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NTR Nutrien Ltd

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  • 68.420
  • -0.960-1.38%
15min DelayTrading Jul 23 15:33 ET
33.84BMarket Cap29.54P/E (TTM)

Nutrien Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-66.33%496M
4.44%941M
4.44%941M
-32.69%554M
3.66%737M
155.29%1.47B
80.56%901M
80.56%901M
85.78%823M
-60.37%711M
-Cash and cash equivalents
-66.33%496M
4.44%941M
4.44%941M
-32.69%554M
3.66%737M
155.29%1.47B
80.56%901M
80.56%901M
85.78%823M
-60.37%711M
-Accounts receivable
-7.46%5.56B
-16.58%4.67B
-16.58%4.67B
-10.22%7.71B
-15.50%8.6B
-6.65%6.01B
18.94%5.6B
18.94%5.6B
24.31%8.59B
52.19%10.17B
-Notes receivable
1.65%246M
-21.00%252M
-21.00%252M
-28.49%241M
-41.94%245M
-43.06%242M
-23.87%319M
-23.87%319M
-25.28%337M
-7.86%422M
Total current assets
-17.08%15.15B
-13.29%14.17B
-13.29%14.17B
-15.60%14.09B
-14.26%16B
7.32%18.27B
18.03%16.34B
18.03%16.34B
31.65%16.7B
34.45%18.66B
Non current assets
-Accumulated depreciation
----
-9.10%-16.86B
-9.10%-16.86B
----
----
----
-4.42%-15.46B
-4.42%-15.46B
----
----
Investment properties
----
4.10%254M
4.10%254M
----
----
----
--244M
--244M
----
----
-Long term equity investment
-4.29%9.94B
10.88%9.91B
10.88%9.91B
30.67%10.33B
29.99%10.36B
22.99%10.39B
5.72%8.94B
5.72%8.94B
-28.08%7.9B
-27.08%7.97B
-Including:Financial assets designated as fair value through profit or loss, Total
----
2.27%45M
2.27%45M
----
----
----
--44M
--44M
----
----
-Including:Available-for-sale securities
----
4.50%209M
4.50%209M
----
----
----
--200M
--200M
----
----
Non current note receivables
----
6.47%477M
6.47%477M
----
----
----
70.99%448M
70.99%448M
----
----
-Goodwill
-3.24%14.25B
-2.28%14.33B
-2.28%14.33B
-0.69%14.3B
-1.15%14.33B
0.71%14.73B
0.72%14.67B
0.72%14.67B
-1.18%14.4B
-0.74%14.5B
Defined pension benefit
----
-12.10%138M
-12.10%138M
----
----
----
-7.65%157M
-7.65%157M
----
----
Regulatory assets
-7.46%5.56B
-12.85%5.4B
-12.85%5.4B
-10.22%7.71B
-15.50%8.6B
-6.65%6.01B
15.43%6.19B
15.43%6.19B
24.31%8.59B
52.19%10.17B
Non current deferred assets
----
68.52%91M
68.52%91M
----
----
----
-67.47%54M
-67.47%54M
----
----
Total assets
----
104.86%295M
104.86%295M
----
----
----
-35.43%144M
-35.43%144M
----
----
Liabilities
Current liabilities
Current debt and capital lease obligation
-24.05%3.69B
-11.21%2.65B
-11.21%2.65B
-19.30%4.66B
-12.51%3.27B
25.46%4.86B
25.01%2.99B
25.01%2.99B
264.92%5.77B
620.85%3.73B
-Current debt
-26.55%3.35B
-13.30%2.33B
-13.30%2.33B
-20.40%4.35B
-13.55%2.97B
27.18%4.56B
27.51%2.68B
27.51%2.68B
320.45%5.47B
1,317.77%3.43B
-Current capital lease obligation
13.07%346M
7.21%327M
7.21%327M
0.66%305M
-0.66%301M
4.44%306M
6.64%305M
6.64%305M
7.83%303M
9.78%303M
-accounts payable
----
-5.52%5.48B
-5.52%5.48B
----
----
----
11.93%5.8B
11.93%5.8B
----
----
-Total tax payable
-2.26%15.45B
6.81%15.43B
6.81%15.43B
18.57%15.72B
19.12%15.73B
14.19%15.81B
4.57%14.44B
4.57%14.44B
-18.07%13.26B
-18.57%13.21B
-Dividends payable
----
7.38%262M
7.38%262M
----
----
----
-5.06%244M
-5.06%244M
----
----
-Other payable
-7.33%999M
11.29%345M
11.29%345M
2.35%959M
13.27%973M
24.34%1.08B
34.20%310M
34.20%310M
38.00%937M
29.37%859M
Current accrued expenses
----
-4.01%742M
-4.01%742M
----
----
----
1.18%773M
1.18%773M
----
----
Current provisions
----
-29.49%165M
-29.49%165M
----
----
----
37.65%234M
37.65%234M
----
----
Current deferred liabilities
----
-9.31%2.08B
-9.31%2.08B
----
----
----
10.32%2.3B
10.32%2.3B
----
----
Current liabilities
-15.19%13.13B
