1.97B
-7.43%2.03B
27.98%3.98B
63.90%3.78B
63.90%3.78B
85.05%2.95B
-Cash and cash equivalents
-57.54%862M
-54.84%1.8B
-46.77%2.01B
-46.77%2.01B
-33.23%1.97B
-7.43%2.03B
27.98%3.98B
63.90%3.78B
63.90%3.78B
85.05%2.95B
-Accounts receivable
3.15%4.1B
-8.77%4.06B
-31.32%3.63B
-31.32%3.63B
-40.37%3.81B
-39.51%3.97B
-29.89%4.45B
-17.38%5.29B
-17.38%5.29B
18.58%6.38B
-Taxes receivable
46.67%110M
365.38%121M
84.88%159M
84.88%159M
89.74%74M
87.50%75M
73.33%26M
91.11%86M
91.11%86M
25.81%39M
-Other receivables
-17.20%438M
-27.21%428M
-48.43%328M
-48.43%328M
-44.96%470M
-41.48%529M
-34.88%588M
-12.40%636M
-12.40%636M
6.48%854M
Prepaid assets
13.17%232M
22.46%229M
10.78%185M
10.78%185M
25.34%183M
6.22%205M
-4.59%187M
-16.92%167M
-16.92%167M
-17.05%146M
Total current assets
-15.74%5.74B
-28.13%6.63B
-36.56%6.32B
-36.56%6.32B
-37.30%6.5B
-31.17%6.81B
-12.67%9.23B
2.86%9.96B
2.86%9.96B
29.87%10.37B
Non current assets
Net PPE
27.08%2.83B
25.73%2.82B
6.44%2.3B
6.44%2.3B
12.27%2.3B
1.69%2.22B
0.63%2.25B
-0.83%2.16B
-0.83%2.16B
-9.59%2.05B
-Gross PPE
27.08%2.83B
25.73%2.82B
4.18%3.11B
4.18%3.11B
12.27%2.3B
1.69%2.22B
0.63%2.25B
-1.09%2.99B
-1.09%2.99B
-9.59%2.05B
-Accumulated depreciation
----
----
1.68%-818M
1.68%-818M
----
----
----
1.77%-832M
1.77%-832M
----
Goodwill and other intangible assets
6.07%2.38B
2.89%2.42B
-9.42%2.16B
-9.42%2.16B
-8.69%2.25B
-11.03%2.24B
-8.01%2.35B
-6.23%2.38B
-6.23%2.38B
-4.50%2.46B
-Goodwill
7.68%2.26B
4.53%2.29B
-7.50%2.03B
-7.50%2.03B
-6.63%2.11B
-8.95%2.1B
-5.81%2.19B
-3.97%2.2B
-3.97%2.2B
-2.25%2.26B
-Other intangible assets
-17.12%121M
-18.67%135M
-32.78%121M
-32.78%121M
-32.16%135M
-33.03%146M
-29.66%166M
-27.13%180M
-27.13%180M
-24.33%199M
Total non current assets
14.71%5.4B
12.31%5.46B
-2.90%4.65B
-2.90%4.65B
0.36%4.76B
-4.69%4.71B
-3.61%4.86B
-3.54%4.79B
-3.54%4.79B
-7.35%4.74B
Total assets
-3.29%11.14B
-14.18%12.09B
-25.63%10.97B
-25.63%10.97B
-25.49%11.26B
-22.35%11.52B
-9.74%14.08B
0.69%14.75B
0.69%14.75B
15.33%15.11B
Liabilities
Current liabilities
Payables
-1.61%2.39B
-9.96%2.39B
-29.11%2.35B
-29.11%2.35B
-34.54%2.24B
-29.16%2.43B
-22.96%2.65B
-6.26%3.31B
-6.26%3.31B
20.13%3.42B
-accounts payable
3.30%2.16B
-3.64%2.12B
-26.33%2.01B
-26.33%2.01B
-30.76%1.97B
-27.48%2.09B
-23.08%2.2B
-8.78%2.73B
-8.78%2.73B
12.35%2.85B
-Total tax payable
-32.05%229M
-40.80%267M
-42.29%333M
-42.29%333M
-53.42%266M
-38.05%337M
-22.38%451M
7.85%577M
7.85%577M
83.60%571M
Current provisions
6.00%106M
-11.82%97M
-8.47%108M
-8.47%108M
-22.73%85M
-9.09%100M
20.88%110M
29.67%118M
29.67%118M
39.24%110M
Current debt and capital lease obligation
89.13%940M
10.72%568M
3.38%490M
3.38%490M
-22.38%496M
-24.92%497M
-25.87%513M
-25.47%474M
-25.47%474M
42.95%639M
-Current debt
