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NVT nVent Electric

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  • 68.330
  • +0.990+1.47%
Close Feb 14 16:00 ET
  • 68.330
  • 0.0000.00%
Post 16:52 ET
11.26BMarket Cap34.69P/E (TTM)

nVent Electric Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(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
Assets
Current assets
Cash, cash equivalents and short term investments
-29.12%131.2M
-29.12%131.2M
21.01%137.1M
97.83%274M
-30.25%211.4M
-37.78%185.1M
-37.78%185.1M
-41.60%113.3M
148.21%138.5M
493.15%303.1M
-Cash and cash equivalents
-29.12%131.2M
-29.12%131.2M
21.01%137.1M
97.83%274M
-30.25%211.4M
-37.78%185.1M
-37.78%185.1M
-41.60%113.3M
148.21%138.5M
493.15%303.1M
Receivables
-25.33%473.1M
-25.33%473.1M
-9.48%574.9M
4.41%615.2M
27.69%640.6M
22.29%633.6M
22.29%633.6M
17.44%635.1M
9.33%589.2M
1.31%501.7M
-Accounts receivable
-19.75%473.1M
-19.75%473.1M
-10.98%526M
4.43%570.7M
30.00%591.5M
24.76%589.5M
24.76%589.5M
19.79%590.9M
13.50%546.5M
3.01%455M
-Other receivables
----
----
10.63%48.9M
4.22%44.5M
5.14%49.1M
-3.29%44.1M
-3.29%44.1M
-6.95%44.2M
-25.61%42.7M
-12.71%46.7M
Inventory
-18.35%360.3M
-18.35%360.3M
-21.23%366.2M
-6.21%445.8M
20.35%441.1M
27.29%441.3M
27.29%441.3M
24.14%464.9M
26.61%475.3M
5.23%366.5M
Prepaid assets
----
----
-18.96%66.7M
-12.20%66.2M
-15.55%55.4M
12.65%55.2M
12.65%55.2M
12.74%82.3M
2.72%75.4M
-1.65%65.6M
Other current assets
492.82%123.9M
492.82%123.9M
302.33%17.3M
21.47%21.5M
568.42%25.4M
514.71%20.9M
514.71%20.9M
34.38%4.3M
555.56%17.7M
5.56%3.8M
Total current assets
3.98%1.39B
3.98%1.39B
9.14%1.42B
9.77%1.42B
9.75%1.37B
8.70%1.34B
8.70%1.34B
7.18%1.3B
21.32%1.3B
29.73%1.25B
Non current assets
Net PPE
-31.61%347.9M
-31.61%347.9M
-4.71%442.8M
5.88%502.7M
34.41%505.1M
39.14%508.7M
39.14%508.7M
34.23%464.7M
34.16%474.8M
2.51%375.8M
-Gross PPE
----
----
-3.89%911.3M
5.88%1.02B
18.80%1.01B
21.90%1.01B
21.90%1.01B
18.75%948.2M
19.30%963.8M
4.30%853.4M
-Accumulated depreciation
----
----
3.10%-468.5M
-5.89%-517.8M
-6.51%-508.7M
-8.34%-503.8M
-8.34%-503.8M
-6.90%-483.5M
-7.71%-489M
-5.76%-477.6M
Goodwill and other intangible assets
-6.83%3.81B
-6.83%3.81B
-6.05%3.85B
-1.41%4.03B
25.73%4.06B
26.01%4.09B
26.01%4.09B
26.14%4.1B
24.63%4.09B
-2.45%3.23B
-Goodwill
-13.59%2.22B
-13.59%2.22B
-12.81%2.23B
1.00%2.57B
17.92%2.57B
18.04%2.57B
18.04%2.57B
18.03%2.56B
16.74%2.54B
-0.22%2.18B
-Other intangible assets
4.61%1.59B
4.61%1.59B
5.19%1.62B
-5.36%1.46B
41.95%1.49B
42.29%1.52B
42.29%1.52B
42.40%1.54B
40.20%1.55B
-6.79%1.05B
Non current deferred assets
----
----
426.96%181.8M
469.71%199.4M
575.51%198.6M
