CA Stock MarketDetailed Quotes

T TELUS Corp

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  • 19.460
  • +0.010+0.05%
15min DelayMarket Closed Dec 27 16:00 ET
29.03BMarket Cap30.89P/E (TTM)

TELUS Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-32.39%814M
42.84%927M
146.75%2.16B
-11.29%864M
-11.29%864M
-16.39%1.2B
69.90%649M
13.31%877M
34.72%974M
34.72%974M
Receivables
1.85%4.02B
5.58%4.05B
6.96%4.04B
9.43%4.25B
9.43%4.25B
8.85%3.95B
18.03%3.84B
21.89%3.78B
16.65%3.88B
16.65%3.88B
-Accounts receivable
3.39%3.23B
8.01%3.22B
5.20%3.18B
10.13%3.32B
10.13%3.32B
7.79%3.13B
20.53%2.98B
33.32%3.02B
24.07%3.01B
24.07%3.01B
-Taxes receivable
-66.26%55M
-24.56%129M
31.85%178M
65.32%205M
65.32%205M
103.75%163M
22.14%171M
-28.19%135M
-39.81%124M
-39.81%124M
-Other receivables
11.40%733M
2.49%700M
10.08%688M
-2.68%727M
-2.68%727M
1.86%658M
7.39%683M
-3.55%625M
7.48%747M
7.48%747M
Inventory
-10.55%492M
-8.62%530M
-7.71%539M
-9.87%484M
-9.87%484M
10.22%550M
32.72%580M
13.84%584M
19.87%537M
19.87%537M
Prepaid assets
0.52%779M
8.17%874M
7.92%818M
10.53%682M
10.53%682M
-0.64%775M
12.69%808M
13.13%758M
18.43%617M
18.43%617M
Hedging assets-current
-73.85%17M
-36.36%35M
-52.11%34M
-56.63%36M
-56.63%36M
-58.06%65M
-15.38%55M
491.67%71M
538.46%83M
538.46%83M
Total current assets
-6.40%6.12B
8.23%6.42B
25.17%7.6B
3.63%6.31B
3.63%6.31B
0.63%6.54B
22.20%5.93B
19.72%6.07B
21.07%6.09B
21.07%6.09B
Non current assets
Net PPE
-0.93%17.21B
-0.41%17.23B
0.37%17.18B
0.96%17.25B
0.96%17.25B
2.93%17.37B
6.23%17.3B
6.13%17.11B
7.27%17.08B
7.27%17.08B
-Gross PPE
1.78%47.88B
2.27%47.57B
3.87%47.7B
4.18%47.41B
4.18%47.41B
4.91%47.05B
6.24%46.52B
6.16%45.92B
6.31%45.5B
6.31%45.5B
-Accumulated depreciation
-3.37%-30.67B
-3.86%-30.35B
-5.95%-30.52B
-6.12%-30.16B
-6.12%-30.16B
-6.10%-29.67B
-6.25%-29.22B
-6.17%-28.81B
-5.73%-28.42B
-5.73%-28.42B
Investments and advances
33.38%1.02B
31.79%937M
48.83%887M
35.63%826M
35.63%826M
33.86%767M
-3.53%711M
18.73%596M
22.54%609M
22.54%609M
-Long term equity investment
52.92%393M
48.18%326M
175.68%306M
133.06%282M
133.06%282M
140.19%257M
129.17%220M
13.27%111M
19.80%121M
19.80%121M
-Financial asset investment
19.37%567M
20.00%558M
15.80%535M
7.49%502M
7.49%502M
7.47%475M
14.25%465M
22.55%462M
26.22%467M
26.22%467M
-Including:Available-for-sale securities
19.37%567M
20.00%558M
15.80%535M
7.49%502M
7.49%502M
7.47%475M
14.25%465M
22.55%462M
26.22%467M
26.22%467M
-Other investment
80.00%63M
103.85%53M
100.00%46M
100.00%42M
100.00%42M
45.83%35M
-88.89%26M
-14.81%23M
-19.23%21M
-19.23%21M
Financial assets
-97.96%4M
-21.43%121M
-35.45%142M
-28.40%179M
-28.40%179M
-47.03%196M
-31.25%154M
86.44%220M
228.95%250M