4,400.00%405M
21.05%23M
-62.50%3M
-62.50%3M
-98.03%4M
-95.71%9M
-91.63%19M
-96.10%8M
-96.10%8M
2,800.00%203M
-Current capital lease obligation
9.63%535M
10.32%545M
4.51%487M
4.51%487M
12.84%492M
7.96%488M
6.24%494M
8.12%466M
8.12%466M
-0.91%436M
Other current liabilities
17.65%1.95B
-25.30%1.23B
-21.47%300M
-21.47%300M
-30.79%1.25B
-23.35%1.65B
-19.96%1.64B
-8.83%382M
-8.83%382M
25.24%1.81B
Current liabilities
4.92%6.63B
-18.58%5.58B
-32.88%5.24B
-32.88%5.24B
-35.14%5.51B
-30.53%6.32B
-22.88%6.85B
-6.08%7.81B
-6.08%7.81B
21.93%8.5B
Non current liabilities
Long term provisions
-9.84%55M
-18.46%53M
-8.47%54M
-8.47%54M
1.85%55M
10.91%61M
20.37%65M
34.09%59M
34.09%59M
20.00%54M
Long term debt and capital lease obligation
18.34%1.51B
31.73%1.69B
8.32%1.33B
8.32%1.33B
13.05%1.35B
0.24%1.28B
-0.54%1.29B
-2.15%1.23B
-2.15%1.23B
-20.55%1.2B
-Long term debt
--0
0.00%200M
0.00%200M
0.00%200M
0.00%200M
0.00%200M
0.00%200M
0.00%200M
0.00%200M
-50.00%200M
-Long term capital lease obligation
40.33%1.51B
37.57%1.49B
9.94%1.13B
9.94%1.13B
15.68%1.15B
0.28%1.08B
-0.64%1.09B
-2.56%1.03B
-2.56%1.03B
-9.87%995M
Derivative product liabilities
----
----
-22.86%830M
-22.86%830M
----
----
----
-6.11%1.08B
-6.11%1.08B
----
Other non current liabilities
-98.95%9M
-23.54%880M
----
----
-25.00%873M
-24.09%854M
5.89%1.15B
-49.70%83M
-49.70%83M
-5.67%1.16B
Total non current liabilities
-23.33%1.94B
5.01%3B
-8.02%2.57B
-8.02%2.57B
-5.54%2.59B
-10.38%2.53B
-0.87%2.86B
-10.53%2.79B
-10.53%2.79B
-17.15%2.74B
Total liabilities
-3.15%8.57B
-11.64%8.58B
-26.33%7.81B
-26.33%7.81B
-27.92%8.11B
-25.76%8.85B
-17.49%9.71B
-7.30%10.6B
-7.30%10.6B
9.35%11.24B
Shareholders'equity
Share capital
0.00%121M
0.00%121M
0.00%121M
0.00%121M
0.00%121M
0.00%121M
0.00%121M
0.00%121M
0.00%121M
0.00%121M
-common stock
0.00%121M
0.00%121M
0.00%121M
0.00%121M
0.00%121M
0.00%121M
0.00%121M
0.00%121M
0.00%121M
0.00%121M
Retained earnings
425.58%4.5B
-8.07%5.18B
-3.88%4.95B
-3.88%4.95B
0.72%4.64B
-78.58%856M
20.99%5.64B
32.73%5.15B
32.73%5.15B
36.88%4.6B
Paid-in capital
--385M
-2.31%592M
-2.31%592M
-2.31%592M
-0.17%593M
----
-6.91%606M
-6.91%606M
-6.91%606M
-8.47%594M
Less: Treasury stock
--631M
32.56%631M
122.96%602M
122.96%602M
132.54%486M
----
33.71%476M
190.32%270M
190.32%270M
435.90%209M
Other equity interest
----
--1M
----
----
----
----
----
----
----
----
Total stockholders'equity
-3.75%2.57B
-19.82%3.5B
-23.84%3.15B
-23.84%3.15B
-18.43%3.14B
-8.42%2.67B
14.04%4.37B
29.21%4.14B
29.21%4.14B
37.26%3.85B
Noncontrolling interests
0.00%7M
-14.29%6M
-14.29%6M
-14.29%6M
-12.50%7M
-12.50%7M
-12.50%7M
0.00%7M
0.00%7M
14.29%8M
Total equity
-3.74%2.57B
-19.81%3.51B
-23.82%3.16B
-23.82%3.16B
-18.41%3.15B
-8.43%2.67B
13.98%4.38B
29.15%4.15B