501.82%198.6M
501.82%198.6M
20.63%34.5M
15.89%35M
-11.71%29.4M
Other non current assets
3,836.75%1.19B
3,836.75%1.19B
3,507.04%1.02B
18.11%30M
6.10%31.3M
0.00%30.2M
0.00%30.2M
-27.74%28.4M
-17.53%25.4M
6.12%29.5M
Total non current assets
10.78%5.35B
10.78%5.35B
18.88%5.5B
3.01%4.77B
30.87%4.8B
31.38%4.83B
31.38%4.83B
26.28%4.63B
25.12%4.63B
-1.98%3.66B
Total assets
9.30%6.73B
9.30%6.73B
16.75%6.92B
4.49%6.19B
25.49%6.17B
25.69%6.16B
25.69%6.16B
21.53%5.93B
24.27%5.92B
4.52%4.92B
Liabilities
Current liabilities
Payables
-22.69%280.1M
-22.69%280.1M
5.57%318.4M
14.75%343.1M
8.76%340.1M
14.29%362.3M
14.29%362.3M
-5.42%301.6M
-12.73%299M
-3.61%312.7M
-accounts payable
1.60%280.1M
1.60%280.1M
0.00%243.4M
10.28%266.1M
9.17%263.2M
9.36%275.7M
9.36%275.7M
-5.99%243.4M
-13.79%241.3M
-8.57%241.1M
-Total tax payable
----
----
52.67%42.9M
60.79%44.7M
6.92%44.8M
56.52%54M
56.52%54M
-5.39%28.1M
-14.46%27.8M
36.48%41.9M
-Dividends payable
----
----
6.64%32.1M
8.03%32.3M
8.08%32.1M
7.24%32.6M
7.24%32.6M
-0.66%30.1M
-0.99%29.9M
-1.00%29.7M
Current accrued expenses
----
----
-12.08%91M
-9.32%73M
17.16%102.4M
-2.86%101.9M
-2.86%101.9M
5.72%103.5M
18.38%80.5M
51.74%87.4M
Current debt and capital lease obligation
-34.78%37.5M
-34.78%37.5M
13.26%59.8M
19.92%63.2M
76.90%60.5M
75.84%57.5M
75.84%57.5M
67.62%52.8M
141.74%52.7M
52.68%34.2M
-Current debt
17.55%37.5M
17.55%37.5M
25.00%37.5M
18.67%35.6M
125.33%33.8M
112.67%31.9M
112.67%31.9M
100.00%30M
500.00%30M
200.00%15M
-Current capital lease obligation
----
----
-2.19%22.3M
21.59%27.6M
39.06%26.7M
44.63%25.6M
44.63%25.6M
38.18%22.8M
35.12%22.7M
10.34%19.2M
Current deferred liabilities
----
----
20.86%22.6M
-17.95%19.2M
-4.51%25.4M
19.38%27.1M
19.38%27.1M
-28.63%18.7M
13.59%23.4M
43.01%26.6M
Other current liabilities
521.41%389M
521.41%389M
177.68%189.1M
-5.92%62M
10.45%66.6M
-0.48%62.6M
-0.48%62.6M
0.59%68.1M
-4.91%65.9M
-25.19%60.3M
Current liabilities
9.27%801.6M
9.27%801.6M
17.71%776.2M
5.40%654.1M
14.80%690.3M
12.95%733.6M
12.95%733.6M
2.23%659.4M
1.39%620.6M
2.21%601.3M
Non current liabilities
Long term debt and capital lease obligation
14.63%2.12B
14.63%2.12B
21.20%2.31B
-9.48%1.83B
62.38%1.84B
63.19%1.85B
63.19%1.85B
68.08%1.91B
82.45%2.02B
2.32%1.13B
-Long term debt
21.08%2.12B
21.08%2.12B
21.25%2.22B
-10.74%1.73B
63.42%1.74B
63.71%1.75B
63.71%1.75B
70.90%1.83B
85.85%1.94B
2.29%1.06B
-Long term capital lease obligation
----
----
19.95%90.2M
21.37%96M
46.29%100.5M
54.47%98.4M
54.47%98.4M
19.94%75.2M
25.96%79.1M
2.84%68.7M
Non current deferred liabilities
8.45%242.7M
8.45%242.7M
18.95%280M
0.18%223.5M
4.22%222.3M
3.47%223.8M
3.47%223.8M
