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SHEL Shell

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  • 65.850
  • -0.800-1.20%
Close Jan 31 16:00 ET
  • 65.730
  • -0.120-0.18%
Pre 06:04 ET
198.97BMarket Cap13.01P/E (TTM)

Shell 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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
-8.29%29.92B
157.34%4.21B
-35.61%7.27B
38.44%7.4B
-23.06%11.04B
-49.66%32.63B
-90.06%1.63B
-1.26%11.29B
-79.56%5.35B
33.20%14.35B
Other non cash items
133.58%3.12B
37.57%-447M
19.22%769M
80.22%2.31B
291.13%485M
-74.09%1.34B
30.89%-716M
-28.57%645M
-54.60%1.28B
-94.97%124M
Change In working capital
-73.69%2.06B
-28.75%2.41B
1,106.33%2.67B
-105.28%-258M
-326.01%-2.75B
244.24%7.84B
-67.50%3.38B
105.32%221M
215.18%4.89B
91.30%-646M
-Change in receivables
-46.96%6.58B
206.68%751M
460.30%4.06B
-76.29%1.97B
-103.28%-195M
237.96%12.4B
-113.59%-704M
-1,048.98%-1.13B
303.86%8.29B
159.40%5.94B
-Change in inventory
-79.87%1.27B
-96.80%131M
185.85%2.71B
-181.47%-954M
-114.42%-608M
175.66%6.33B
40.82%4.09B
-751.03%-3.15B
117.14%1.17B
185.82%4.22B
Cash from discontinued investing activities
Operating cash flow
0.91%54.68B
4.72%13.16B
19.07%14.68B
-10.72%13.51B
-5.85%13.33B
-20.79%54.19B
-43.90%12.57B
-1.65%12.33B
-18.90%15.13B
-4.43%14.16B
Investing cash flow
Cash flow from continuing investing activities
Capital expenditure reported
14.75%-19.6B
6.81%-6.49B
10.82%-4.69B
3.66%-4.45B
35.40%-3.98B
-1.74%-22.99B
-8.44%-6.96B
0.17%-5.26B
30.90%-4.61B
-45.41%-6.16B
Net PPE purchase and sale
-36.80%1.62B
-8.87%493M
-48.91%94M
96.13%710M
-78.16%323M
79.25%2.57B
940.38%541M
371.79%184M
-53.77%362M
165.53%1.48B
Net business purchase and sale
-11.81%-814M
-93.33%-116M
54.61%-128M
39.29%-204M
-634.00%-367M
50.21%-728M
91.89%-60M
-361.11%-282M
-57.75%-336M
91.90%-50M
Net investment purchase and sale
443.84%502M
45.00%-11M
3.03%-32M
82.26%-11M
1,893.55%556M
-2.10%-146M
-186.96%-20M
-22.22%-33M
21.52%-62M
48.33%-31M
Net other investing changes
-48.82%739M
301.45%1.11B
1,430.43%306M
-103.23%-36M
-927.27%-637M
348.97%1.44B
216.95%276M
85.06%-23M
714.92%1.11B
1,062.50%77M
Cash from discontinued investing activities
Investing cash flow
14.55%-15.15B
21.63%-4.43B
20.10%-3.86B
-10.71%-3.34B
16.75%-3.53B
21.00%-17.73B
18.27%-5.65B
4.40%-4.83B
51.43%-3.02B
0.82%-4.24B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
2.17%-9.62B
34.94%-2.61B
56.90%-1.33B
-162.89%-4.2B
-30.96%-1.47B
-24.90%-9.83B
-64.95%-4.02B
-142.78%-3.09B
13.90%-1.6B
51.32%-1.12B
Net common stock issuance
5.28%-14.69B
17.10%-3.89B
-28.17%-3.53B
-12.55%-3.98B
27.35%-3.29B
18.52%-15.51B
6.52%-4.69B
44.62%-2.76B
35.24%-3.54B
-26.52%-4.52B
Cash dividends paid
-3.28%-8.67B
3.95%-2.11B
0.55%-2.17B
-9.78%-2.18B
-8.92%-2.21B
-13.34%-8.39B
-23.31%-2.2B
-19.86%-2.18B
-7.13%-1.98B
-4.05%-2.03B
Net other financing activities
-186.73%-608M
-220.60%-843M
3,350.00%650M
22.52%-117M
-277.06%-301M
118.62%701M
143.23%699M
97.62%-20M
81.74%-151M
135.34%170M
Cash from discontinued financing activities
Financing cash flow
-0.52%-38.43B
6.93%-10.89B
18.53%-7.45B
-31.58%-11.85B
1.63%-8.25B
8.86%-38.24B
3.13%-11.7B
5.77%-9.15B
19.26%-9B
7.03%-8.39B
Net cash flow
Beginning cash position
-3.66%38.77B
-1.81%42.25B
-15.40%38.15B
-5.05%39.95B
-3.66%38.77B
8.86%40.25B
19.60%43.03B
15.71%45.09B
9.68%42.07B
8.86%40.25B
Current changes in cash
161.64%1.1B
54.90%-2.16B
305.54%3.38B
-153.86%-1.68B
1.17%1.55B
-144.32%-1.78B
-240.36%-4.79B
25.94%-1.64B
139.75%3.11B
0.85%1.54B
Effect of exchange rate changes
-348.69%-761M
-286.55%-985M
273.16%729M
-35.48%-126M
-229.35%-379M
141.58%306M
-38.60%528M
45.61%-421M
86.48%-93M
318.66%293M
End cash Position
0.87%39.11B
0.87%39.11B
-1.81%42.25B
-15.40%38.15B
-5.05%39.95B
-3.66%38.77B