29.15%4.15B
37.21%3.86B
Currency Unit
CHF
CHF
CHF
CHF
CHF
CHF
CHF
CHF
CHF
CHF
(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(Q3)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -57.54%862M-54.84%1.8B-46.77%2.01B-46.77%2.01B-33.23%1.97B-7.43%2.03B27.98%3.98B63.90%3.78B63.90%3.78B85.05%2.95B
-Cash and cash equivalents -57.54%862M-54.84%1.8B-46.77%2.01B-46.77%2.01B-33.23%1.97B-7.43%2.03B27.98%3.98B63.90%3.78B63.90%3.78B85.05%2.95B
-Accounts receivable 3.15%4.1B-8.77%4.06B-31.32%3.63B-31.32%3.63B-40.37%3.81B-39.51%3.97B-29.89%4.45B-17.38%5.29B-17.38%5.29B18.58%6.38B
-Taxes receivable 46.67%110M365.38%121M84.88%159M84.88%159M89.74%74M87.50%75M73.33%26M91.11%86M91.11%86M25.81%39M
-Other receivables -17.20%438M-27.21%428M-48.43%328M-48.43%328M-44.96%470M-41.48%529M-34.88%588M-12.40%636M-12.40%636M6.48%854M
Prepaid assets 13.17%232M22.46%229M10.78%185M10.78%185M25.34%183M6.22%205M-4.59%187M-16.92%167M-16.92%167M-17.05%146M
Total current assets -15.74%5.74B-28.13%6.63B-36.56%6.32B-36.56%6.32B-37.30%6.5B-31.17%6.81B-12.67%9.23B2.86%9.96B2.86%9.96B29.87%10.37B
Non current assets
Net PPE 27.08%2.83B25.73%2.82B6.44%2.3B6.44%2.3B12.27%2.3B1.69%2.22B0.63%2.25B-0.83%2.16B-0.83%2.16B-9.59%2.05B
-Gross PPE 27.08%2.83B25.73%2.82B4.18%3.11B4.18%3.11B12.27%2.3B1.69%2.22B0.63%2.25B-1.09%2.99B-1.09%2.99B-9.59%2.05B
-Accumulated depreciation --------1.68%-818M1.68%-818M------------1.77%-832M1.77%-832M----
Goodwill and other intangible assets 6.07%2.38B2.89%2.42B-9.42%2.16B-9.42%2.16B-8.69%2.25B-11.03%2.24B-8.01%2.35B-6.23%2.38B-6.23%2.38B-4.50%2.46B
-Goodwill 7.68%2.26B4.53%2.29B-7.50%2.03B-7.50%2.03B-6.63%2.11B-8.95%2.1B-5.81%2.19B-3.97%2.2B-3.97%2.2B-2.25%2.26B
-Other intangible assets -17.12%121M-18.67%135M-32.78%121M-32.78%121M-32.16%135M-33.03%146M-29.66%166M-27.13%180M-27.13%180M-24.33%199M
Total non current assets 14.71%5.4B12.31%5.46B-2.90%4.65B-2.90%4.65B0.36%4.76B-4.69%4.71B-3.61%4.86B-3.54%4.79B-3.54%4.79B-7.35%4.74B
Total assets -3.29%11.14B-14.18%12.09B-25.63%10.97B-25.63%10.97B-25.49%11.26B-22.35%11.52B-9.74%14.08B0.69%14.75B0.69%14.75B15.33%15.11B
Liabilities
Current liabilities
Payables -1.61%2.39B-9.96%2.39B-29.11%2.35B-29.11%2.35B-34.54%2.24B-29.16%2.43B-22.96%2.65B-6.26%3.31B-6.26%3.31B20.13%3.42B
-accounts payable 3.30%2.16B-3.64%2.12B-26.33%2.01B-26.33%2.01B-30.76%1.97B-27.48%2.09B-23.08%2.2B-8.78%2.73B-8.78%2.73B12.35%2.85B
-Total tax payable -32.05%229M-40.80%267M-42.29%333M-42.29%333M-53.42%266M-38.05%337M-22.38%451M7.85%577M7.85%577M83.60%571M
Current provisions 6.00%106M-11.82%97M-8.47%108M-8.47%108M-22.73%85M-9.09%100M20.88%110M29.67%118M29.67%118M39.24%110M
Current debt and capital lease obligation 89.13%940M10.72%568M3.38%490M3.38%490M-22.38%496M-24.92%497M-25.87%513M-25.47%474M-25.47%474M42.95%639M
