US Stock MarketDetailed Quotes

OKE ONEOK Inc

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  • 85.180
  • +0.180+0.21%
Close Aug 12 16:00 ET
  • 85.250
  • +0.070+0.08%
Post 18:59 ET
49.75BMarket Cap18.85P/E (TTM)

ONEOK Inc 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
85.23%1.43B
-51.19%596M
52.13%4.42B
45.00%1.51B
49.35%920M
-1.91%772M
163.71%1.22B
14.14%2.91B
-1.41%1.04B
49.09%616M
Net income from continuing operations
66.67%780M
-39.08%639M
54.41%2.66B
41.86%688M
5.09%454M
13.04%468M
168.29%1.05B
14.80%1.72B
27.74%485M
10.20%432M
Operating gains losses
-104.65%-88M
-90.00%-76M
-36.49%-202M
-89.19%-70M
-25.64%-49M
-19.44%-43M
-11.11%-40M
-21.31%-148M
-7.60%-37M
-36.49%-39M
Depreciation and amortization
54.12%262M
56.79%254M
22.84%769M
65.61%260M
12.74%177M
7.59%170M
5.19%162M
0.64%626M
2.34%157M
1.59%157M
Deferred tax
52.99%205M
-36.84%180M
78.66%829M
93.28%230M
53.85%180M
14.53%134M
156.76%285M
-1.69%464M
-6.44%119M
-0.72%117M
Other non cash items
-184.00%-21M
108.88%23M
-226.80%-194M
-96.26%4M
3,500.00%36M
25.00%25M
-1,136.00%-259M
62.77%153M
192.98%107M
-94.33%1M
Change In working capital
912.00%203M
-2,542.11%-502M
717.24%358M
90.70%328M
182.22%74M
-132.05%-25M
91.28%-19M
59.44%-58M
-51.93%172M
66.69%-90M
-Change in receivables
197.64%378M
-98.18%6M
172.30%107M
-141.07%-46M
-478.75%-303M
232.29%127M
234.84%329M
75.78%-148M
47.31%112M
119.12%80M
-Change in inventory
825.00%185M
-995.00%-179M
290.32%118M
115.53%222M
---144M
116.95%20M
142.55%20M
40.95%-62M
-41.42%103M
--0
-Change in payables and accrued expense
-11.17%-229M
87.76%-29M
-138.46%-62M
68.94%-100M
276.19%481M
-172.79%-206M
-182.87%-237M
-104.18%-26M
-140.17%-322M
-169.58%-273M
-Change in other working capital
-485.29%-131M
-129.01%-300M
9.55%195M
-9.68%252M
-61.17%40M
277.78%34M
38.50%-131M
463.27%178M
16.24%279M
176.35%103M
Cash from discontinued investing activities
Operating cash flow
85.23%1.43B
-51.19%596M
52.13%4.42B
45.00%1.51B
49.35%920M
-1.91%772M
163.71%1.22B
14.14%2.91B
-1.41%1.04B
49.09%616M
Investing cash flow
Cash flow from continuing investing activities
-89.00%-756M
-1,329.79%-578M
-462.25%-6.4B
-134.55%-645M
-1,584.11%-5.41B
-33.78%-400M
119.26%47M
-71.28%-1.14B
-45.06%-275M
-112.78%-321M
Capital expenditure reported
-57.05%-479M
-77.16%-512M
-32.70%-1.6B
-90.82%-603M
-21.71%-398M
-0.99%-305M
-12.45%-289M
-72.45%-1.2B
-52.90%-316M
-96.74%-327M
Net business purchase and sale
-242.45%-363M
-4,500.00%-92M
-173,966.67%-5.22B
-10,200.00%-103M
-501,000.00%-5.01B
---106M
---2M
-200.00%-3M
---1M
---1M
Net other investing changes
2,566.67%80M
-99.70%1M
689.13%363M
-27.50%29M
-50.00%1M
200.00%3M
10,900.00%330M
228.57%46M
118.75%40M
-74.53%2M
Cash from discontinued investing activities
