US Stock MarketDetailed Quotes

LIN Linde

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  • 458.320
  • +1.010+0.22%
Close Nov 4 16:00 ET
  • 459.780
  • +1.460+0.32%
Post 20:02 ET
218.23BMarket Cap34.77P/E (TTM)

Linde 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
8.37%2.73B
-10.28%1.93B
2.41%1.95B
4.98%9.31B
30.17%2.73B
-4.40%2.52B
0.80%2.15B
-4.60%1.91B
-8.85%8.86B
-35.20%2.1B
Net income from continuing operations
-0.96%1.55B
5.59%1.63B
7.28%1.67B
49.48%6.2B
16.19%1.54B
22.94%1.57B
358.04%1.54B
28.26%1.55B
8.39%4.15B
29.43%1.33B
Depreciation and amortization
0.10%960M
-0.21%958M
0.11%949M
-9.23%3.82B
-0.73%949M
-8.23%959M
-12.01%960M
-14.75%948M
-9.30%4.2B
-15.77%956M
Deferred tax
-11.71%-124M
-129.23%-149M
-975.00%-35M
78.07%-84M
203.45%88M
41.88%-111M
59.88%-65M
106.78%4M
-50.79%-383M
141.43%29M
Other non cash items
482.35%130M
77.45%-53M
7.04%-66M
-125.84%-284M
132.00%56M
-115.25%-34M
-121.19%-235M
-22.41%-71M
354.13%1.1B
-821.05%-175M
Change In working capital
64.76%173M
-478.82%-492M
-7.57%-597M
-55.81%-483M
172.22%52M
-59.46%105M
67.05%-85M
-132.22%-555M
-127.00%-310M
-106.38%-72M
-Change in receivables
3,633.33%224M
-38.64%-61M
-175.57%-361M
79.67%-86M
-44.30%83M
120.69%6M
78.33%-44M
61.47%-131M
23.51%-423M
1,164.29%149M
-Change in inventory
237.50%55M
115.38%4M
54.24%-27M
63.40%-127M
95.74%-2M
74.36%-40M
76.15%-26M
-68.57%-59M
-168.99%-347M
9.62%-47M
-Change in prepaid assets
--0
64.71%-12M
-900.00%-50M
142.04%66M
176.09%35M
483.33%70M
-112.50%-34M
95.33%-5M
-306.58%-157M
-145.54%-46M
-Change in payables and accrued expense
-92.11%15M
16.75%-328M
-1.56%-65M
-154.72%-168M
244.93%100M
-37.91%190M
-2,173.68%-394M
-225.49%-64M
-31.32%307M
-121.84%-69M
-Change in other working capital
0.00%-121M
-123.00%-95M
68.24%-94M
-154.19%-168M
-177.97%-164M
-196.03%-121M
709.80%413M
-254.17%-296M
-76.28%310M
-107.59%-59M
Cash from discontinued investing activities
Operating cash flow
8.37%2.73B
-10.28%1.93B
2.41%1.95B
4.98%9.31B
30.17%2.73B
-4.40%2.52B
0.80%2.15B
-4.60%1.91B
-8.85%8.86B
-35.20%2.1B
Investing cash flow
Cash flow from continuing investing activities
-1.16%-957M
-46.99%-1.27B
36.29%-1.04B
-51.23%-4.67B
-39.16%-1.23B
-35.14%-946M
-2.61%-864M
-145.71%-1.63B
-2.69%-3.09B
-0.57%-881M
Capital expenditure reported
-12.45%-1.07B
-31.90%-1.13B
-26.42%-1.05B
-19.35%-3.79B
-22.97%-1.15B
-24.41%-948M
-4.00%-859M
-27.73%-829M
-2.82%-3.17B
-11.56%-936M
Net business purchase and sale
5,350.00%109M
-2,640.00%-137M
100.87%7M
-1,138.82%-883M
-236.36%-75M
-96.77%2M
68.75%-5M
-4,931.25%-805M
7.59%85M
248.65%55M
Cash from discontinued investing activities
Investing cash flow
-1.16%-957M
-46.99%-1.27B
36.29%-1.04B
-51.23%-4.67B
-39.16%-1.23B
-35.14%-946M
-2.61%-864M
-145.71%-1.63B
-2.69%-3.09B
-0.57%-881M
Financing cash flow
Cash flow from continuing financing activities
-32.05%-1.27B
72.06%-808M
12.57%-668M
-74.81%-5.4B
-300.00%-780M
43.95%-964M
-44.38%-2.89B
-413.11%-764M
59.29%-3.09B