4.39%235.4M
-1.67%223.1M
-6.86%213.3M
Employee benefits
-13.92%131.7M
-13.92%131.7M
6.06%140.1M
7.58%146.2M
13.64%149.1M
19.07%153M
19.07%153M
-26.81%132.1M
-30.09%135.9M
-35.72%131.2M
Other non current liabilities
367.16%157.9M
367.16%157.9M
180.32%52.7M
13.62%24.2M
56.00%27.3M
133.10%33.8M
133.10%33.8M
89.90%18.8M
104.81%21.3M
66.67%17.5M
Total non current liabilities
17.92%2.7B
17.92%2.7B
23.13%2.86B
-7.40%2.25B
48.64%2.27B
50.30%2.29B
50.30%2.29B
46.88%2.32B
54.76%2.43B
-3.55%1.53B
Total liabilities
15.82%3.5B
15.82%3.5B
21.93%3.63B
-4.80%2.9B
39.07%2.96B
39.12%3.02B
39.12%3.02B
33.94%2.98B
39.77%3.05B
-1.99%2.13B
Shareholders'equity
Share capital
----
----
0.00%1.7M
0.00%1.7M
0.00%1.7M
0.00%1.7M
0.00%1.7M
0.00%1.7M
0.00%1.7M
0.00%1.7M
-common stock
----
----
0.00%1.7M
0.00%1.7M
0.00%1.7M
0.00%1.7M
0.00%1.7M
0.00%1.7M
0.00%1.7M
0.00%1.7M
Retained earnings
----
----
65.87%1.13B
74.65%1.06B
87.49%978.3M
97.97%905.3M
97.97%905.3M
107.96%681.9M
129.44%605.5M
144.63%521.8M
Paid-in capital
----
----
-4.96%2.26B
-0.78%2.35B
-0.74%2.34B
-1.40%2.34B
-1.40%2.34B
-1.62%2.38B
-1.68%2.37B
-1.68%2.36B
Gains losses not affecting retained earnings
----
----
6.26%-109.4M
-21.25%-122.1M
-17.29%-112.6M
-4.42%-104M
-4.42%-104M
-21.06%-116.7M
-12.64%-100.7M
-14.42%-96M
Total stockholders'equity
3.04%3.24B
3.04%3.24B
11.50%3.28B
14.33%3.29B
15.14%3.21B
15.02%3.14B
15.02%3.14B
11.11%2.95B
11.20%2.88B
10.10%2.79B
Total equity
3.04%3.24B
3.04%3.24B
11.50%3.28B
14.33%3.29B
15.14%3.21B
15.02%3.14B
15.02%3.14B
11.11%2.95B
11.20%2.88B
10.10%2.79B
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
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(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
Assets
Current assets
Cash, cash equivalents and short term investments -29.12%131.2M-29.12%131.2M21.01%137.1M97.83%274M-30.25%211.4M-37.78%185.1M-37.78%185.1M-41.60%113.3M148.21%138.5M493.15%303.1M
-Cash and cash equivalents -29.12%131.2M-29.12%131.2M21.01%137.1M97.83%274M-30.25%211.4M-37.78%185.1M-37.78%185.1M-41.60%113.3M148.21%138.5M493.15%303.1M
Receivables -25.33%473.1M-25.33%473.1M-9.48%574.9M4.41%615.2M27.69%640.6M22.29%633.6M22.29%633.6M17.44%635.1M9.33%589.2M1.31%501.7M
-Accounts receivable -19.75%473.1M-19.75%473.1M-10.98%526M4.43%570.7M30.00%591.5M24.76%589.5M24.76%589.5M19.79%590.9M13.50%546.5M3.01%455M
-Other receivables --------10.63%48.9M4.22%44.5M5.14%49.1M-3.29%44.1M-3.29%44.1M-6.95%44.2M-25.61%42.7M-12.71%46.7M
Inventory -18.35%360.3M-18.35%360.3M-21.23%366.2M-6.21%445.8M20.35%441.1M27.29%441.3M27.29%441.3M24.14%464.9M26.61%475.3M5.23%366.5M
