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STM STMicroelectronics

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  • 31.880
  • +0.730+2.34%
Trading Aug 30 10:17 ET
28.79BMarket Cap8.39P/E (TTM)

STMicroelectronics Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 29, 2024
(Q1)Mar 30, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jul 1, 2023
(Q1)Apr 1, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Oct 1, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
38.22%6.31B
38.06%6.24B
34.64%6.08B
34.64%6.08B
23.63%5.05B
32.53%4.56B
33.15%4.52B
28.50%4.52B
28.50%4.52B
--4.09B
-Cash and cash equivalents
-0.61%3.09B
-12.29%3.13B
-1.10%3.22B
-1.10%3.22B
7.08%3.01B
2.74%3.11B
26.31%3.57B
1.02%3.26B
1.02%3.26B
--2.81B
-Short-term investments
121.42%3.22B
227.98%3.11B
127.06%2.86B
127.06%2.86B
60.11%2.04B
249.88%1.45B
67.31%947M
332.99%1.26B
332.99%1.26B
--1.28B
Receivables
-16.75%2.4B
5.19%2.67B
8.04%2.66B
8.04%2.66B
22.18%2.72B
38.72%2.88B
40.52%2.54B
12.78%2.46B
12.78%2.46B
--2.23B
-Accounts receivable
-13.91%1.71B
-11.23%1.79B
-12.13%1.73B
-12.13%1.73B
-17.51%1.84B
-4.34%1.98B
11.28%2.01B
12.00%1.97B
12.00%1.97B
--2.23B
-Loans receivable
----
20.00%12M
0.00%10M
0.00%10M
--8M
--11M
--10M
25.00%10M
25.00%10M
----
-Accrued interest receivable
----
147.06%42M
22.73%27M
22.73%27M
--15M
--18M
--17M
2,100.00%22M
2,100.00%22M
----
-Taxes receivable
-5.69%199M
-8.63%254M
-10.74%241M
-10.74%241M
--206M
--211M
--278M
126.89%270M
126.89%270M
----
-Other receivables
-25.27%488M
158.48%579M
242.63%651M
242.63%651M
--655M
--653M
--224M
-35.81%190M
-35.81%190M
----
Inventory
-7.75%2.81B
-6.45%2.69B
4.45%2.7B
4.45%2.7B
20.54%2.87B
31.99%3.05B
33.67%2.87B
30.98%2.58B
30.98%2.58B
--2.38B
Prepaid assets
17.14%205M
-3.87%174M
44.00%180M
44.00%180M
--193M
--175M
--181M
5.93%125M
5.93%125M
----
Other current assets
34.71%163M
-49.29%107M
109.84%128M
109.84%128M
-79.77%125M
-80.88%121M
-66.67%211M
84.85%61M
84.85%61M
--618M
Total current assets
9.92%11.88B
14.76%11.89B
20.42%11.81B
20.42%11.81B
18.01%10.99B
27.79%10.81B
29.83%10.36B
25.26%9.81B
25.26%9.81B
--9.31B
Non current assets
Net PPE
17.05%10.89B
22.82%10.87B
28.69%10.55B
28.69%10.55B
36.36%9.67B
36.95%9.3B
43.83%8.85B
44.89%8.2B
44.89%8.2B
--7.09B
-Gross PPE
----
11.18%30.37B
14.45%30B
14.45%30B
18.07%28.38B
15.79%28B
14.21%27.32B
11.61%26.22B
11.61%26.22B
--24.04B
-Accumulated depreciation
----
-5.60%-19.51B
-7.96%-19.45B
-7.96%-19.45B
-10.42%-18.71B
-7.52%-18.7B
-3.96%-18.47B
-1.05%-18.02B
-1.05%-18.02B
---16.95B
Goodwill and other intangible assets
172.28%1.78B