109.25%390M
Net issuance payments of debt
-89.30%93M
197.13%1.32B
69.46%1.22B
-76.31%1.06B
-50.42%833M
2,382.86%869M
-735.05%-1.36B
-71.84%717M
970.62%4.48B
172.35%1.68B
Net common stock issuance
42.81%-660M
-59.44%-1.44B
-21.16%-1.03B
23.52%-3.93B
-51.18%-1.03B
-0.61%-1.15B
43.68%-900M
50.50%-846M
-12.49%-5.13B
49.78%-678M
Cash dividends paid
-6.77%-662M
-6.74%-665M
-7.38%-669M
-5.89%-2.48B
-5.12%-616M
-6.71%-620M
-6.50%-623M
-5.24%-623M
-7.08%-2.34B
-8.32%-586M
Net other financing activities
25.42%-44M
-180.00%-28M
-1,475.00%-189M
39.77%-53M
207.69%28M
-118.52%-59M
70.59%-10M
-1,100.00%-12M
72.76%-88M
-550.00%-26M
Cash from discontinued financing activities
Financing cash flow
-32.05%-1.27B
72.06%-808M
12.57%-668M
-74.81%-5.4B
-300.00%-780M
43.95%-964M
-44.38%-2.89B
-413.11%-764M
59.29%-3.09B
109.25%390M
Net cash flow
Beginning cash position
37.80%4.63B
-2.30%4.85B
-14.20%4.66B
92.56%5.44B
3.67%3.89B
-8.15%3.36B
11.16%4.96B
92.56%5.44B
-24.80%2.82B
-20.09%3.76B
Current changes in cash
-17.87%501M
90.72%-149M
150.00%245M
-128.47%-765M
-55.05%721M
182.41%610M
-125.56%-1.61B
-131.03%-490M
408.85%2.69B
186.24%1.6B
Effect of exchange rate changes
182.19%60M
-7,400.00%-73M
-481.25%-61M
90.54%-7M
-35.53%49M
36.52%-73M
101.03%1M
-74.19%16M
-21.31%-74M
547.06%76M
End cash Position
33.20%5.19B
37.80%4.63B
-2.30%4.85B
-14.20%4.66B
-14.20%4.66B
3.67%3.89B
-8.15%3.36B
11.16%4.96B
92.56%5.44B
92.56%5.44B
Free cash flow
5.92%1.67B
-38.34%796M
-16.03%906M
-3.04%5.52B
35.98%1.58B
-16.12%1.57B
-1.22%1.29B
-20.13%1.08B
-14.28%5.69B
-51.59%1.16B
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
--
--
--
--
--
--
(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 8.37%2.73B-10.28%1.93B2.41%1.95B4.98%9.31B30.17%2.73B-4.40%2.52B0.80%2.15B-4.60%1.91B-8.85%8.86B-35.20%2.1B
Net income from continuing operations -0.96%1.55B5.59%1.63B7.28%1.67B49.48%6.2B16.19%1.54B22.94%1.57B358.04%1.54B28.26%1.55B8.39%4.15B29.43%1.33B
Depreciation and amortization 0.10%960M-0.21%958M0.11%949M-9.23%3.82B-0.73%949M-8.23%959M-12.01%960M-14.75%948M-9.30%4.2B-15.77%956M
Deferred tax -11.71%-124M-129.23%-149M-975.00%-35M78.07%-84M203.45%88M41.88%-111M59.88%-65M106.78%4M-50.79%-383M141.43%29M
Other non cash items 482.35%130M77.45%-53M7.04%-66M-125.84%-284M132.00%56M-115.25%-34M-121.19%-235M-22.41%-71M354.13%1.1B-821.05%-175M
Change In working capital 64.76%173M-478.82%-492M-7.57%-597M-55.81%-483M172.22%52M-59.46%105M67.05%-85M-132.22%-555M-127.00%-310M-106.38%-72M
-Change in receivables 3,633.33%224M-38.64%-61M-175.57%-361M79.67%-86M-44.30%83M120.69%6M78.33%-44M61.47%-131M23.51%-423M1,164.29%149M
-Change in inventory 237.50%55M115.38%4M54.24%-27M63.40%-127M95.74%-2M74.36%-40M76.15%-26M-68.57%-59M-168.99%-347M9.62%-47M
-Change in prepaid assets --064.71%-12M-900.00%-50M142.04%66M176.09%35M483.33%70M-112.50%-34M95.33%-5M-306.58%-157M-145.54%-46M