228.95%250M
Non current accounts receivable
-4.34%837M
-3.85%849M
9.20%973M
5.50%940M
5.50%940M
15.44%875M
19.32%883M
3.13%891M
5.57%891M
5.57%891M
Non current prepaid assets
-5.59%135M
-17.96%137M
54.71%263M
-20.00%140M
-20.00%140M
-20.56%143M
-6.70%167M
-7.61%170M
-0.57%175M
-0.57%175M
Goodwill and other intangible assets
3.29%30.85B
3.30%30.87B
-0.83%29.85B
4.97%29.78B
4.97%29.78B
5.71%29.87B
19.24%29.89B
21.00%30.09B
14.60%28.37B
14.60%28.37B
-Goodwill
2.69%10.32B
2.58%10.27B
1.16%10.18B
10.15%10.06B
10.15%10.06B
11.23%10.05B
34.63%10.02B
37.14%10.06B
25.60%9.13B
25.60%9.13B
-Other intangible assets
3.60%20.53B
3.66%20.6B
-1.83%19.67B
2.51%19.72B
2.51%19.72B
3.11%19.81B
12.74%19.87B
14.24%20.04B
10.03%19.24B
10.03%19.24B
Defined pension benefit
-5.95%316M
4.56%321M
2.93%316M
2.93%316M
2.93%316M
-31.98%336M
-41.19%307M
-33.84%307M
-32.23%307M
-32.23%307M
Non current deferred assets
41.56%327M
42.23%293M
40.93%272M
47.98%256M
47.98%256M
66.19%231M
63.49%206M
49.61%193M
20.14%173M
20.14%173M
Other non current assets
22.90%161M
1.45%140M
1.52%134M
17.80%139M
17.80%139M
12.93%131M
9.52%138M
3.13%132M
47.50%118M
47.50%118M
Total non current assets
1.89%50.86B
2.30%50.9B
0.59%50.01B
3.85%49.82B
3.85%49.82B
4.51%49.92B
13.07%49.75B
14.59%49.72B
11.70%47.98B
11.70%47.98B
Total assets
0.93%56.99B
2.93%57.31B
3.26%57.61B
3.82%56.14B
3.82%56.14B
4.05%56.46B
13.97%55.68B
15.13%55.79B
12.68%54.07B
12.68%54.07B
Liabilities
Current liabilities
Current debt and capital lease obligation
-21.03%3.54B
1.58%4.38B
61.73%5.02B
54.93%4.1B
54.93%4.1B
3.80%4.48B
25.84%4.31B
3.05%3.1B
-13.02%2.65B
-13.02%2.65B
-Current debt
-21.03%3.54B
1.58%4.38B
61.73%5.02B
54.93%4.1B
54.93%4.1B
3.80%4.48B
25.84%4.31B
3.05%3.1B
-13.02%2.65B
-13.02%2.65B
Payables
7.22%1.89B
9.79%1.87B
10.91%1.81B
-13.93%1.82B
-13.93%1.82B
-9.19%1.76B
-1.33%1.71B
-9.69%1.63B
11.94%2.11B
11.94%2.11B
-accounts payable
5.28%1.02B
6.62%998M
11.19%964M
-27.93%996M
-27.93%996M
-19.18%965M
-6.68%936M
-20.53%867M
13.93%1.38B
13.93%1.38B
-Total tax payable
10.23%291M
22.22%297M
12.79%291M
19.47%270M
19.47%270M
0.76%264M
-5.81%243M
-2.64%258M
1.35%226M
1.35%226M
-Dividends payable
9.26%578M
9.70%577M
9.49%554M
9.56%550M
9.56%550M
10.21%529M
12.63%526M
12.44%506M
11.80%502M
11.80%502M
Current accrued expenses
-2.11%2.27B
-1.32%2.16B
-10.39%1.97B
-8.31%2.25B
-8.31%2.25B
-11.63%2.32B
-2.67%2.19B
3.87%2.2B
4.69%2.46B
4.69%2.46B
Current provisions
-31.88%235M
1.25%243M
31.73%274M
90.96%317M
90.96%317M
202.63%345M
192.68%240M
170.13%208M
72.92%166M
72.92%166M
Pension and other retirement benefit plans
----
----
----
--0
--0
--0
-90.00%1M
-95.24%1M
-96.43%1M
-96.43%1M
Current deferred liabilities