-5.55%664M
-4.56%670M
-4.56%670M
-10.14%647M
-12.47%653M
-8.58%703M
-6.52%702M
-6.52%702M
--720M
-Goodwill
-6.40%278M
-0.67%298M
2.02%303M
2.02%303M
4.26%294M
1.02%297M
-2.28%300M
-5.11%297M
-5.11%297M
--282M
-Other intangible assets
321.35%1.5B
-9.18%366M
-9.38%367M
-9.38%367M
-19.41%353M
-21.24%356M
-12.77%403M
-7.53%405M
-7.53%405M
--438M
Investments and advances
10.20%54M
42.11%54M
43.24%53M
43.24%53M
44.12%49M
44.12%49M
5.56%38M
-5.13%37M
-5.13%37M
--34M
Non current accounts receivable
120.14%612M
25.66%617M
6.22%478M
6.22%478M
-1.02%387M
-41.60%278M
-10.07%491M
-10.00%450M
-10.00%450M
--391M
Financial assets
----
--0
-84.62%2M
-84.62%2M
--0
--8M
--14M
--13M
--13M
----
Non current deferred assets
-25.14%408M
0.52%585M
-1.66%592M
-1.66%592M
-3.04%510M
-3.54%545M
-3.64%582M
-7.67%602M
-7.67%602M
--526M
Non current prepaid assets
14.29%208M
110.68%217M
109.35%224M
109.35%224M
16.00%232M
-11.22%182M
-22.56%103M
409.52%107M
409.52%107M
--200M
Defined pension benefit
----
72.73%19M
66.67%15M
66.67%15M
--15M
--14M
--11M
-40.00%9M
-40.00%9M
----
Other non current assets
-11.29%55M
11.76%57M
3.57%58M
3.57%58M
--59M
--62M
--51M
-24.32%56M
-24.32%56M
----
Total non current assets
26.23%14B
20.65%13.08B
24.26%12.65B
24.26%12.65B
29.08%11.57B
25.80%11.09B
31.57%10.84B
31.96%10.18B
31.96%10.18B
--8.96B
Total assets
18.18%25.88B
17.77%24.97B
22.38%24.45B
22.38%24.45B
23.44%22.56B
26.77%21.9B
30.71%21.2B
28.58%19.98B
28.58%19.98B
--18.28B
Liabilities
Current liabilities
Payables
-21.74%2.1B
-17.10%2B
-8.63%2.27B
-8.63%2.27B
-38.17%2.28B
-25.04%2.68B
-17.86%2.41B
32.50%2.48B
32.50%2.48B
--3.68B
-accounts payable
-20.75%1.58B
-21.62%1.64B
-12.54%1.86B
-12.54%1.86B
-16.71%1.56B
-0.40%1.99B
30.29%2.1B
34.13%2.12B
34.13%2.12B
--1.87B
-Total tax payable
-32.29%239M
-24.10%211M
-2.45%159M
-2.45%159M
32.15%448M
81.96%353M
146.02%278M
29.37%163M
29.37%163M
--339M
-Dividends payable
48.55%257M
0.00%6M
-10.00%54M
-10.00%54M
0.88%115M
2.37%173M
0.00%6M
9.09%60M
9.09%60M
--114M
-Other payable
-84.34%26M
348.39%139M
46.27%196M
46.27%196M
-88.39%158M
-86.36%166M
-97.43%31M
24.07%134M
24.07%134M
--1.36B
Current accrued expenses
--117M
----
----
----
----
----
--111M
----
----
----
Current provisions
--3M
----
----
----
----
----
----
----
----
----
Current debt and capital lease obligation
619.31%1.68B
27.51%292M
21.15%275M
21.15%275M
46.45%227M
73.88%233M
63.57%229M
14.65%227M
14.65%227M
--155M
-Current debt
852.27%1.68B
35.23%238M
24.00%217M
24.00%217M
11.61%173M
31.34%176M
25.71%176M
22.38%175M
22.38%175M
--155M
-Current capital lease obligation
