US Stock MarketDetailed Quotes

MDLZ Mondelez International

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  • 74.200
  • -0.120-0.16%
Close Sep 27 16:00 ET
  • 74.200
  • 0.0000.00%
Post 20:02 ET
99.12BMarket Cap25.50P/E (TTM)

Mondelez International 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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-3.29%822M
17.90%1.32B
20.62%4.71B
12.36%1.56B
114.39%1.18B
1.67%850M
-0.71%1.12B
-5.63%3.91B
-2.04%1.39B
-40.84%549M
Net income from continuing operations
-35.92%603M
-32.22%1.42B
82.25%4.97B
62.67%950M
85.37%988M
25.80%941M
142.62%2.09B
-36.81%2.73B
-41.89%584M
-57.77%533M
Operating gains losses
3,306.67%481M
63.66%-500M
-11,607.69%-1.5B
-277.78%-64M
-1,125.00%-41M
-125.00%-15M
-1,481.61%-1.38B
101.00%13M
109.60%36M
101.13%4M
Depreciation and amortization
9.31%317M
5.28%319M
9.76%1.22B
8.68%313M
14.02%309M
6.23%290M
10.18%303M
-0.54%1.11B
4.35%288M
-0.73%271M
Deferred tax
33.67%-65M
35.68%270M
11.90%-37M
44.58%-46M
-226.03%-92M
-357.89%-98M
384.29%199M
-120.49%-42M
-280.43%-83M
8.96%73M
Other non cash items
3,700.00%76M
52.00%38M
59.09%140M
55.36%87M
36.84%26M
--2M
--25M
137.84%88M
-42.86%56M
140.43%19M
Change In working capital
-93.69%-645M
-22.55%-337M
6.53%-487M
-38.14%253M
70.40%-132M
4.86%-333M
-105.22%-275M
19.72%-521M
2.51%409M
-8.25%-446M
-Change in receivables
48.60%743M
33.05%-395M
12.66%-628M
162.77%59M
-50.00%-597M
72.41%500M
-14.12%-590M
-264.97%-719M
-142.73%-94M
13.29%-398M
-Change in inventory
-155.10%-500M
93.10%-16M
69.61%-193M
164.55%291M
85.22%-56M
31.23%-196M
-186.42%-232M
-273.53%-635M
-36.05%110M
-615.09%-379M
-Change in payables and accrued expense
78.06%-61M
93.98%419M
-63.08%264M
-35.77%246M
-46.31%80M
-29.91%-278M
-45.59%216M
1.85%715M
35.82%383M
-37.39%149M
-Change in other current assets
-1,185.71%-76M
-140.88%-330M
58.04%-120M
91.61%-12M
2,300.00%22M
118.42%7M
-31.73%-137M
-69.23%-286M
-258.89%-143M
98.55%-1M
-Change in other current liabilities
-128.44%-747M
-91.30%45M
-40.32%376M
-222.12%-265M
92.74%451M
-541.18%-327M
124.78%517M
225.50%630M
180.07%217M
--234M
-Change in other working capital
89.74%-4M
-22.45%-60M
17.70%-186M
-3.13%-66M
37.25%-32M
25.00%-39M
16.95%-49M
27.80%-226M
31.91%-64M
26.09%-51M
Cash from discontinued investing activities
Operating cash flow
-3.29%822M
17.90%1.32B
20.62%4.71B
12.36%1.56B
114.39%1.18B
1.67%850M
-0.71%1.12B
-5.63%3.91B
-2.04%1.39B
-40.84%549M
Investing cash flow
Cash flow from continuing investing activities
-165.31%-401M
-170.13%-446M
157.53%2.81B
169.42%1.03B
122.23%536M
38.91%614M
144.14%636M
-18,700.00%-4.89B
-1,019.70%-1.48B
-839.57%-2.41B
Capital expenditure reported
-34.93%-367M
-34.08%-299M
-22.74%-1.11B
-16.49%-332M
-20.76%-285M
-24.77%-272M
-33.53%-223M
6.11%-906M
12.58%-285M
-3.06%-236M
Net PPE purchase and sale
-80.21%19M
-85.71%2M
-57.78%19M
----
----
--96M
--14M
-78.97%45M
----
----
Net business purchase and sale
--0
-99.61%4M
187.90%4.12B
204.65%1.37B
129.88%767M
73.21%944M
176.55%1.04B
-763.60%-4.69B
-3,297.56%-1.31B
-613.40%-2.57B
Net investment purchase and sale
65.58%-53M
19.47%-153M
-132.37%-213M
-145.21%-33M
-58.16%164M
-233.91%-154M
-343.59%-190M
3,363.16%658M
219.67%73M
--392M
Cash from discontinued investing activities
Investing cash flow
-165.31%-401M
-170.13%-446M
157.53%2.81B
169.42%1.03B
122.23%536M