1.39%950M
8.70%1.02B
7.64%1B
8.98%971M
8.98%971M
7.45%937M
9.79%942M
6.41%929M
4.33%891M
4.33%891M
Other current liabilities
275.00%15M
-82.05%7M
-62.50%3M
38.89%25M
38.89%25M
-69.23%4M
178.57%39M
-72.41%8M
-25.00%18M
-25.00%18M
Current liabilities
-9.65%8.89B
2.74%9.68B
24.69%10.08B
14.39%9.48B
14.39%9.48B
-0.44%9.84B
12.67%9.43B
1.83%8.08B
0.16%8.29B
0.16%8.29B
Non current liabilities
Long term debt and capital lease obligation
8.23%25.39B
8.50%24.82B
1.64%24.45B
3.82%23.36B
3.82%23.36B
12.09%23.46B
23.75%22.87B
30.63%24.06B
25.50%22.5B
25.50%22.5B
-Long term debt
8.23%25.39B
8.50%24.82B
1.64%24.45B
3.82%23.36B
3.82%23.36B
12.09%23.46B
23.75%22.87B
30.63%24.06B
25.50%22.5B
25.50%22.5B
Derivative product liabilities
372.00%118M
-34.21%50M
182.35%48M
695.83%191M
695.83%191M
525.00%25M
280.00%76M
-82.29%17M
-67.12%24M
-67.12%24M
Long term provisions
7.92%736M
10.54%734M
7.09%755M
38.29%744M
38.29%744M
30.40%682M
23.42%664M
-10.19%705M
-30.49%538M
-30.49%538M
Employee benefits
19.96%535M
1.65%493M
2.51%491M
15.00%529M
15.00%529M
6.19%446M
18.00%485M
-7.71%479M
-35.12%460M
-35.12%460M
Non current deferred liabilities
-2.65%4.34B
-1.73%4.43B
-1.34%4.49B
-1.43%4.48B
-1.43%4.48B
-3.55%4.46B
4.93%4.51B
7.18%4.55B
9.87%4.54B
9.87%4.54B
Other non current liabilities
14.89%54M
-13.64%57M
-6.15%61M
-7.81%59M
-7.81%59M
-27.69%47M
15.79%66M
22.64%65M
82.86%64M
82.86%64M
Total non current liabilities
7.06%31.17B
6.66%30.58B
1.42%30.3B
4.38%29.36B
4.38%29.36B
9.62%29.11B
20.45%28.67B
23.88%29.87B
18.92%28.13B
18.92%28.13B
Total liabilities
2.84%40.06B
5.69%40.27B
6.37%40.38B
6.65%38.83B
6.65%38.83B
6.89%38.95B
18.42%38.1B
18.42%37.96B
14.06%36.41B
14.06%36.41B
Shareholders'equity
Share capital
6.89%12.84B
6.96%12.65B
7.61%12.52B
8.11%12.32B
8.11%12.32B
8.00%12.01B
18.63%11.82B
18.66%11.64B
18.20%11.4B
18.20%11.4B
-common stock
6.89%12.84B
6.96%12.65B
7.61%12.52B
8.11%12.32B
8.11%12.32B
8.00%12.01B
18.63%11.82B
18.66%11.64B
18.20%11.4B
18.20%11.4B
Additional paid-in capital
4.92%1.13B
0.96%1.06B
-2.66%1.02B
4.29%997M
4.29%997M
1.32%1.08B
2.05%1.05B
0.67%1.05B
-5.63%956M
-5.63%956M
Retained earnings
-43.20%1.79B
-39.51%2.11B
-35.90%2.44B
-30.92%2.84B
-30.92%2.84B
-30.04%3.16B
-22.30%3.49B
-12.39%3.81B
-3.57%4.1B
-3.57%4.1B
Gains losses not affecting retained earnings
-90.14%7M
-108.16%-4M
-81.48%20M
-140.00%-44M
-140.00%-44M
-14.46%71M
-79.15%49M
-56.80%108M
-45.81%110M
-45.81%110M
Total stockholders'equity
-3.35%15.77B
-3.64%15.81B
-3.61%16.01B
-2.76%16.11B
-2.76%16.11B
-2.76%16.32B
4.40%16.41B
7.48%16.61B
9.61%16.57B
9.61%16.57B
Noncontrolling interests
-2.78%1.16B
5.46%1.24B
0.08%1.23B
9.27%1.19B
9.27%1.19B
14.33%1.19B