----
1.89%54M
11.54%58M
11.54%58M
--54M
--57M
--53M
-5.45%52M
-5.45%52M
----
Current deferred liabilities
-16.73%219M
-14.48%248M
-12.21%230M
-12.21%230M
--313M
--263M
--290M
204.65%262M
204.65%262M
----
Other current liabilities
721.62%304M
-39.13%14M
-88.57%4M
-88.57%4M
--55M
--37M
--23M
-18.60%35M
-18.60%35M
----
Current liabilities
29.30%5.23B
-11.16%3.57B
-2.79%3.73B
-2.79%3.73B
-2.58%3.74B
8.86%4.04B
30.58%4.01B
30.11%3.84B
30.11%3.84B
--3.84B
Non current liabilities
Long term debt and capital lease obligation
-50.67%1.3B
15.59%3.05B
8.01%2.9B
8.01%2.9B
-1.11%2.57B
4.70%2.63B
3.57%2.64B
5.46%2.68B
5.46%2.68B
--2.6B
-Long term debt
-47.55%1.3B
15.55%2.88B
6.61%2.71B
6.61%2.71B
-2.34%2.42B
3.69%2.47B
3.07%2.49B
6.09%2.54B
6.09%2.54B
--2.48B
-Long term capital lease obligation
----
16.23%179M
33.33%188M
33.33%188M
22.83%156M
23.81%156M
12.41%154M
-4.73%141M
-4.73%141M
--127M
Non current deferred liabilities
425.00%483M
285.45%424M
73.68%231M
73.68%231M
-40.30%80M
-20.00%92M
134.04%110M
107.81%133M
107.81%133M
--134M
Employee benefits
5.85%452M
9.95%464M
12.62%464M
12.62%464M
-10.92%424M
-15.61%427M
-19.77%422M
-22.56%412M
-22.56%412M
--476M
Derivative product liabilities
----
----
--0
--0
--0
--0
--0
--4M
--4M
--78M
Other non current liabilities
252.52%490M
76.16%266M
79.35%278M
79.35%278M
38.73%240M
-20.57%139M
-23.35%151M
-12.92%155M
-12.92%155M
--173M
Total non current liabilities
-17.19%2.72B
26.56%4.21B
14.29%3.87B
14.29%3.87B
-4.21%3.32B
-1.65%3.29B
0.12%3.33B
2.08%3.39B
2.08%3.39B
--3.46B
Total liabilities
8.45%7.95B
5.93%7.77B
5.22%7.6B
5.22%7.6B
-3.36%7.06B
3.88%7.33B
14.76%7.34B
15.27%7.22B
15.27%7.22B
--7.3B
Shareholders'equity
Share capital
0.00%1.16B
0.00%1.16B
0.00%1.16B
0.00%1.16B
0.00%1.16B
0.00%1.16B
0.00%1.16B
0.00%1.16B
0.00%1.16B
--1.16B
-common stock
0.00%1.16B
0.00%1.16B
0.00%1.16B
0.00%1.16B
0.00%1.16B
0.00%1.16B
0.00%1.16B
0.00%1.16B
0.00%1.16B
--1.16B
Retained earnings
20.91%12.5B
33.09%12.98B
43.12%12.47B
43.12%12.47B
52.54%11.4B
61.03%10.34B
62.70%9.75B
66.82%8.71B
66.82%8.71B
--7.47B
Paid-in capital
-16.77%2.28B
8.84%2.93B
8.93%2.87B
8.93%2.87B
9.03%2.8B
8.85%2.74B
8.94%2.69B
3.87%2.63B
3.87%2.63B
--2.57B
Less: Treasury stock
46.89%354M
31.53%463M
40.67%377M
40.67%377M
58.38%293M
61.74%241M
23.08%352M
34.00%268M
34.00%268M
--185M
Gains losses not affecting retained earnings
340.20%2.22B
-14.29%468M
33.26%613M
33.26%613M
504.30%376M
142.79%505M
28.17%546M
-7.26%460M
-7.26%460M
---93M
Total stockholders'equity
22.80%17.81B
23.75%17.08B
31.80%16.73B
31.80%16.73B
41.38%15.44B
42.80%14.5B
