US Stock MarketDetailed Quotes

SLB Schlumberger

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  • 48.030
  • -1.020-2.08%
Close Jul 24 16:00 ET
  • 48.000
  • -0.030-0.06%
Post 19:45 ET
68.20BMarket Cap15.70P/E (TTM)

Schlumberger 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
-10.70%1.44B
-0.91%327M
78.41%6.64B
87.24%3.02B
7.02%1.68B
294.12%1.61B
151.91%330M
-20.02%3.72B
-16.46%1.61B
46.45%1.57B
Net income from continuing operations
9.46%1.15B
16.31%1.1B
22.42%4.28B
6.10%1.15B
23.59%1.14B
7.84%1.05B
81.54%944M
81.12%3.49B
77.09%1.08B
63.70%920M
Operating gains losses
----
50.00%-16M
-37.50%-132M
-90.04%24M
-36.67%-41M
73.48%-83M
-633.33%-32M
-1,060.00%-96M
372.55%241M
-15.38%-30M
Depreciation and amortization
12.48%631M
6.57%600M
5.39%1.76B
-21.13%56M
8.63%579M
5.45%561M
5.63%563M
-2.05%1.67B
-38.79%71M
0.57%533M
Deferred tax
----
-126.79%-30M
171.79%28M
-57.14%-66M
-200.00%-24M
-76.00%6M
900.00%112M
-25.81%-39M
-2,200.00%-42M
46.67%-8M
Other non cash items
158.93%145M
292.86%54M
185.94%220M
157.19%175M
-29.17%17M
9.80%56M
-12.00%-28M
-3,757.14%-256M
-1,800.00%-306M
220.00%24M
Change In working capital
-878.95%-558M
-12.90%-1.48B
87.52%-216M
875.61%1.2B
-194.23%-49M
93.86%-57M
-33.95%-1.31B
-528.47%-1.73B
-83.24%123M
252.94%52M
-Change in receivables
----
15.72%-429M
61.86%-659M
180.75%344M
6.27%-389M
78.26%-105M
-25.99%-509M
-4,700.00%-1.73B
-798.36%-426M
-2,541.18%-415M
-Change in inventory
----
40.28%-172M
65.54%-254M
-28.57%80M
117.26%34M
57.45%-80M
37.93%-288M
-1,082.67%-737M
433.33%112M
-515.63%-197M
-Change in payables and accrued expense
----
-67.15%-931M
-17.25%662M
146.08%785M
-42.32%338M
147.52%96M
-674.23%-557M
13,233.33%800M
-59.62%319M
8,271.43%586M
-Change in other current assets
----
20.45%53M
224.72%111M
-97.89%2M
-136.59%-30M
248.44%95M
121.78%44M
-123.12%-89M
184.82%95M
730.77%82M
-Change in other current liabilities
----
----
-430.43%-76M
-147.83%-11M
50.00%-2M
----
----
188.46%23M
--23M
---4M
Cash from discontinued investing activities
Operating cash flow
-10.70%1.44B
-0.91%327M
78.41%6.64B
87.24%3.02B
7.02%1.68B
294.12%1.61B
151.91%330M
-20.02%3.72B
-16.46%1.61B
46.45%1.57B
Investing cash flow
Cash flow from continuing investing activities
32.86%-660M
72.39%-151M
-100.50%-2.78B
-91.18%-520M
32.32%-733M
-1,298.78%-983M
-375.65%-547M
-51.03%-1.39B
48.29%-272M
-74.96%-1.08B
Capital expenditure reported
-25.30%-525M
7.36%-428M
-21.98%-2.09B
-5.74%-626M
-27.45%-585M
-16.39%-419M
-51.97%-462M
-45.34%-1.72B
-21.81%-592M
-68.13%-459M
Net business purchase and sale
----
74.77%-27M
-111.71%-105M
-91.14%38M
51.35%-18M
-104.28%-18M
-227.38%-107M
14,850.00%897M
206.43%429M
62.63%-37M
Net investment purchase and sale
64.47%-135M
161.17%269M
19.93%-478M
38.52%-75M
79.71%-126M
-1,627.27%-380M
-38.69%103M
-290.73%-597M
29.07%-122M
-150.40%-621M
Net other investing changes
----
143.21%35M
-16.13%-108M
1,000.00%143M
-111.76%-4M
-115.58%-166M
-28.57%-81M
-60.34%-93M
262.50%13M
3,300.00%34M
Cash from discontinued investing activities
Investing cash flow
32.86%-660M
72.39%-151M
-100.50%-2.78B
-91.18%-520M
32.32%-733M
-1,298.78%-983M
-375.65%-547M
-51.03%-1.39B
48.29%-272M
-74.96%-1.08B
Financing cash flow
Cash flow from continuing financing activities
