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NTR Nutrien Ltd

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  • 67.500
  • +1.110+1.67%
15min DelayMarket Closed Nov 1 16:00 ET
33.40BMarket Cap30.84P/E (TTM)

Nutrien Ltd 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
-19.44%1.81B
43.24%-487M
-37.53%5.07B
-12.37%4.15B
-153.42%-469M
-12.31%2.24B
-1,283.87%-858M
108.70%8.11B
30.22%4.74B
156.10%878M
Net income from continuing operations
-12.50%392M
-71.35%165M
-83.32%1.28B
-84.26%176M
-94.82%82M
-87.56%448M
-58.41%576M
141.81%7.69B
-7.37%1.12B
118.04%1.58B
Operating gains losses
171.03%290M
-137.35%-31M
215.47%209M
111.90%5M
65.43%-28M
663.16%107M
243.10%83M
-284.69%-181M
---42M
---81M
Depreciation and amortization
5.40%586M
13.91%565M
7.80%2.17B
8.65%565M
4.94%552M
10.10%556M
7.59%496M
3.13%2.01B
4.63%520M
7.57%526M
Asset impairment expenditure
-24.07%530M
----
199.23%774M
--76M
--0
255.11%698M
----
-2,463.64%-780M
--0
-4,814.29%-330M
Remuneration paid in stock
115.63%10M
-60.00%6M
-122.22%-14M
88.14%-7M
7.69%42M
-23.08%-64M
-88.89%15M
-68.18%63M
-180.82%-59M
-39.06%39M
Deferred tax
-114.63%-12M
239.22%71M
-112.75%-58M
-242.16%-145M
-75.76%56M
22.39%82M
-192.73%-51M
1,567.74%455M
54.55%102M
365.52%231M
Other non cashItems
-90.57%5M
814.29%64M
9,750.00%197M
627.59%153M
766.67%26M
211.76%53M
-76.67%7M
-98.32%2M
-170.73%-29M
125.00%3M
Change In working capital
-98.35%6M
33.11%-1.33B
144.16%507M
6.43%3.33B
-9.70%-1.2B
132.67%363M
4.15%-1.98B
30.89%-1.15B
91.31%3.13B
60.28%-1.09B
-Change in receivables
3.69%-2.56B
-148.04%-257M
195.65%879M
-11.67%2.37B
-49.44%627M
32.55%-2.65B
158.86%535M
44.94%-919M
87.36%2.68B
566.17%1.24B
-Change in inventory
----
10.92%-1.33B
----
----
63.64%846M
----
42.78%-1.49B
----
----
297.69%517M
-Change in prepaid assets
-20.74%3.22B
----
217.91%1.38B
119.04%416M
-18.18%-52M
1,095.59%4.07B
----
-414.10%-1.17B
-100.09%-2.19B
66.92%-44M
-Change in payables and accrued expense
36.99%-661M
125.34%260M
-286.35%-1.75B
29.03%2.95B
6.63%-2.62B
-242.92%-1.05B
-241.32%-1.03B
-44.63%938M
-22.47%2.28B
-13.01%-2.81B
Cash from discontinued investing activities
Operating cash flow
-19.44%1.81B
43.24%-487M
-37.53%5.07B
-12.37%4.15B
-153.42%-469M
-12.31%2.24B
-1,283.87%-858M
108.70%8.11B
30.22%4.74B
156.10%878M
Investing cash flow
Cash flow from continuing investing activities
28.44%-614M
28.82%-494M
-1.96%-2.96B
40.02%-733M
4.54%-673M
-65.96%-858M
-51.86%-694M
-60.54%-2.9B
-162.80%-1.22B
-34.80%-705M
Capital expenditure reported
30.85%-547M
19.78%-373M
-7.92%-2.67B
17.80%-831M
3.30%-615M
-65.83%-791M
-32.48%-465M
-31.37%-2.48B
-56.50%-1.01B
-29.27%-636M
Net business purchase and sale
20.00%-4M
--0
62.41%-153M
88.75%-37M
--0
81.48%-5M
-170.73%-111M
-362.50%-407M
-1,727.78%-329M
66.67%-10M
Net investment purchase and sale
-11.83%-104M
---19M
---92M
--0
--0
---93M
--0
----
----
--0
Net other investing changes
32.26%41M
13.56%-102M
-121.05%-42M
14.41%135M
1.69%-58M
338.46%31M
-81.54%-118M
-111.52%-19M
-40.70%118M
-5,800.00%-59M
Cash from discontinued investing activities
Investing cash flow
28.44%-614M
28.82%-494M
-1.96%-2.96B
40.02%-733M