-Current debt 4,400.00%405M21.05%23M-62.50%3M-62.50%3M-98.03%4M-95.71%9M-91.63%19M-96.10%8M-96.10%8M2,800.00%203M
-Current capital lease obligation 9.63%535M10.32%545M4.51%487M4.51%487M12.84%492M7.96%488M6.24%494M8.12%466M8.12%466M-0.91%436M
Other current liabilities 17.65%1.95B-25.30%1.23B-21.47%300M-21.47%300M-30.79%1.25B-23.35%1.65B-19.96%1.64B-8.83%382M-8.83%382M25.24%1.81B
Current liabilities 4.92%6.63B-18.58%5.58B-32.88%5.24B-32.88%5.24B-35.14%5.51B-30.53%6.32B-22.88%6.85B-6.08%7.81B-6.08%7.81B21.93%8.5B
Non current liabilities
Long term provisions -9.84%55M-18.46%53M-8.47%54M-8.47%54M1.85%55M10.91%61M20.37%65M34.09%59M34.09%59M20.00%54M
Long term debt and capital lease obligation 18.34%1.51B31.73%1.69B8.32%1.33B8.32%1.33B13.05%1.35B0.24%1.28B-0.54%1.29B-2.15%1.23B-2.15%1.23B-20.55%1.2B
-Long term debt --00.00%200M0.00%200M0.00%200M0.00%200M0.00%200M0.00%200M0.00%200M0.00%200M-50.00%200M
-Long term capital lease obligation 40.33%1.51B37.57%1.49B9.94%1.13B9.94%1.13B15.68%1.15B0.28%1.08B-0.64%1.09B-2.56%1.03B-2.56%1.03B-9.87%995M
Derivative product liabilities ---------22.86%830M-22.86%830M-------------6.11%1.08B-6.11%1.08B----
Other non current liabilities -98.95%9M-23.54%880M---------25.00%873M-24.09%854M5.89%1.15B-49.70%83M-49.70%83M-5.67%1.16B
Total non current liabilities -23.33%1.94B5.01%3B-8.02%2.57B-8.02%2.57B-5.54%2.59B-10.38%2.53B-0.87%2.86B-10.53%2.79B-10.53%2.79B-17.15%2.74B
Total liabilities -3.15%8.57B-11.64%8.58B-26.33%7.81B-26.33%7.81B-27.92%8.11B-25.76%8.85B-17.49%9.71B-7.30%10.6B-7.30%10.6B9.35%11.24B
Shareholders'equity
Share capital 0.00%121M0.00%121M0.00%121M0.00%121M0.00%121M0.00%121M0.00%121M0.00%121M0.00%121M0.00%121M
-common stock 0.00%121M0.00%121M0.00%121M0.00%121M0.00%121M0.00%121M0.00%121M0.00%121M0.00%121M0.00%121M
Retained earnings 425.58%4.5B-8.07%5.18B-3.88%4.95B-3.88%4.95B0.72%4.64B-78.58%856M20.99%5.64B32.73%5.15B32.73%5.15B36.88%4.6B
Paid-in capital --385M-2.31%592M-2.31%592M-2.31%592M-0.17%593M-----6.91%606M-6.91%606M-6.91%606M-8.47%594M
Less: Treasury stock --631M32.56%631M122.96%602M122.96%602M132.54%486M----33.71%476M190.32%270M190.32%270M435.90%209M
Other equity interest ------1M--------------------------------
Total stockholders'equity -3.75%2.57B-19.82%3.5B-23.84%3.15B-23.84%3.15B-18.43%3.14B-8.42%2.67B14.04%4.37B29.21%4.14B29.21%4.14B37.26%3.85B
Noncontrolling interests 0.00%7M-14.29%6M-14.29%6M-14.29%6M-12.50%7M-12.50%7M-12.50%7M0.00%7M0.00%7M14.29%8M
Total equity -3.74%2.57B-19.81%3.51B-23.82%3.16B-23.82%3.16B-18.41%3.15B-8.43%2.67B13.98%4.38B29.15%4.15B29.15%4.15B37.21%3.86B
Currency Unit CHFCHFCHFCHFCHFCHFCHFCHFCHFCHF

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