21.58%1.17B
28.44%1.22B
15.48%1.09B
15.48%1.09B
Total equity
-3.31%16.93B
-3.04%17.05B
-3.35%17.23B
-2.02%17.3B
-2.02%17.3B
-1.76%17.51B
5.39%17.58B
8.70%17.83B
9.96%17.66B
9.96%17.66B
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 with Explanatory Notes
--
(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(FY)Dec 31, 2022(Q4)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -32.39%814M42.84%927M146.75%2.16B-11.29%864M-11.29%864M-16.39%1.2B69.90%649M13.31%877M34.72%974M34.72%974M
Receivables 1.85%4.02B5.58%4.05B6.96%4.04B9.43%4.25B9.43%4.25B8.85%3.95B18.03%3.84B21.89%3.78B16.65%3.88B16.65%3.88B
-Accounts receivable 3.39%3.23B8.01%3.22B5.20%3.18B10.13%3.32B10.13%3.32B7.79%3.13B20.53%2.98B33.32%3.02B24.07%3.01B24.07%3.01B
-Taxes receivable -66.26%55M-24.56%129M31.85%178M65.32%205M65.32%205M103.75%163M22.14%171M-28.19%135M-39.81%124M-39.81%124M
-Other receivables 11.40%733M2.49%700M10.08%688M-2.68%727M-2.68%727M1.86%658M7.39%683M-3.55%625M7.48%747M7.48%747M
Inventory -10.55%492M-8.62%530M-7.71%539M-9.87%484M-9.87%484M10.22%550M32.72%580M13.84%584M19.87%537M19.87%537M
Prepaid assets 0.52%779M8.17%874M7.92%818M10.53%682M10.53%682M-0.64%775M12.69%808M13.13%758M18.43%617M18.43%617M
Hedging assets-current -73.85%17M-36.36%35M-52.11%34M-56.63%36M-56.63%36M-58.06%65M-15.38%55M491.67%71M538.46%83M538.46%83M
Total current assets -6.40%6.12B8.23%6.42B25.17%7.6B3.63%6.31B3.63%6.31B0.63%6.54B22.20%5.93B19.72%6.07B21.07%6.09B21.07%6.09B
Non current assets
Net PPE -0.93%17.21B-0.41%17.23B0.37%17.18B0.96%17.25B0.96%17.25B2.93%17.37B6.23%17.3B6.13%17.11B7.27%17.08B7.27%17.08B
-Gross PPE 1.78%47.88B2.27%47.57B3.87%47.7B4.18%47.41B4.18%47.41B4.91%47.05B6.24%46.52B6.16%45.92B6.31%45.5B6.31%45.5B
-Accumulated depreciation -3.37%-30.67B-3.86%-30.35B-5.95%-30.52B-6.12%-30.16B-6.12%-30.16B-6.10%-29.67B-6.25%-29.22B-6.17%-28.81B-5.73%-28.42B-5.73%-28.42B
Investments and advances 33.38%1.02B31.79%937M48.83%887M35.63%826M35.63%826M33.86%767M-3.53%711M18.73%596M22.54%609M22.54%609M
-Long term equity investment 52.92%393M48.18%326M175.68%306M133.06%282M133.06%282M140.19%257M129.17%220M13.27%111M19.80%121M19.80%121M
-Financial asset investment 19.37%567M20.00%558M15.80%535M7.49%502M7.49%502M7.47%475M14.25%465M22.55%462M26.22%467M26.22%467M
-Including:Available-for-sale securities 19.37%567M20.00%558M15.80%535M7.49%502M7.49%502M7.47%475M14.25%465M22.55%462M26.22%467M26.22%467M
-Other investment 80.00%63M103.85%53M100.00%46M100.00%42M100.00%42M45.83%35M-88.89%26M-14.81%23M-19.23%21M-19.23%21M
Financial assets -97.96%4M-21.43%121M-35.45%142M-28.40%179M-28.40%179M-47.03%196M-31.25%154M86.44%220M228.95%250M228.95%250M