38.91%614M
144.14%636M
-18,700.00%-4.89B
-1,019.70%-1.48B
-839.57%-2.41B
Financing cash flow
Cash flow from continuing financing activities
78.62%-381M
30.39%-1.22B
-1,557.46%-7.56B
-1,462.26%-2.48B
-169.18%-1.54B
-44.17%-1.78B
-37.27%-1.76B
88.79%-456M
85.52%-159M
763.42%2.22B
Net issuance payments of debt
163.29%700M
82.61%-153M
-219.34%-4.02B
-304.26%-1.06B
-133.02%-982M
-5,166.67%-1.11B
-797.96%-880M
2,654.55%3.37B
242.82%517M
149.71%2.97B
Net common stock issuance
-156.85%-506M
-42.36%-568M
23.30%-1.55B
-396.09%-888M
81.02%-63M
73.91%-197M
46.87%-399M
4.41%-2.02B
37.41%-179M
-1.84%-332M
Cash dividends paid
-8.94%-573M
-9.26%-578M
-8.82%-2.16B
-9.66%-579M
-9.58%-526M
-8.23%-526M
-7.74%-529M
-8.71%-1.99B
-7.98%-528M
-8.84%-480M
Net other financing activities
-104.26%-2M
49.02%76M
-0.57%173M
25.81%39M
-36.84%36M
80.77%47M
-15.00%51M
17,500.00%174M
-20.51%31M
134.13%57M
Cash from discontinued financing activities
Financing cash flow
78.62%-381M
30.39%-1.22B
-1,557.46%-7.56B
-1,462.26%-2.48B
-169.18%-1.54B
-44.17%-1.78B
-37.27%-1.76B
88.79%-456M
85.52%-159M
763.42%2.22B
Net cash flow
Beginning cash position
-24.60%1.46B
-3.29%1.88B
-45.17%1.95B
-23.60%1.68B
-19.74%1.55B
-0.72%1.94B
-45.17%1.95B
-2.66%3.55B
-35.59%2.2B
-1.73%1.94B
Current changes in cash
112.58%40M
-17,350.00%-345M
97.77%-32M
143.27%106M
-50.14%178M
-857.14%-318M
100.13%2M
-3,221.74%-1.44B
-228.27%-245M
-76.37%357M
Effect of exchange rate changes
54.41%-31M
-600.00%-77M
81.07%-32M
5,150.00%101M
44.33%-54M
-13.33%-68M
-10.00%-11M
-18.18%-169M
95.65%-2M
-34.72%-97M
End cash Position
-5.28%1.47B
-24.60%1.46B
-3.29%1.88B
-3.29%1.88B
-23.60%1.68B
-19.74%1.55B
-0.72%1.94B
-45.17%1.95B
-45.17%1.95B
-35.59%2.2B
Free cash flow
-21.28%455M
13.89%1.03B
19.99%3.6B
11.29%1.23B
184.98%892M
-6.47%578M
-6.64%900M
-5.48%3B
1.10%1.11B
-55.22%313M
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
--
--
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -3.29%822M17.90%1.32B20.62%4.71B12.36%1.56B114.39%1.18B1.67%850M-0.71%1.12B-5.63%3.91B-2.04%1.39B-40.84%549M
Net income from continuing operations -35.92%603M-32.22%1.42B82.25%4.97B62.67%950M85.37%988M25.80%941M142.62%2.09B-36.81%2.73B-41.89%584M-57.77%533M
Operating gains losses 3,306.67%481M63.66%-500M-11,607.69%-1.5B-277.78%-64M-1,125.00%-41M-125.00%-15M-1,481.61%-1.38B101.00%13M109.60%36M101.13%4M
Depreciation and amortization 9.31%317M5.28%319M9.76%1.22B8.68%313M14.02%309M6.23%290M10.18%303M-0.54%1.11B4.35%288M-0.73%271M
Deferred tax 33.67%-65M35.68%270M11.90%-37M44.58%-46M-226.03%-92M-357.89%-98M384.29%199M-120.49%-42M-280.43%-83M8.96%73M
Other non cash items 3,700.00%76M52.00%38M59.09%140M55.36%87M36.84%26M--2M--25M137.84%88M-42.86%56M140.43%19M
Change In working capital -93.69%-645M-22.55%-337M6.53%-487M-38.14%253M70.40%-132M4.86%-333M-105.22%-275M19.72%-521M2.51%409M-8.25%-446M
-Change in receivables 48.60%743M33.05%-395M12.66%-628M162.77%59M-50.00%-597M72.41%500M-14.12%-590M-264.97%-719M-142.73%-94M13.29%-398M
-Change in inventory -155.10%-500M93.10%-16M69.61%-193M164.55%291M85.22%-56M31.23%-196M-186.42%-232M-273.53%-635M-36.05%110M-615.09%-379M
-Change in payables and accrued expense 78.06%-61M93.98%419M-63.08%264M-35.77%246M-46.31%80M-29.91%-278M-45.59%216M1.85%715M35.82%383M-37.39%149M