4.54%-673M
-65.96%-858M
-51.86%-694M
-60.54%-2.9B
-162.80%-1.22B
-34.80%-705M
Financing cash flow
Cash flow from continuing financing activities
67.80%-684M
-74.26%548M
56.44%-2.06B
10.84%-3.04B
3,465.52%976M
-13.10%-2.12B
262.07%2.13B
-57.54%-4.73B
-9.36%-3.41B
-103.83%-29M
Net issuance payments of debt
76.66%-398M
-75.04%816M
-97.17%19M
-44.09%-2.78B
-35.36%1.24B
-149.63%-1.71B
138.09%3.27B
160.98%672M
2.57%-1.93B
83.32%1.91B
Net common stock issuance
105.44%8M
100.12%1M
76.70%-1.01B
100.08%1M
100.06%1M
84.13%-147M
-68.41%-869M
-421.20%-4.35B
-39.06%-1.21B
-7,273.91%-1.7B
Cash dividends paid
-1.14%-266M
-6.10%-261M
-0.10%-1.03B
-4.38%-262M
-0.77%-261M
0.38%-263M
4.28%-246M
1.34%-1.03B
5.64%-251M
0.77%-259M
Net other financing activities
-211.11%-28M
68.00%-8M
-70.00%-34M
--0
----
-80.00%-9M
-108.33%-25M
4.76%-20M
---17M
800.00%14M
Cash from discontinued financing activities
Financing cash flow
67.80%-684M
-74.26%548M
56.44%-2.06B
10.84%-3.04B
3,465.52%976M
-13.10%-2.12B
262.07%2.13B
-57.54%-4.73B
-9.36%-3.41B
-103.83%-29M
Net cash flow
Beginning cash position
-66.33%496M
4.44%941M
80.56%901M
-32.69%554M
3.66%737M
155.29%1.47B
80.56%901M
-65.68%499M
85.78%823M
-60.37%711M
Current changes in cash
168.88%509M
-175.04%-433M
-90.17%47M
267.65%375M
-215.28%-166M
-553.37%-739M
736.23%577M
151.73%478M
96.15%102M
110.82%144M
Effect of exchange rate changes
-133.33%-1M
-140.00%-12M
90.79%-7M
150.00%12M
46.88%-17M
110.34%3M
-155.56%-5M
-145.16%-76M
-700.00%-24M
-60.00%-32M
End cash Position
36.23%1B
-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
Free cash from
-13.22%1.26B
35.00%-860M
-57.50%2.4B
-10.90%3.32B
-547.93%-1.08B
-30.23%1.45B
-220.34%-1.32B
181.47%5.64B
24.54%3.73B
111.76%242M
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 -19.44%1.81B43.24%-487M-37.53%5.07B-12.37%4.15B-153.42%-469M-12.31%2.24B-1,283.87%-858M108.70%8.11B30.22%4.74B156.10%878M
Net income from continuing operations -12.50%392M-71.35%165M-83.32%1.28B-84.26%176M-94.82%82M-87.56%448M-58.41%576M141.81%7.69B-7.37%1.12B118.04%1.58B
Operating gains losses 171.03%290M-137.35%-31M215.47%209M111.90%5M65.43%-28M663.16%107M243.10%83M-284.69%-181M---42M---81M
Depreciation and amortization 5.40%586M13.91%565M7.80%2.17B8.65%565M4.94%552M10.10%556M7.59%496M3.13%2.01B4.63%520M7.57%526M
Asset impairment expenditure -24.07%530M----199.23%774M--76M--0255.11%698M-----2,463.64%-780M--0-4,814.29%-330M
Remuneration paid in stock 115.63%10M-60.00%6M-122.22%-14M88.14%-7M7.69%42M-23.08%-64M-88.89%15M-68.18%63M-180.82%-59M-39.06%39M
Deferred tax -114.63%-12M239.22%71M-112.75%-58M-242.16%-145M-75.76%56M22.39%82M-192.73%-51M1,567.74%455M54.55%102M365.52%231M
Other non cashItems -90.57%5M814.29%64M9,750.00%197M627.59%153M766.67%26M211.76%53M-76.67%7M-98.32%2M-170.73%-29M125.00%3M
Change In working capital -98.35%6M33.11%-1.33B144.16%507M6.43%3.33B-9.70%-1.2B132.67%363M4.15%-1.98B30.89%-1.15B91.31%3.13B60.28%-1.09B
-Change in receivables 3.69%-2.56B-148.04%-257M195.65%879M-11.67%2.37B-49.44%627M32.55%-2.65B158.86%535M44.94%-919M87.36%2.68B566.17%1.24B
-Change in inventory ----10.92%-1.33B--------63.64%846M----42.78%-1.49B--------297.69%517M