-3.66%38.77B
19.60%43.03B
15.71%45.09B
9.68%42.07B
Free cash flow
12.45%35.08B
19.02%6.68B
41.30%9.99B
-13.82%9.06B
16.90%9.35B
-31.90%31.2B
-64.92%5.61B
-2.72%7.07B
-12.21%10.52B
-24.39%8B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations -8.29%29.92B157.34%4.21B-35.61%7.27B38.44%7.4B-23.06%11.04B-49.66%32.63B-90.06%1.63B-1.26%11.29B-79.56%5.35B33.20%14.35B
Other non cash items 133.58%3.12B37.57%-447M19.22%769M80.22%2.31B291.13%485M-74.09%1.34B30.89%-716M-28.57%645M-54.60%1.28B-94.97%124M
Change In working capital -73.69%2.06B-28.75%2.41B1,106.33%2.67B-105.28%-258M-326.01%-2.75B244.24%7.84B-67.50%3.38B105.32%221M215.18%4.89B91.30%-646M
-Change in receivables -46.96%6.58B206.68%751M460.30%4.06B-76.29%1.97B-103.28%-195M237.96%12.4B-113.59%-704M-1,048.98%-1.13B303.86%8.29B159.40%5.94B
-Change in inventory -79.87%1.27B-96.80%131M185.85%2.71B-181.47%-954M-114.42%-608M175.66%6.33B40.82%4.09B-751.03%-3.15B117.14%1.17B185.82%4.22B
Cash from discontinued investing activities
Operating cash flow 0.91%54.68B4.72%13.16B19.07%14.68B-10.72%13.51B-5.85%13.33B-20.79%54.19B-43.90%12.57B-1.65%12.33B-18.90%15.13B-4.43%14.16B
Investing cash flow
Cash flow from continuing investing activities
Capital expenditure reported 14.75%-19.6B6.81%-6.49B10.82%-4.69B3.66%-4.45B35.40%-3.98B-1.74%-22.99B-8.44%-6.96B0.17%-5.26B30.90%-4.61B-45.41%-6.16B
Net PPE purchase and sale -36.80%1.62B-8.87%493M-48.91%94M96.13%710M-78.16%323M79.25%2.57B940.38%541M371.79%184M-53.77%362M165.53%1.48B
Net business purchase and sale -11.81%-814M-93.33%-116M54.61%-128M39.29%-204M-634.00%-367M50.21%-728M91.89%-60M-361.11%-282M-57.75%-336M91.90%-50M
Net investment purchase and sale 443.84%502M45.00%-11M3.03%-32M82.26%-11M1,893.55%556M-2.10%-146M-186.96%-20M-22.22%-33M21.52%-62M48.33%-31M
Net other investing changes -48.82%739M301.45%1.11B1,430.43%306M-103.23%-36M-927.27%-637M348.97%1.44B216.95%276M85.06%-23M714.92%1.11B1,062.50%77M
Cash from discontinued investing activities
Investing cash flow 14.55%-15.15B21.63%-4.43B20.10%-3.86B-10.71%-3.34B16.75%-3.53B21.00%-17.73B18.27%-5.65B4.40%-4.83B51.43%-3.02B0.82%-4.24B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt 2.17%-9.62B34.94%-2.61B56.90%-1.33B-162.89%-4.2B-30.96%-1.47B-24.90%-9.83B-64.95%-4.02B-142.78%-3.09B13.90%-1.6B51.32%-1.12B
Net common stock issuance 5.28%-14.69B17.10%-3.89B-28.17%-3.53B-12.55%-3.98B27.35%-3.29B18.52%-15.51B6.52%-4.69B44.62%-2.76B35.24%-3.54B-26.52%-4.52B
Cash dividends paid -3.28%-8.67B3.95%-2.11B0.55%-2.17B-9.78%-2.18B-8.92%-2.21B-13.34%-8.39B-23.31%-2.2B-19.86%-2.18B-7.13%-1.98B-4.05%-2.03B
Net other financing activities -186.73%-608M-220.60%-843M3,350.00%650M22.52%-117M-277.06%-301M118.62%701M143.23%699M97.62%-20M81.74%-151M135.34%170M
Cash from discontinued financing activities
Financing cash flow -0.52%-38.43B6.93%-10.89B18.53%-7.45B-31.58%-11.85B1.63%-8.25B8.86%-38.24B3.13%-11.7B5.77%-9.15B19.26%-9B7.03%-8.39B
Net cash flow
Beginning cash position -3.66%38.77B-1.81%42.25B-15.40%38.15B-5.05%39.95B-3.66%38.77B8.86%40.25B19.60%43.03B15.71%45.09B9.68%42.07B8.86%40.25B
Current changes in cash 161.64%1.1B54.90%-2.16B305.54%3.38B-153.86%-1.68B1.17%1.55B-144.32%-1.78B-240.36%-4.79B25.94%-1.64B139.75%3.11B0.85%1.54B
Effect of exchange rate changes -348.69%-761M-286.55%-985M273.16%729M-35.48%-126M-229.35%-379M141.58%306M-38.60%528M45.61%-421M86.48%-93M318.66%293M
End cash Position 0.87%39.11B0.87%39.11B-1.81%42.25B-15.40%38.15B-5.05%39.95B-3.66%38.77B-3.66%38.77B19.60%43.03B15.71%45.09B9.68%42.07B
Free cash flow 12.45%35.08B19.02%6.68B41.30%9.99B-13.82%9.06B16.90%9.35B-31.90%31.2B-64.92%5.61B-2.72%7.07B-12.21%10.52B-24.39%8B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP
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