-Change in other current assets -1,185.71%-76M-140.88%-330M58.04%-120M91.61%-12M2,300.00%22M118.42%7M-31.73%-137M-69.23%-286M-258.89%-143M98.55%-1M
-Change in other current liabilities -128.44%-747M-91.30%45M-40.32%376M-222.12%-265M92.74%451M-541.18%-327M124.78%517M225.50%630M180.07%217M--234M
-Change in other working capital 89.74%-4M-22.45%-60M17.70%-186M-3.13%-66M37.25%-32M25.00%-39M16.95%-49M27.80%-226M31.91%-64M26.09%-51M
Cash from discontinued investing activities
Operating cash flow -3.29%822M17.90%1.32B20.62%4.71B12.36%1.56B114.39%1.18B1.67%850M-0.71%1.12B-5.63%3.91B-2.04%1.39B-40.84%549M
Investing cash flow
Cash flow from continuing investing activities -165.31%-401M-170.13%-446M157.53%2.81B169.42%1.03B122.23%536M38.91%614M144.14%636M-18,700.00%-4.89B-1,019.70%-1.48B-839.57%-2.41B
Capital expenditure reported -34.93%-367M-34.08%-299M-22.74%-1.11B-16.49%-332M-20.76%-285M-24.77%-272M-33.53%-223M6.11%-906M12.58%-285M-3.06%-236M
Net PPE purchase and sale -80.21%19M-85.71%2M-57.78%19M----------96M--14M-78.97%45M--------
Net business purchase and sale --0-99.61%4M187.90%4.12B204.65%1.37B129.88%767M73.21%944M176.55%1.04B-763.60%-4.69B-3,297.56%-1.31B-613.40%-2.57B
Net investment purchase and sale 65.58%-53M19.47%-153M-132.37%-213M-145.21%-33M-58.16%164M-233.91%-154M-343.59%-190M3,363.16%658M219.67%73M--392M
Cash from discontinued investing activities
Investing cash flow -165.31%-401M-170.13%-446M157.53%2.81B169.42%1.03B122.23%536M38.91%614M144.14%636M-18,700.00%-4.89B-1,019.70%-1.48B-839.57%-2.41B
Financing cash flow
Cash flow from continuing financing activities 78.62%-381M30.39%-1.22B-1,557.46%-7.56B-1,462.26%-2.48B-169.18%-1.54B-44.17%-1.78B-37.27%-1.76B88.79%-456M85.52%-159M763.42%2.22B
Net issuance payments of debt 163.29%700M82.61%-153M-219.34%-4.02B-304.26%-1.06B-133.02%-982M-5,166.67%-1.11B-797.96%-880M2,654.55%3.37B242.82%517M149.71%2.97B
Net common stock issuance -156.85%-506M-42.36%-568M23.30%-1.55B-396.09%-888M81.02%-63M73.91%-197M46.87%-399M4.41%-2.02B37.41%-179M-1.84%-332M
Cash dividends paid -8.94%-573M-9.26%-578M-8.82%-2.16B-9.66%-579M-9.58%-526M-8.23%-526M-7.74%-529M-8.71%-1.99B-7.98%-528M-8.84%-480M
Net other financing activities -104.26%-2M49.02%76M-0.57%173M25.81%39M-36.84%36M80.77%47M-15.00%51M17,500.00%174M-20.51%31M134.13%57M
Cash from discontinued financing activities
Financing cash flow 78.62%-381M30.39%-1.22B-1,557.46%-7.56B-1,462.26%-2.48B-169.18%-1.54B-44.17%-1.78B-37.27%-1.76B88.79%-456M85.52%-159M763.42%2.22B
Net cash flow
Beginning cash position -24.60%1.46B-3.29%1.88B-45.17%1.95B-23.60%1.68B-19.74%1.55B-0.72%1.94B-45.17%1.95B-2.66%3.55B-35.59%2.2B-1.73%1.94B
Current changes in cash 112.58%40M-17,350.00%-345M97.77%-32M143.27%106M-50.14%178M-857.14%-318M100.13%2M-3,221.74%-1.44B-228.27%-245M-76.37%357M
Effect of exchange rate changes 54.41%-31M-600.00%-77M81.07%-32M5,150.00%101M44.33%-54M-13.33%-68M-10.00%-11M-18.18%-169M95.65%-2M-34.72%-97M
End cash Position -5.28%1.47B-24.60%1.46B-3.29%1.88B-3.29%1.88B-23.60%1.68B-19.74%1.55B-0.72%1.94B-45.17%1.95B-45.17%1.95B-35.59%2.2B
Free cash flow -21.28%455M13.89%1.03B19.99%3.6B11.29%1.23B184.98%892M-6.47%578M-6.64%900M-5.48%3B1.10%1.11B-55.22%313M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

Analysis

Analyst Rating

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Price Target

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