Non current accounts receivable -4.34%837M-3.85%849M9.20%973M5.50%940M5.50%940M15.44%875M19.32%883M3.13%891M5.57%891M5.57%891M
Non current prepaid assets -5.59%135M-17.96%137M54.71%263M-20.00%140M-20.00%140M-20.56%143M-6.70%167M-7.61%170M-0.57%175M-0.57%175M
Goodwill and other intangible assets 3.29%30.85B3.30%30.87B-0.83%29.85B4.97%29.78B4.97%29.78B5.71%29.87B19.24%29.89B21.00%30.09B14.60%28.37B14.60%28.37B
-Goodwill 2.69%10.32B2.58%10.27B1.16%10.18B10.15%10.06B10.15%10.06B11.23%10.05B34.63%10.02B37.14%10.06B25.60%9.13B25.60%9.13B
-Other intangible assets 3.60%20.53B3.66%20.6B-1.83%19.67B2.51%19.72B2.51%19.72B3.11%19.81B12.74%19.87B14.24%20.04B10.03%19.24B10.03%19.24B
Defined pension benefit -5.95%316M4.56%321M2.93%316M2.93%316M2.93%316M-31.98%336M-41.19%307M-33.84%307M-32.23%307M-32.23%307M
Non current deferred assets 41.56%327M42.23%293M40.93%272M47.98%256M47.98%256M66.19%231M63.49%206M49.61%193M20.14%173M20.14%173M
Other non current assets 22.90%161M1.45%140M1.52%134M17.80%139M17.80%139M12.93%131M9.52%138M3.13%132M47.50%118M47.50%118M
Total non current assets 1.89%50.86B2.30%50.9B0.59%50.01B3.85%49.82B3.85%49.82B4.51%49.92B13.07%49.75B14.59%49.72B11.70%47.98B11.70%47.98B
Total assets 0.93%56.99B2.93%57.31B3.26%57.61B3.82%56.14B3.82%56.14B4.05%56.46B13.97%55.68B15.13%55.79B12.68%54.07B12.68%54.07B
Liabilities
Current liabilities
Current debt and capital lease obligation -21.03%3.54B1.58%4.38B61.73%5.02B54.93%4.1B54.93%4.1B3.80%4.48B25.84%4.31B3.05%3.1B-13.02%2.65B-13.02%2.65B
-Current debt -21.03%3.54B1.58%4.38B61.73%5.02B54.93%4.1B54.93%4.1B3.80%4.48B25.84%4.31B3.05%3.1B-13.02%2.65B-13.02%2.65B
Payables 7.22%1.89B9.79%1.87B10.91%1.81B-13.93%1.82B-13.93%1.82B-9.19%1.76B-1.33%1.71B-9.69%1.63B11.94%2.11B11.94%2.11B
-accounts payable 5.28%1.02B6.62%998M11.19%964M-27.93%996M-27.93%996M-19.18%965M-6.68%936M-20.53%867M13.93%1.38B13.93%1.38B
-Total tax payable 10.23%291M22.22%297M12.79%291M19.47%270M19.47%270M0.76%264M-5.81%243M-2.64%258M1.35%226M1.35%226M
-Dividends payable 9.26%578M9.70%577M9.49%554M9.56%550M9.56%550M10.21%529M12.63%526M12.44%506M11.80%502M11.80%502M
Current accrued expenses -2.11%2.27B-1.32%2.16B-10.39%1.97B-8.31%2.25B-8.31%2.25B-11.63%2.32B-2.67%2.19B3.87%2.2B4.69%2.46B4.69%2.46B
Current provisions -31.88%235M1.25%243M31.73%274M90.96%317M90.96%317M202.63%345M192.68%240M170.13%208M72.92%166M72.92%166M
Pension and other retirement benefit plans --------------0--0--0-90.00%1M-95.24%1M-96.43%1M-96.43%1M
Current deferred liabilities 1.39%950M8.70%1.02B7.64%1B8.98%971M8.98%971M7.45%937M9.79%942M6.41%929M4.33%891M4.33%891M
Other current liabilities 275.00%15M-82.05%7M-62.50%3M38.89%25M38.89%25M-69.23%4M178.57%39M-72.41%8M-25.00%18M-25.00%18M