41.32%13.8B
37.83%12.69B
37.83%12.69B
--10.92B
Noncontrolling interests
81.16%125M
85.07%124M
89.23%123M
89.23%123M
18.03%72M
6.15%69M
6.35%67M
1.56%65M
1.56%65M
--61M
Total equity
23.08%17.94B
24.05%17.2B
32.09%16.85B
32.09%16.85B
41.26%15.51B
42.57%14.57B
41.09%13.87B
37.58%12.76B
37.58%12.76B
--10.98B
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
--
--
(Q2)Jun 29, 2024(Q1)Mar 30, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jul 1, 2023(Q1)Apr 1, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Oct 1, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 38.22%6.31B38.06%6.24B34.64%6.08B34.64%6.08B23.63%5.05B32.53%4.56B33.15%4.52B28.50%4.52B28.50%4.52B--4.09B
-Cash and cash equivalents -0.61%3.09B-12.29%3.13B-1.10%3.22B-1.10%3.22B7.08%3.01B2.74%3.11B26.31%3.57B1.02%3.26B1.02%3.26B--2.81B
-Short-term investments 121.42%3.22B227.98%3.11B127.06%2.86B127.06%2.86B60.11%2.04B249.88%1.45B67.31%947M332.99%1.26B332.99%1.26B--1.28B
Receivables -16.75%2.4B5.19%2.67B8.04%2.66B8.04%2.66B22.18%2.72B38.72%2.88B40.52%2.54B12.78%2.46B12.78%2.46B--2.23B
-Accounts receivable -13.91%1.71B-11.23%1.79B-12.13%1.73B-12.13%1.73B-17.51%1.84B-4.34%1.98B11.28%2.01B12.00%1.97B12.00%1.97B--2.23B
-Loans receivable ----20.00%12M0.00%10M0.00%10M--8M--11M--10M25.00%10M25.00%10M----
-Accrued interest receivable ----147.06%42M22.73%27M22.73%27M--15M--18M--17M2,100.00%22M2,100.00%22M----
-Taxes receivable -5.69%199M-8.63%254M-10.74%241M-10.74%241M--206M--211M--278M126.89%270M126.89%270M----
-Other receivables -25.27%488M158.48%579M242.63%651M242.63%651M--655M--653M--224M-35.81%190M-35.81%190M----
Inventory -7.75%2.81B-6.45%2.69B4.45%2.7B4.45%2.7B20.54%2.87B31.99%3.05B33.67%2.87B30.98%2.58B30.98%2.58B--2.38B
Prepaid assets 17.14%205M-3.87%174M44.00%180M44.00%180M--193M--175M--181M5.93%125M5.93%125M----
Other current assets 34.71%163M-49.29%107M109.84%128M109.84%128M-79.77%125M-80.88%121M-66.67%211M84.85%61M84.85%61M--618M
Total current assets 9.92%11.88B14.76%11.89B20.42%11.81B20.42%11.81B18.01%10.99B27.79%10.81B29.83%10.36B25.26%9.81B25.26%9.81B--9.31B
Non current assets
Net PPE 17.05%10.89B22.82%10.87B28.69%10.55B28.69%10.55B36.36%9.67B36.95%9.3B43.83%8.85B44.89%8.2B44.89%8.2B--7.09B
-Gross PPE ----11.18%30.37B14.45%30B14.45%30B18.07%28.38B15.79%28B14.21%27.32B11.61%26.22B11.61%26.22B--24.04B
-Accumulated depreciation -----5.60%-19.51B-7.96%-19.45B-7.96%-19.45B-10.42%-18.71B-7.52%-18.7B-3.96%-18.47B-1.05%-18.02B-1.05%-18.02B---16.95B
Goodwill and other intangible assets 172.28%1.78B-5.55%664M-4.56%670M-4.56%670M-10.14%647M-12.47%653M-8.58%703M-6.52%702M-6.52%702M--720M