-Change in prepaid assets -20.74%3.22B----217.91%1.38B119.04%416M-18.18%-52M1,095.59%4.07B-----414.10%-1.17B-100.09%-2.19B66.92%-44M
-Change in payables and accrued expense 36.99%-661M125.34%260M-286.35%-1.75B29.03%2.95B6.63%-2.62B-242.92%-1.05B-241.32%-1.03B-44.63%938M-22.47%2.28B-13.01%-2.81B
Cash from discontinued investing activities
Operating cash flow -19.44%1.81B43.24%-487M-37.53%5.07B-12.37%4.15B-153.42%-469M-12.31%2.24B-1,283.87%-858M108.70%8.11B30.22%4.74B156.10%878M
Investing cash flow
Cash flow from continuing investing activities 28.44%-614M28.82%-494M-1.96%-2.96B40.02%-733M4.54%-673M-65.96%-858M-51.86%-694M-60.54%-2.9B-162.80%-1.22B-34.80%-705M
Capital expenditure reported 30.85%-547M19.78%-373M-7.92%-2.67B17.80%-831M3.30%-615M-65.83%-791M-32.48%-465M-31.37%-2.48B-56.50%-1.01B-29.27%-636M
Net business purchase and sale 20.00%-4M--062.41%-153M88.75%-37M--081.48%-5M-170.73%-111M-362.50%-407M-1,727.78%-329M66.67%-10M
Net investment purchase and sale -11.83%-104M---19M---92M--0--0---93M--0----------0
Net other investing changes 32.26%41M13.56%-102M-121.05%-42M14.41%135M1.69%-58M338.46%31M-81.54%-118M-111.52%-19M-40.70%118M-5,800.00%-59M
Cash from discontinued investing activities
Investing cash flow 28.44%-614M28.82%-494M-1.96%-2.96B40.02%-733M4.54%-673M-65.96%-858M-51.86%-694M-60.54%-2.9B-162.80%-1.22B-34.80%-705M
Financing cash flow
Cash flow from continuing financing activities 67.80%-684M-74.26%548M56.44%-2.06B10.84%-3.04B3,465.52%976M-13.10%-2.12B262.07%2.13B-57.54%-4.73B-9.36%-3.41B-103.83%-29M
Net issuance payments of debt 76.66%-398M-75.04%816M-97.17%19M-44.09%-2.78B-35.36%1.24B-149.63%-1.71B138.09%3.27B160.98%672M2.57%-1.93B83.32%1.91B
Net common stock issuance 105.44%8M100.12%1M76.70%-1.01B100.08%1M100.06%1M84.13%-147M-68.41%-869M-421.20%-4.35B-39.06%-1.21B-7,273.91%-1.7B
Cash dividends paid -1.14%-266M-6.10%-261M-0.10%-1.03B-4.38%-262M-0.77%-261M0.38%-263M4.28%-246M1.34%-1.03B5.64%-251M0.77%-259M
Net other financing activities -211.11%-28M68.00%-8M-70.00%-34M--0-----80.00%-9M-108.33%-25M4.76%-20M---17M800.00%14M
Cash from discontinued financing activities
Financing cash flow 67.80%-684M-74.26%548M56.44%-2.06B10.84%-3.04B3,465.52%976M-13.10%-2.12B262.07%2.13B-57.54%-4.73B-9.36%-3.41B-103.83%-29M
Net cash flow
Beginning cash position -66.33%496M4.44%941M80.56%901M-32.69%554M3.66%737M155.29%1.47B80.56%901M-65.68%499M85.78%823M-60.37%711M
Current changes in cash 168.88%509M-175.04%-433M-90.17%47M267.65%375M-215.28%-166M-553.37%-739M736.23%577M151.73%478M96.15%102M110.82%144M
Effect of exchange rate changes -133.33%-1M-140.00%-12M90.79%-7M150.00%12M46.88%-17M110.34%3M-155.56%-5M-145.16%-76M-700.00%-24M-60.00%-32M
End cash Position 36.23%1B-66.33%496M4.44%941M4.44%941M-32.69%554M3.66%737M155.29%1.47B80.56%901M80.56%901M85.78%823M
Free cash from -13.22%1.26B35.00%-860M-57.50%2.4B-10.90%3.32B-547.93%-1.08B-30.23%1.45B-220.34%-1.32B181.47%5.64B24.54%3.73B111.76%242M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

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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