Current liabilities -9.65%8.89B2.74%9.68B24.69%10.08B14.39%9.48B14.39%9.48B-0.44%9.84B12.67%9.43B1.83%8.08B0.16%8.29B0.16%8.29B
Non current liabilities
Long term debt and capital lease obligation 8.23%25.39B8.50%24.82B1.64%24.45B3.82%23.36B3.82%23.36B12.09%23.46B23.75%22.87B30.63%24.06B25.50%22.5B25.50%22.5B
-Long term debt 8.23%25.39B8.50%24.82B1.64%24.45B3.82%23.36B3.82%23.36B12.09%23.46B23.75%22.87B30.63%24.06B25.50%22.5B25.50%22.5B
Derivative product liabilities 372.00%118M-34.21%50M182.35%48M695.83%191M695.83%191M525.00%25M280.00%76M-82.29%17M-67.12%24M-67.12%24M
Long term provisions 7.92%736M10.54%734M7.09%755M38.29%744M38.29%744M30.40%682M23.42%664M-10.19%705M-30.49%538M-30.49%538M
Employee benefits 19.96%535M1.65%493M2.51%491M15.00%529M15.00%529M6.19%446M18.00%485M-7.71%479M-35.12%460M-35.12%460M
Non current deferred liabilities -2.65%4.34B-1.73%4.43B-1.34%4.49B-1.43%4.48B-1.43%4.48B-3.55%4.46B4.93%4.51B7.18%4.55B9.87%4.54B9.87%4.54B
Other non current liabilities 14.89%54M-13.64%57M-6.15%61M-7.81%59M-7.81%59M-27.69%47M15.79%66M22.64%65M82.86%64M82.86%64M
Total non current liabilities 7.06%31.17B6.66%30.58B1.42%30.3B4.38%29.36B4.38%29.36B9.62%29.11B20.45%28.67B23.88%29.87B18.92%28.13B18.92%28.13B
Total liabilities 2.84%40.06B5.69%40.27B6.37%40.38B6.65%38.83B6.65%38.83B6.89%38.95B18.42%38.1B18.42%37.96B14.06%36.41B14.06%36.41B
Shareholders'equity
Share capital 6.89%12.84B6.96%12.65B7.61%12.52B8.11%12.32B8.11%12.32B8.00%12.01B18.63%11.82B18.66%11.64B18.20%11.4B18.20%11.4B
-common stock 6.89%12.84B6.96%12.65B7.61%12.52B8.11%12.32B8.11%12.32B8.00%12.01B18.63%11.82B18.66%11.64B18.20%11.4B18.20%11.4B
Additional paid-in capital 4.92%1.13B0.96%1.06B-2.66%1.02B4.29%997M4.29%997M1.32%1.08B2.05%1.05B0.67%1.05B-5.63%956M-5.63%956M
Retained earnings -43.20%1.79B-39.51%2.11B-35.90%2.44B-30.92%2.84B-30.92%2.84B-30.04%3.16B-22.30%3.49B-12.39%3.81B-3.57%4.1B-3.57%4.1B
Gains losses not affecting retained earnings -90.14%7M-108.16%-4M-81.48%20M-140.00%-44M-140.00%-44M-14.46%71M-79.15%49M-56.80%108M-45.81%110M-45.81%110M
Total stockholders'equity -3.35%15.77B-3.64%15.81B-3.61%16.01B-2.76%16.11B-2.76%16.11B-2.76%16.32B4.40%16.41B7.48%16.61B9.61%16.57B9.61%16.57B
Noncontrolling interests -2.78%1.16B5.46%1.24B0.08%1.23B9.27%1.19B9.27%1.19B14.33%1.19B21.58%1.17B28.44%1.22B15.48%1.09B15.48%1.09B
Total equity -3.31%16.93B-3.04%17.05B-3.35%17.23B-2.02%17.3B-2.02%17.3B-1.76%17.51B5.39%17.58B8.70%17.83B9.96%17.66B9.96%17.66B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion with Explanatory Notes--

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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