Prepaid assets ---------18.96%66.7M-12.20%66.2M-15.55%55.4M12.65%55.2M12.65%55.2M12.74%82.3M2.72%75.4M-1.65%65.6M
Other current assets 492.82%123.9M492.82%123.9M302.33%17.3M21.47%21.5M568.42%25.4M514.71%20.9M514.71%20.9M34.38%4.3M555.56%17.7M5.56%3.8M
Total current assets 3.98%1.39B3.98%1.39B9.14%1.42B9.77%1.42B9.75%1.37B8.70%1.34B8.70%1.34B7.18%1.3B21.32%1.3B29.73%1.25B
Non current assets
Net PPE -31.61%347.9M-31.61%347.9M-4.71%442.8M5.88%502.7M34.41%505.1M39.14%508.7M39.14%508.7M34.23%464.7M34.16%474.8M2.51%375.8M
-Gross PPE ---------3.89%911.3M5.88%1.02B18.80%1.01B21.90%1.01B21.90%1.01B18.75%948.2M19.30%963.8M4.30%853.4M
-Accumulated depreciation --------3.10%-468.5M-5.89%-517.8M-6.51%-508.7M-8.34%-503.8M-8.34%-503.8M-6.90%-483.5M-7.71%-489M-5.76%-477.6M
Goodwill and other intangible assets -6.83%3.81B-6.83%3.81B-6.05%3.85B-1.41%4.03B25.73%4.06B26.01%4.09B26.01%4.09B26.14%4.1B24.63%4.09B-2.45%3.23B
-Goodwill -13.59%2.22B-13.59%2.22B-12.81%2.23B1.00%2.57B17.92%2.57B18.04%2.57B18.04%2.57B18.03%2.56B16.74%2.54B-0.22%2.18B
-Other intangible assets 4.61%1.59B4.61%1.59B5.19%1.62B-5.36%1.46B41.95%1.49B42.29%1.52B42.29%1.52B42.40%1.54B40.20%1.55B-6.79%1.05B
Non current deferred assets --------426.96%181.8M469.71%199.4M575.51%198.6M501.82%198.6M501.82%198.6M20.63%34.5M15.89%35M-11.71%29.4M
Other non current assets 3,836.75%1.19B3,836.75%1.19B3,507.04%1.02B18.11%30M6.10%31.3M0.00%30.2M0.00%30.2M-27.74%28.4M-17.53%25.4M6.12%29.5M
Total non current assets 10.78%5.35B10.78%5.35B18.88%5.5B3.01%4.77B30.87%4.8B31.38%4.83B31.38%4.83B26.28%4.63B25.12%4.63B-1.98%3.66B
Total assets 9.30%6.73B9.30%6.73B16.75%6.92B4.49%6.19B25.49%6.17B25.69%6.16B25.69%6.16B21.53%5.93B24.27%5.92B4.52%4.92B
Liabilities
Current liabilities
Payables -22.69%280.1M-22.69%280.1M5.57%318.4M14.75%343.1M8.76%340.1M14.29%362.3M14.29%362.3M-5.42%301.6M-12.73%299M-3.61%312.7M
-accounts payable 1.60%280.1M1.60%280.1M0.00%243.4M10.28%266.1M9.17%263.2M9.36%275.7M9.36%275.7M-5.99%243.4M-13.79%241.3M-8.57%241.1M
-Total tax payable --------52.67%42.9M60.79%44.7M6.92%44.8M56.52%54M56.52%54M-5.39%28.1M-14.46%27.8M36.48%41.9M
-Dividends payable --------6.64%32.1M8.03%32.3M8.08%32.1M7.24%32.6M7.24%32.6M-0.66%30.1M-0.99%29.9M-1.00%29.7M
Current accrued expenses ---------12.08%91M-9.32%73M17.16%102.4M-2.86%101.9M-2.86%101.9M5.72%103.5M18.38%80.5M51.74%87.4M
Current debt and capital lease obligation -34.78%37.5M-34.78%37.5M13.26%59.8M19.92%63.2M76.90%60.5M75.84%57.5M75.84%57.5M67.62%52.8M141.74%52.7M52.68%34.2M
-Current debt 17.55%37.5M17.55%37.5M25.00%37.5M18.67%35.6M125.33%33.8M112.67%31.9M112.67%31.9M100.00%30M500.00%30M200.00%15M