Investing cash flow
-89.00%-756M
-1,329.79%-578M
-462.25%-6.4B
-134.55%-645M
-1,584.11%-5.41B
-33.78%-400M
119.26%47M
-71.28%-1.14B
-45.06%-275M
-112.78%-321M
Financing cash flow
Cash flow from continuing financing activities
25.69%-703M
63.99%-291M
224.10%2.1B
-42.68%-809M
1,240.34%4.66B
-157.77%-946M
-130.86%-808M
25.06%-1.69B
39.88%-567M
0.81%-409M
Net issuance payments of debt
72.28%-140M
185.33%320M
14,907.41%4B
-71.05%-260M
102,660.00%5.14B
-1,302.38%-505M
-580.77%-375M
95.54%-27M
71.65%-152M
--5M
Cash dividends paid
-35.05%-578M
-35.36%-578M
-9.99%-1.84B
-32.70%-556M
-2.39%-428M
-2.39%-428M
-2.40%-427M
-0.30%-1.67B
-0.53%-419M
-0.21%-418M
Net other financing activities
215.38%15M
-450.00%-33M
-1,066.67%-58M
75.00%7M
-1,250.00%-46M
-244.44%-13M
45.45%-6M
-53.85%6M
-59.61%4M
-16.04%4M
Cash from discontinued financing activities
Financing cash flow
25.69%-703M
63.99%-291M
224.10%2.1B
-42.68%-809M
1,240.34%4.66B
-157.77%-946M
-130.86%-808M
25.06%-1.69B
39.88%-567M
0.81%-409M
Net cash flow
Beginning cash position
-90.44%65M
53.64%338M
50.68%220M
1,190.91%284M
-22.06%106M
4,433.33%680M
50.68%220M
-72.14%146M
-90.19%22M
-63.67%136M
Current changes in cash
94.95%-29M
-159.35%-273M
59.46%118M
-72.73%54M
256.14%178M
-574.38%-574M
451.15%460M
119.58%74M
354.36%198M
24.02%-114M
End cash Position
-66.04%36M
-90.44%65M
53.64%338M
53.64%338M
1,190.91%284M
-22.06%106M
4,433.33%680M
50.68%220M
50.68%220M
-90.19%22M
Free cash flow
103.64%951M
-90.99%84M
65.85%2.83B
25.00%905M
80.62%522M
-3.71%467M
352.43%932M
-7.84%1.7B
-14.64%724M
17.02%289M
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 85.23%1.43B-51.19%596M52.13%4.42B45.00%1.51B49.35%920M-1.91%772M163.71%1.22B14.14%2.91B-1.41%1.04B49.09%616M
Net income from continuing operations 66.67%780M-39.08%639M54.41%2.66B41.86%688M5.09%454M13.04%468M168.29%1.05B14.80%1.72B27.74%485M10.20%432M
Operating gains losses -104.65%-88M-90.00%-76M-36.49%-202M-89.19%-70M-25.64%-49M-19.44%-43M-11.11%-40M-21.31%-148M-7.60%-37M-36.49%-39M
Depreciation and amortization 54.12%262M56.79%254M22.84%769M65.61%260M12.74%177M7.59%170M5.19%162M0.64%626M2.34%157M1.59%157M
Deferred tax 52.99%205M-36.84%180M78.66%829M93.28%230M53.85%180M14.53%134M156.76%285M-1.69%464M-6.44%119M-0.72%117M
Other non cash items -184.00%-21M108.88%23M-226.80%-194M-96.26%4M3,500.00%36M25.00%25M-1,136.00%-259M62.77%153M192.98%107M-94.33%1M
Change In working capital 912.00%203M-2,542.11%-502M717.24%358M90.70%328M182.22%74M-132.05%-25M91.28%-19M59.44%-58M-51.93%172M66.69%-90M
-Change in receivables 197.64%378M-98.18%6M172.30%107M-141.07%-46M-478.75%-303M232.29%127M234.84%329M75.78%-148M47.31%112M119.12%80M
-Change in inventory 825.00%185M-995.00%-179M290.32%118M115.53%222M---144M116.95%20M142.55%20M40.95%-62M-41.42%103M--0