-642.08%-1.36B
-530.65%-267M
-5.46%-2.51B
-8.95%-2.01B
-112.22%-382M
2.66%-183M
136.47%62M
15.65%-2.38B
-51.15%-1.84B
44.10%-180M
Net issuance payments of debt
----
-33.99%336M
63.92%-582M
4.31%-1.53B
350.00%5M
1,711.11%435M
3,081.25%509M
24.87%-1.61B
-58.26%-1.6B
99.00%-2M
Net common stock issuance
-118.31%-465M
-17.39%-270M
---694M
---100M
---151M
---213M
---230M
--0
--0
--0
Cash dividends paid
-10.67%-394M
-43.37%-357M
-55.31%-1.32B
-43.55%-356M
-43.55%-356M
-101.13%-356M
-42.29%-249M
-21.32%-848M
-41.71%-248M
-41.71%-248M
Proceeds from stock option exercised by employees
66.67%5M
-4.96%115M
26.01%281M
-90.38%5M
94.87%152M
-86.36%3M
70.42%121M
62.77%223M
--52M
4.00%78M
Net other financing activities
-869.23%-504M
-2.25%-91M
-38.89%-200M
43.75%-27M
-300.00%-32M
-766.67%-52M
-8.54%-89M
-25.22%-144M
-41.18%-48M
63.64%-8M
Cash from discontinued financing activities
Financing cash flow
-642.08%-1.36B
-530.65%-267M
-5.46%-2.51B
-8.95%-2.01B
-112.22%-382M
2.66%-183M
136.47%62M
15.65%-2.38B
-51.15%-1.84B
44.10%-180M
Net cash flow
Beginning cash position
-678.21%-8.68B
75.23%2.9B
-5.81%1.66B
14.13%2.49B
1.95%1.93B
-6.19%1.5B
-5.81%1.66B
108.18%1.76B
38.94%2.18B
31.55%1.89B
Current changes in cash
-231.67%-582M
41.29%-91M
2,784.00%1.34B
198.21%493M
84.87%562M
46.36%442M
-0.65%-155M
-105.51%-50M
-369.89%-502M
135.66%304M
Effect of exchange rate changes
676.92%75M
-2,200.00%-21M
-86.54%-97M
-252.17%-81M
76.47%-4M
-44.44%-13M
133.33%1M
-1,140.00%-52M
-1,250.00%-23M
-1,800.00%-17M
End cash Position
-575.96%-9.19B
85.74%2.79B
75.23%2.9B
75.23%2.9B
14.13%2.49B
1.95%1.93B
-6.19%1.5B
-5.81%1.66B
-5.81%1.66B
38.94%2.18B
Free cash flow
-23.38%911M
23.48%-101M
126.68%4.55B
134.44%2.4B
-1.44%1.09B
2,377.08%1.19B
23.70%-132M
-42.24%2.01B
-29.32%1.02B
39.02%1.11B
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 -10.70%1.44B-0.91%327M78.41%6.64B87.24%3.02B7.02%1.68B294.12%1.61B151.91%330M-20.02%3.72B-16.46%1.61B46.45%1.57B
Net income from continuing operations 9.46%1.15B16.31%1.1B22.42%4.28B6.10%1.15B23.59%1.14B7.84%1.05B81.54%944M81.12%3.49B77.09%1.08B63.70%920M
Operating gains losses ----50.00%-16M-37.50%-132M-90.04%24M-36.67%-41M73.48%-83M-633.33%-32M-1,060.00%-96M372.55%241M-15.38%-30M
Depreciation and amortization 12.48%631M6.57%600M5.39%1.76B-21.13%56M8.63%579M5.45%561M5.63%563M-2.05%1.67B-38.79%71M0.57%533M
Deferred tax -----126.79%-30M171.79%28M-57.14%-66M-200.00%-24M-76.00%6M900.00%112M-25.81%-39M-2,200.00%-42M46.67%-8M
Other non cash items 158.93%145M292.86%54M185.94%220M157.19%175M-29.17%17M9.80%56M-12.00%-28M-3,757.14%-256M-1,800.00%-306M220.00%24M
Change In working capital -878.95%-558M-12.90%-1.48B87.52%-216M875.61%1.2B-194.23%-49M93.86%-57M-33.95%-1.31B-528.47%-1.73B-83.24%123M252.94%52M
-Change in receivables ----15.72%-429M61.86%-659M180.75%344M6.27%-389M78.26%-105M-25.99%-509M-4,700.00%-1.73B-798.36%-426M-2,541.18%-415M
-Change in inventory ----40.28%-172M65.54%-254M-28.57%80M117.26%34M57.45%-80M37.93%-288M-1,082.67%-737M433.33%112M-515.63%-197M
-Change in payables and accrued expense -----67.15%-931M-17.25%662M146.08%785M-42.32%338M147.52%96M-674.23%-557M13,233.33%800M-59.62%319M8,271.43%586M