-15.12%12.12B
-15.12%12.12B
-22.16%11.31B
-17.38%12.74B
3.93%15.48B
14.76%14.28B
14.76%14.28B
70.74%14.53B
55.95%15.42B
Non current liabilities
-Long term debt
17.50%1.03B
11.12%999M
11.12%999M
1.92%901M
-5.70%861M
-5.27%880M
-3.75%899M
-3.75%899M
-1.34%884M
1.44%913M
Non current accrued expenses
2.65%22.41B
3.19%22.46B
3.19%22.46B
5.37%22.15B
6.97%21.92B
9.17%21.83B
8.75%21.77B
8.75%21.77B
6.69%21.02B
4.59%20.49B
Long term provisions
-6.31%8.91B
10.86%8.91B
10.86%8.91B
34.29%9.43B
34.61%9.5B
26.48%9.51B
6.90%8.04B
6.90%8.04B
-30.45%7.02B
-29.64%7.06B
Employee benefits
1.65%246M
-21.00%252M
-21.00%252M
-28.49%241M
-41.94%245M
-43.06%242M
-23.87%319M
-23.87%319M
-25.28%337M
-7.86%422M
Preferred securities outside stock equity
----
-23.15%644M
-23.15%644M
----
----
----
-3.68%838M
-3.68%838M
----
----
Total non current liabilities
-8.66%28.58B
-4.09%27.55B
-4.09%27.55B
-2.73%27.03B
-0.54%28.47B
8.87%31.29B
9.40%28.72B
9.40%28.72B
12.54%27.79B
9.65%28.62B
Shareholders'equity
Share capital
-0.27%13.84B
-2.36%13.84B
-2.36%13.84B
-5.15%13.84B
-8.47%13.84B
-9.87%13.88B
-8.31%14.17B
-8.31%14.17B
-7.78%14.59B
-4.01%15.12B
-common stock
-0.27%13.84B
-2.36%13.84B
-2.36%13.84B
-5.15%13.84B
-8.47%13.84B
-9.87%13.88B
-8.31%14.17B
-8.31%14.17B
-7.78%14.59B
-4.01%15.12B
Additional paid-in capital
-19.81%85M
-23.85%83M
-23.85%83M
-23.36%82M
-23.81%80M
-20.30%106M
-26.85%109M
-26.85%109M
-27.21%107M
-47.76%105M
Gains losses not affecting retained earnings
-3.13%-395M
24.30%-296M
24.30%-296M
17.67%-410M
-51.87%-325M
-1,573.08%-383M
-167.81%-391M
-167.81%-391M
-308.20%-498M
-386.36%-214M
Other equity interest
-3.42%905M
-7.43%1.5B
-7.43%1.5B
-10.99%656M
-2.11%602M
-0.64%937M
-2.30%1.62B
-2.30%1.62B
12.69%737M
17.37%615M
Noncontrolling interests
----
-19.53%482M
-19.53%482M
----
----
----
--599M
--599M
----
----
Total equity
-5.33%53.58B
-3.37%52.75B
-3.37%52.75B
-2.96%52.23B
-2.37%53.93B
6.24%56.59B
9.27%54.59B
9.27%54.59B
11.40%53.82B
11.91%55.24B
(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(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -66.33%496M4.44%941M4.44%941M-32.69%554M3.66%737M155.29%1.47B80.56%901M80.56%901M85.78%823M-60.37%711M
-Cash and cash equivalents -66.33%496M4.44%941M4.44%941M-32.69%554M3.66%737M155.29%1.47B80.56%901M80.56%901M85.78%823M-60.37%711M
-Accounts receivable -7.46%5.56B-16.58%4.67B-16.58%4.67B-10.22%7.71B-15.50%8.6B-6.65%6.01B18.94%5.6B18.94%5.6B24.31%8.59B52.19%10.17B
-Notes receivable 1.65%246M-21.00%252M-21.00%252M-28.49%241M-41.94%245M-43.06%242M-23.87%319M-23.87%319M-25.28%337M-7.86%422M
Total current assets -17.08%15.15B-13.29%14.17B-13.29%14.17B-15.60%14.09B-14.26%16B7.32%18.27B18.03%16.34B18.03%16.34B31.65%16.7B34.45%18.66B
Non current assets
-Accumulated depreciation -----9.10%-16.86B-9.10%-16.86B-------------4.42%-15.46B-4.42%-15.46B--------
Investment properties ----4.10%254M4.10%254M--------------244M--244M--------
-Long term equity investment -4.29%9.94B10.88%9.91B10.88%9.91B30.67%10.33B29.99%10.36B22.99%10.39B5.72%8.94B5.72%8.94B-28.08%7.9B-27.08%7.97B
-Including:Financial assets designated as fair value through profit or loss, Total ----2.27%45M2.27%45M--------------44M--44M--------
-Including:Available-for-sale securities ----4.50%209M4.50%209M--------------200M--200M--------
Non current note receivables ----6.47%477M6.47%477M------------70.99%448M70.99%448M--------
-Goodwill -3.24%14.25B-2.28%14.33B-2.28%14.33B-0.69%14.3B-1.15%14.33B0.71%14.73B0.72%14.67B0.72%14.67B-1.18%14.4B-0.74%14.5B