-Change in payables and accrued expense -11.17%-229M87.76%-29M-138.46%-62M68.94%-100M276.19%481M-172.79%-206M-182.87%-237M-104.18%-26M-140.17%-322M-169.58%-273M
-Change in other working capital -485.29%-131M-129.01%-300M9.55%195M-9.68%252M-61.17%40M277.78%34M38.50%-131M463.27%178M16.24%279M176.35%103M
Cash from discontinued investing activities
Operating cash flow 85.23%1.43B-51.19%596M52.13%4.42B45.00%1.51B49.35%920M-1.91%772M163.71%1.22B14.14%2.91B-1.41%1.04B49.09%616M
Investing cash flow
Cash flow from continuing investing activities -89.00%-756M-1,329.79%-578M-462.25%-6.4B-134.55%-645M-1,584.11%-5.41B-33.78%-400M119.26%47M-71.28%-1.14B-45.06%-275M-112.78%-321M
Capital expenditure reported -57.05%-479M-77.16%-512M-32.70%-1.6B-90.82%-603M-21.71%-398M-0.99%-305M-12.45%-289M-72.45%-1.2B-52.90%-316M-96.74%-327M
Net business purchase and sale -242.45%-363M-4,500.00%-92M-173,966.67%-5.22B-10,200.00%-103M-501,000.00%-5.01B---106M---2M-200.00%-3M---1M---1M
Net other investing changes 2,566.67%80M-99.70%1M689.13%363M-27.50%29M-50.00%1M200.00%3M10,900.00%330M228.57%46M118.75%40M-74.53%2M
Cash from discontinued investing activities
Investing cash flow -89.00%-756M-1,329.79%-578M-462.25%-6.4B-134.55%-645M-1,584.11%-5.41B-33.78%-400M119.26%47M-71.28%-1.14B-45.06%-275M-112.78%-321M
Financing cash flow
Cash flow from continuing financing activities 25.69%-703M63.99%-291M224.10%2.1B-42.68%-809M1,240.34%4.66B-157.77%-946M-130.86%-808M25.06%-1.69B39.88%-567M0.81%-409M
Net issuance payments of debt 72.28%-140M185.33%320M14,907.41%4B-71.05%-260M102,660.00%5.14B-1,302.38%-505M-580.77%-375M95.54%-27M71.65%-152M--5M
Cash dividends paid -35.05%-578M-35.36%-578M-9.99%-1.84B-32.70%-556M-2.39%-428M-2.39%-428M-2.40%-427M-0.30%-1.67B-0.53%-419M-0.21%-418M
Net other financing activities 215.38%15M-450.00%-33M-1,066.67%-58M75.00%7M-1,250.00%-46M-244.44%-13M45.45%-6M-53.85%6M-59.61%4M-16.04%4M
Cash from discontinued financing activities
Financing cash flow 25.69%-703M63.99%-291M224.10%2.1B-42.68%-809M1,240.34%4.66B-157.77%-946M-130.86%-808M25.06%-1.69B39.88%-567M0.81%-409M
Net cash flow
Beginning cash position -90.44%65M53.64%338M50.68%220M1,190.91%284M-22.06%106M4,433.33%680M50.68%220M-72.14%146M-90.19%22M-63.67%136M
Current changes in cash 94.95%-29M-159.35%-273M59.46%118M-72.73%54M256.14%178M-574.38%-574M451.15%460M119.58%74M354.36%198M24.02%-114M
End cash Position -66.04%36M-90.44%65M53.64%338M53.64%338M1,190.91%284M-22.06%106M4,433.33%680M50.68%220M50.68%220M-90.19%22M
Free cash flow 103.64%951M-90.99%84M65.85%2.83B25.00%905M80.62%522M-3.71%467M352.43%932M-7.84%1.7B-14.64%724M17.02%289M
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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