-Change in other current assets ----20.45%53M224.72%111M-97.89%2M-136.59%-30M248.44%95M121.78%44M-123.12%-89M184.82%95M730.77%82M
-Change in other current liabilities ---------430.43%-76M-147.83%-11M50.00%-2M--------188.46%23M--23M---4M
Cash from discontinued investing activities
Operating cash flow -10.70%1.44B-0.91%327M78.41%6.64B87.24%3.02B7.02%1.68B294.12%1.61B151.91%330M-20.02%3.72B-16.46%1.61B46.45%1.57B
Investing cash flow
Cash flow from continuing investing activities 32.86%-660M72.39%-151M-100.50%-2.78B-91.18%-520M32.32%-733M-1,298.78%-983M-375.65%-547M-51.03%-1.39B48.29%-272M-74.96%-1.08B
Capital expenditure reported -25.30%-525M7.36%-428M-21.98%-2.09B-5.74%-626M-27.45%-585M-16.39%-419M-51.97%-462M-45.34%-1.72B-21.81%-592M-68.13%-459M
Net business purchase and sale ----74.77%-27M-111.71%-105M-91.14%38M51.35%-18M-104.28%-18M-227.38%-107M14,850.00%897M206.43%429M62.63%-37M
Net investment purchase and sale 64.47%-135M161.17%269M19.93%-478M38.52%-75M79.71%-126M-1,627.27%-380M-38.69%103M-290.73%-597M29.07%-122M-150.40%-621M
Net other investing changes ----143.21%35M-16.13%-108M1,000.00%143M-111.76%-4M-115.58%-166M-28.57%-81M-60.34%-93M262.50%13M3,300.00%34M
Cash from discontinued investing activities
Investing cash flow 32.86%-660M72.39%-151M-100.50%-2.78B-91.18%-520M32.32%-733M-1,298.78%-983M-375.65%-547M-51.03%-1.39B48.29%-272M-74.96%-1.08B
Financing cash flow
Cash flow from continuing financing activities -642.08%-1.36B-530.65%-267M-5.46%-2.51B-8.95%-2.01B-112.22%-382M2.66%-183M136.47%62M15.65%-2.38B-51.15%-1.84B44.10%-180M
Net issuance payments of debt -----33.99%336M63.92%-582M4.31%-1.53B350.00%5M1,711.11%435M3,081.25%509M24.87%-1.61B-58.26%-1.6B99.00%-2M
Net common stock issuance -118.31%-465M-17.39%-270M---694M---100M---151M---213M---230M--0--0--0
Cash dividends paid -10.67%-394M-43.37%-357M-55.31%-1.32B-43.55%-356M-43.55%-356M-101.13%-356M-42.29%-249M-21.32%-848M-41.71%-248M-41.71%-248M
Proceeds from stock option exercised by employees 66.67%5M-4.96%115M26.01%281M-90.38%5M94.87%152M-86.36%3M70.42%121M62.77%223M--52M4.00%78M
Net other financing activities -869.23%-504M-2.25%-91M-38.89%-200M43.75%-27M-300.00%-32M-766.67%-52M-8.54%-89M-25.22%-144M-41.18%-48M63.64%-8M
Cash from discontinued financing activities
Financing cash flow -642.08%-1.36B-530.65%-267M-5.46%-2.51B-8.95%-2.01B-112.22%-382M2.66%-183M136.47%62M15.65%-2.38B-51.15%-1.84B44.10%-180M
Net cash flow
Beginning cash position -678.21%-8.68B75.23%2.9B-5.81%1.66B14.13%2.49B1.95%1.93B-6.19%1.5B-5.81%1.66B108.18%1.76B38.94%2.18B31.55%1.89B
Current changes in cash -231.67%-582M41.29%-91M2,784.00%1.34B198.21%493M84.87%562M46.36%442M-0.65%-155M-105.51%-50M-369.89%-502M135.66%304M
Effect of exchange rate changes 676.92%75M-2,200.00%-21M-86.54%-97M-252.17%-81M76.47%-4M-44.44%-13M133.33%1M-1,140.00%-52M-1,250.00%-23M-1,800.00%-17M
End cash Position -575.96%-9.19B85.74%2.79B75.23%2.9B75.23%2.9B14.13%2.49B1.95%1.93B-6.19%1.5B-5.81%1.66B-5.81%1.66B38.94%2.18B
Free cash flow -23.38%911M23.48%-101M126.68%4.55B134.44%2.4B-1.44%1.09B2,377.08%1.19B23.70%-132M-42.24%2.01B-29.32%1.02B39.02%1.11B
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

No Data

Price Target

No Data

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