-Goodwill -6.40%278M-0.67%298M2.02%303M2.02%303M4.26%294M1.02%297M-2.28%300M-5.11%297M-5.11%297M--282M
-Other intangible assets 321.35%1.5B-9.18%366M-9.38%367M-9.38%367M-19.41%353M-21.24%356M-12.77%403M-7.53%405M-7.53%405M--438M
Investments and advances 10.20%54M42.11%54M43.24%53M43.24%53M44.12%49M44.12%49M5.56%38M-5.13%37M-5.13%37M--34M
Non current accounts receivable 120.14%612M25.66%617M6.22%478M6.22%478M-1.02%387M-41.60%278M-10.07%491M-10.00%450M-10.00%450M--391M
Financial assets ------0-84.62%2M-84.62%2M--0--8M--14M--13M--13M----
Non current deferred assets -25.14%408M0.52%585M-1.66%592M-1.66%592M-3.04%510M-3.54%545M-3.64%582M-7.67%602M-7.67%602M--526M
Non current prepaid assets 14.29%208M110.68%217M109.35%224M109.35%224M16.00%232M-11.22%182M-22.56%103M409.52%107M409.52%107M--200M
Defined pension benefit ----72.73%19M66.67%15M66.67%15M--15M--14M--11M-40.00%9M-40.00%9M----
Other non current assets -11.29%55M11.76%57M3.57%58M3.57%58M--59M--62M--51M-24.32%56M-24.32%56M----
Total non current assets 26.23%14B20.65%13.08B24.26%12.65B24.26%12.65B29.08%11.57B25.80%11.09B31.57%10.84B31.96%10.18B31.96%10.18B--8.96B
Total assets 18.18%25.88B17.77%24.97B22.38%24.45B22.38%24.45B23.44%22.56B26.77%21.9B30.71%21.2B28.58%19.98B28.58%19.98B--18.28B
Liabilities
Current liabilities
Payables -21.74%2.1B-17.10%2B-8.63%2.27B-8.63%2.27B-38.17%2.28B-25.04%2.68B-17.86%2.41B32.50%2.48B32.50%2.48B--3.68B
-accounts payable -20.75%1.58B-21.62%1.64B-12.54%1.86B-12.54%1.86B-16.71%1.56B-0.40%1.99B30.29%2.1B34.13%2.12B34.13%2.12B--1.87B
-Total tax payable -32.29%239M-24.10%211M-2.45%159M-2.45%159M32.15%448M81.96%353M146.02%278M29.37%163M29.37%163M--339M
-Dividends payable 48.55%257M0.00%6M-10.00%54M-10.00%54M0.88%115M2.37%173M0.00%6M9.09%60M9.09%60M--114M
-Other payable -84.34%26M348.39%139M46.27%196M46.27%196M-88.39%158M-86.36%166M-97.43%31M24.07%134M24.07%134M--1.36B
Current accrued expenses --117M----------------------111M------------
Current provisions --3M------------------------------------
Current debt and capital lease obligation 619.31%1.68B27.51%292M21.15%275M21.15%275M46.45%227M73.88%233M63.57%229M14.65%227M14.65%227M--155M
-Current debt 852.27%1.68B35.23%238M24.00%217M24.00%217M11.61%173M31.34%176M25.71%176M22.38%175M22.38%175M--155M
-Current capital lease obligation ----1.89%54M11.54%58M11.54%58M--54M--57M--53M-5.45%52M-5.45%52M----
Current deferred liabilities -16.73%219M-14.48%248M-12.21%230M-12.21%230M--313M--263M--290M204.65%262M204.65%262M----
Other current liabilities 721.62%304M-39.13%14M-88.57%4M-88.57%4M--55M--37M--23M-18.60%35M-18.60%35M----