-Current capital lease obligation ---------2.19%22.3M21.59%27.6M39.06%26.7M44.63%25.6M44.63%25.6M38.18%22.8M35.12%22.7M10.34%19.2M
Current deferred liabilities --------20.86%22.6M-17.95%19.2M-4.51%25.4M19.38%27.1M19.38%27.1M-28.63%18.7M13.59%23.4M43.01%26.6M
Other current liabilities 521.41%389M521.41%389M177.68%189.1M-5.92%62M10.45%66.6M-0.48%62.6M-0.48%62.6M0.59%68.1M-4.91%65.9M-25.19%60.3M
Current liabilities 9.27%801.6M9.27%801.6M17.71%776.2M5.40%654.1M14.80%690.3M12.95%733.6M12.95%733.6M2.23%659.4M1.39%620.6M2.21%601.3M
Non current liabilities
Long term debt and capital lease obligation 14.63%2.12B14.63%2.12B21.20%2.31B-9.48%1.83B62.38%1.84B63.19%1.85B63.19%1.85B68.08%1.91B82.45%2.02B2.32%1.13B
-Long term debt 21.08%2.12B21.08%2.12B21.25%2.22B-10.74%1.73B63.42%1.74B63.71%1.75B63.71%1.75B70.90%1.83B85.85%1.94B2.29%1.06B
-Long term capital lease obligation --------19.95%90.2M21.37%96M46.29%100.5M54.47%98.4M54.47%98.4M19.94%75.2M25.96%79.1M2.84%68.7M
Non current deferred liabilities 8.45%242.7M8.45%242.7M18.95%280M0.18%223.5M4.22%222.3M3.47%223.8M3.47%223.8M4.39%235.4M-1.67%223.1M-6.86%213.3M
Employee benefits -13.92%131.7M-13.92%131.7M6.06%140.1M7.58%146.2M13.64%149.1M19.07%153M19.07%153M-26.81%132.1M-30.09%135.9M-35.72%131.2M
Other non current liabilities 367.16%157.9M367.16%157.9M180.32%52.7M13.62%24.2M56.00%27.3M133.10%33.8M133.10%33.8M89.90%18.8M104.81%21.3M66.67%17.5M
Total non current liabilities 17.92%2.7B17.92%2.7B23.13%2.86B-7.40%2.25B48.64%2.27B50.30%2.29B50.30%2.29B46.88%2.32B54.76%2.43B-3.55%1.53B
Total liabilities 15.82%3.5B15.82%3.5B21.93%3.63B-4.80%2.9B39.07%2.96B39.12%3.02B39.12%3.02B33.94%2.98B39.77%3.05B-1.99%2.13B
Shareholders'equity
Share capital --------0.00%1.7M0.00%1.7M0.00%1.7M0.00%1.7M0.00%1.7M0.00%1.7M0.00%1.7M0.00%1.7M
-common stock --------0.00%1.7M0.00%1.7M0.00%1.7M0.00%1.7M0.00%1.7M0.00%1.7M0.00%1.7M0.00%1.7M
Retained earnings --------65.87%1.13B74.65%1.06B87.49%978.3M97.97%905.3M97.97%905.3M107.96%681.9M129.44%605.5M144.63%521.8M
Paid-in capital ---------4.96%2.26B-0.78%2.35B-0.74%2.34B-1.40%2.34B-1.40%2.34B-1.62%2.38B-1.68%2.37B-1.68%2.36B
Gains losses not affecting retained earnings --------6.26%-109.4M-21.25%-122.1M-17.29%-112.6M-4.42%-104M-4.42%-104M-21.06%-116.7M-12.64%-100.7M-14.42%-96M
Total stockholders'equity 3.04%3.24B3.04%3.24B11.50%3.28B14.33%3.29B15.14%3.21B15.02%3.14B15.02%3.14B11.11%2.95B11.20%2.88B10.10%2.79B
Total equity 3.04%3.24B3.04%3.24B11.50%3.28B14.33%3.29B15.14%3.21B15.02%3.14B15.02%3.14B11.11%2.95B11.20%2.88B10.10%2.79B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----------Unqualified Opinion--------

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