-Change in payables and accrued expense -92.11%15M16.75%-328M-1.56%-65M-154.72%-168M244.93%100M-37.91%190M-2,173.68%-394M-225.49%-64M-31.32%307M-121.84%-69M
-Change in other working capital 0.00%-121M-123.00%-95M68.24%-94M-154.19%-168M-177.97%-164M-196.03%-121M709.80%413M-254.17%-296M-76.28%310M-107.59%-59M
Cash from discontinued investing activities
Operating cash flow 8.37%2.73B-10.28%1.93B2.41%1.95B4.98%9.31B30.17%2.73B-4.40%2.52B0.80%2.15B-4.60%1.91B-8.85%8.86B-35.20%2.1B
Investing cash flow
Cash flow from continuing investing activities -1.16%-957M-46.99%-1.27B36.29%-1.04B-51.23%-4.67B-39.16%-1.23B-35.14%-946M-2.61%-864M-145.71%-1.63B-2.69%-3.09B-0.57%-881M
Capital expenditure reported -12.45%-1.07B-31.90%-1.13B-26.42%-1.05B-19.35%-3.79B-22.97%-1.15B-24.41%-948M-4.00%-859M-27.73%-829M-2.82%-3.17B-11.56%-936M
Net business purchase and sale 5,350.00%109M-2,640.00%-137M100.87%7M-1,138.82%-883M-236.36%-75M-96.77%2M68.75%-5M-4,931.25%-805M7.59%85M248.65%55M
Cash from discontinued investing activities
Investing cash flow -1.16%-957M-46.99%-1.27B36.29%-1.04B-51.23%-4.67B-39.16%-1.23B-35.14%-946M-2.61%-864M-145.71%-1.63B-2.69%-3.09B-0.57%-881M
Financing cash flow
Cash flow from continuing financing activities -32.05%-1.27B72.06%-808M12.57%-668M-74.81%-5.4B-300.00%-780M43.95%-964M-44.38%-2.89B-413.11%-764M59.29%-3.09B109.25%390M
Net issuance payments of debt -89.30%93M197.13%1.32B69.46%1.22B-76.31%1.06B-50.42%833M2,382.86%869M-735.05%-1.36B-71.84%717M970.62%4.48B172.35%1.68B
Net common stock issuance 42.81%-660M-59.44%-1.44B-21.16%-1.03B23.52%-3.93B-51.18%-1.03B-0.61%-1.15B43.68%-900M50.50%-846M-12.49%-5.13B49.78%-678M
Cash dividends paid -6.77%-662M-6.74%-665M-7.38%-669M-5.89%-2.48B-5.12%-616M-6.71%-620M-6.50%-623M-5.24%-623M-7.08%-2.34B-8.32%-586M
Net other financing activities 25.42%-44M-180.00%-28M-1,475.00%-189M39.77%-53M207.69%28M-118.52%-59M70.59%-10M-1,100.00%-12M72.76%-88M-550.00%-26M
Cash from discontinued financing activities
Financing cash flow -32.05%-1.27B72.06%-808M12.57%-668M-74.81%-5.4B-300.00%-780M43.95%-964M-44.38%-2.89B-413.11%-764M59.29%-3.09B109.25%390M
Net cash flow
Beginning cash position 37.80%4.63B-2.30%4.85B-14.20%4.66B92.56%5.44B3.67%3.89B-8.15%3.36B11.16%4.96B92.56%5.44B-24.80%2.82B-20.09%3.76B
Current changes in cash -17.87%501M90.72%-149M150.00%245M-128.47%-765M-55.05%721M182.41%610M-125.56%-1.61B-131.03%-490M408.85%2.69B186.24%1.6B
Effect of exchange rate changes 182.19%60M-7,400.00%-73M-481.25%-61M90.54%-7M-35.53%49M36.52%-73M101.03%1M-74.19%16M-21.31%-74M547.06%76M
End cash Position 33.20%5.19B37.80%4.63B-2.30%4.85B-14.20%4.66B-14.20%4.66B3.67%3.89B-8.15%3.36B11.16%4.96B92.56%5.44B92.56%5.44B
Free cash flow 5.92%1.67B-38.34%796M-16.03%906M-3.04%5.52B35.98%1.58B-16.12%1.57B-1.22%1.29B-20.13%1.08B-14.28%5.69B-51.59%1.16B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion------------

Analysis

Analyst Rating

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Price Target

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