Current liabilities 29.30%5.23B-11.16%3.57B-2.79%3.73B-2.79%3.73B-2.58%3.74B8.86%4.04B30.58%4.01B30.11%3.84B30.11%3.84B--3.84B
Non current liabilities
Long term debt and capital lease obligation -50.67%1.3B15.59%3.05B8.01%2.9B8.01%2.9B-1.11%2.57B4.70%2.63B3.57%2.64B5.46%2.68B5.46%2.68B--2.6B
-Long term debt -47.55%1.3B15.55%2.88B6.61%2.71B6.61%2.71B-2.34%2.42B3.69%2.47B3.07%2.49B6.09%2.54B6.09%2.54B--2.48B
-Long term capital lease obligation ----16.23%179M33.33%188M33.33%188M22.83%156M23.81%156M12.41%154M-4.73%141M-4.73%141M--127M
Non current deferred liabilities 425.00%483M285.45%424M73.68%231M73.68%231M-40.30%80M-20.00%92M134.04%110M107.81%133M107.81%133M--134M
Employee benefits 5.85%452M9.95%464M12.62%464M12.62%464M-10.92%424M-15.61%427M-19.77%422M-22.56%412M-22.56%412M--476M
Derivative product liabilities ----------0--0--0--0--0--4M--4M--78M
Other non current liabilities 252.52%490M76.16%266M79.35%278M79.35%278M38.73%240M-20.57%139M-23.35%151M-12.92%155M-12.92%155M--173M
Total non current liabilities -17.19%2.72B26.56%4.21B14.29%3.87B14.29%3.87B-4.21%3.32B-1.65%3.29B0.12%3.33B2.08%3.39B2.08%3.39B--3.46B
Total liabilities 8.45%7.95B5.93%7.77B5.22%7.6B5.22%7.6B-3.36%7.06B3.88%7.33B14.76%7.34B15.27%7.22B15.27%7.22B--7.3B
Shareholders'equity
Share capital 0.00%1.16B0.00%1.16B0.00%1.16B0.00%1.16B0.00%1.16B0.00%1.16B0.00%1.16B0.00%1.16B0.00%1.16B--1.16B
-common stock 0.00%1.16B0.00%1.16B0.00%1.16B0.00%1.16B0.00%1.16B0.00%1.16B0.00%1.16B0.00%1.16B0.00%1.16B--1.16B
Retained earnings 20.91%12.5B33.09%12.98B43.12%12.47B43.12%12.47B52.54%11.4B61.03%10.34B62.70%9.75B66.82%8.71B66.82%8.71B--7.47B
Paid-in capital -16.77%2.28B8.84%2.93B8.93%2.87B8.93%2.87B9.03%2.8B8.85%2.74B8.94%2.69B3.87%2.63B3.87%2.63B--2.57B
Less: Treasury stock 46.89%354M31.53%463M40.67%377M40.67%377M58.38%293M61.74%241M23.08%352M34.00%268M34.00%268M--185M
Gains losses not affecting retained earnings 340.20%2.22B-14.29%468M33.26%613M33.26%613M504.30%376M142.79%505M28.17%546M-7.26%460M-7.26%460M---93M
Total stockholders'equity 22.80%17.81B23.75%17.08B31.80%16.73B31.80%16.73B41.38%15.44B42.80%14.5B41.32%13.8B37.83%12.69B37.83%12.69B--10.92B
Noncontrolling interests 81.16%125M85.07%124M89.23%123M89.23%123M18.03%72M6.15%69M6.35%67M1.56%65M1.56%65M--61M
Total equity 23.08%17.94B24.05%17.2B32.09%16.85B32.09%16.85B41.26%15.51B42.57%14.57B41.09%13.87B37.58%12.76B37.58%12.76B--10.98B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --------------Unqualified Opinion----

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