Defined pension benefit -----12.10%138M-12.10%138M-------------7.65%157M-7.65%157M--------
Regulatory assets -7.46%5.56B-12.85%5.4B-12.85%5.4B-10.22%7.71B-15.50%8.6B-6.65%6.01B15.43%6.19B15.43%6.19B24.31%8.59B52.19%10.17B
Non current deferred assets ----68.52%91M68.52%91M-------------67.47%54M-67.47%54M--------
Total assets ----104.86%295M104.86%295M-------------35.43%144M-35.43%144M--------
Liabilities
Current liabilities
Current debt and capital lease obligation -24.05%3.69B-11.21%2.65B-11.21%2.65B-19.30%4.66B-12.51%3.27B25.46%4.86B25.01%2.99B25.01%2.99B264.92%5.77B620.85%3.73B
-Current debt -26.55%3.35B-13.30%2.33B-13.30%2.33B-20.40%4.35B-13.55%2.97B27.18%4.56B27.51%2.68B27.51%2.68B320.45%5.47B1,317.77%3.43B
-Current capital lease obligation 13.07%346M7.21%327M7.21%327M0.66%305M-0.66%301M4.44%306M6.64%305M6.64%305M7.83%303M9.78%303M
-accounts payable -----5.52%5.48B-5.52%5.48B------------11.93%5.8B11.93%5.8B--------
-Total tax payable -2.26%15.45B6.81%15.43B6.81%15.43B18.57%15.72B19.12%15.73B14.19%15.81B4.57%14.44B4.57%14.44B-18.07%13.26B-18.57%13.21B
-Dividends payable ----7.38%262M7.38%262M-------------5.06%244M-5.06%244M--------
-Other payable -7.33%999M11.29%345M11.29%345M2.35%959M13.27%973M24.34%1.08B34.20%310M34.20%310M38.00%937M29.37%859M
Current accrued expenses -----4.01%742M-4.01%742M------------1.18%773M1.18%773M--------
Current provisions -----29.49%165M-29.49%165M------------37.65%234M37.65%234M--------
Current deferred liabilities -----9.31%2.08B-9.31%2.08B------------10.32%2.3B10.32%2.3B--------
Current liabilities -15.19%13.13B-15.12%12.12B-15.12%12.12B-22.16%11.31B-17.38%12.74B3.93%15.48B14.76%14.28B14.76%14.28B70.74%14.53B55.95%15.42B
Non current liabilities
-Long term debt 17.50%1.03B11.12%999M11.12%999M1.92%901M-5.70%861M-5.27%880M-3.75%899M-3.75%899M-1.34%884M1.44%913M
Non current accrued expenses 2.65%22.41B3.19%22.46B3.19%22.46B5.37%22.15B6.97%21.92B9.17%21.83B8.75%21.77B8.75%21.77B6.69%21.02B4.59%20.49B
Long term provisions -6.31%8.91B10.86%8.91B10.86%8.91B34.29%9.43B34.61%9.5B26.48%9.51B6.90%8.04B6.90%8.04B-30.45%7.02B-29.64%7.06B
Employee benefits 1.65%246M-21.00%252M-21.00%252M-28.49%241M-41.94%245M-43.06%242M-23.87%319M-23.87%319M-25.28%337M-7.86%422M
Preferred securities outside stock equity -----23.15%644M-23.15%644M-------------3.68%838M-3.68%838M--------
Total non current liabilities -8.66%28.58B-4.09%27.55B-4.09%27.55B-2.73%27.03B-0.54%28.47B8.87%31.29B9.40%28.72B9.40%28.72B12.54%27.79B9.65%28.62B
Shareholders'equity
Share capital -0.27%13.84B-2.36%13.84B-2.36%13.84B-5.15%13.84B-8.47%13.84B-9.87%13.88B-8.31%14.17B-8.31%14.17B-7.78%14.59B-4.01%15.12B
-common stock -0.27%13.84B-2.36%13.84B-2.36%13.84B-5.15%13.84B-8.47%13.84B-9.87%13.88B-8.31%14.17B-8.31%14.17B-7.78%14.59B-4.01%15.12B
Additional paid-in capital -19.81%85M-23.85%83M-23.85%83M-23.36%82M-23.81%80M-20.30%106M-26.85%109M-26.85%109M-27.21%107M-47.76%105M
Gains losses not affecting retained earnings -3.13%-395M24.30%-296M24.30%-296M17.67%-410M-51.87%-325M-1,573.08%-383M-167.81%-391M-167.81%-391M-308.20%-498M-386.36%-214M
Other equity interest -3.42%905M-7.43%1.5B-7.43%1.5B-10.99%656M-2.11%602M-0.64%937M-2.30%1.62B-2.30%1.62B12.69%737M17.37%615M
Noncontrolling interests -----19.53%482M-19.53%482M--------------599M--599M--------
Total equity -5.33%53.58B-3.37%52.75B-3.37%52.75B-2.96%52.23B-2.37%53.93B6.24%56.59B9.27%54.59B9.27%54.59B11.40%53.82B11.91%55.24B

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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