CA Stock MarketDetailed Quotes

TA.PR.G TransAlta Corp

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  • 21.050
  • +0.060+0.29%
15min DelayMarket Closed Dec 13 16:00 ET
5.70BMarket Cap0.00P/E (TTM)

TransAlta 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
-67.42%401M
-63.13%351M
-66.40%419M
-69.31%348M
-69.31%348M
50.86%1.23B
6.01%952M
2.13%1.25B
19.75%1.13B
19.75%1.13B
-Cash and cash equivalents
-67.42%401M
-63.13%351M
-66.40%419M
-69.31%348M
-69.31%348M
50.86%1.23B
6.01%952M
2.13%1.25B
19.75%1.13B
19.75%1.13B
Receivables
17.92%783M
-36.92%499M
-35.93%519M
-48.48%662M
-48.48%662M
-34.39%664M
26.76%791M
49.45%810M
115.60%1.29B
115.60%1.29B
-Accounts receivable
26.90%783M
-34.76%456M
-36.81%467M
-48.50%600M
-48.50%600M
-33.87%617M
27.55%699M
36.35%739M
133.47%1.17B
133.47%1.17B
-Loans receivable
----
--1M
--1M
-75.00%1M
-75.00%1M
--0
--0
--0
-92.73%4M
-92.73%4M
-Taxes receivable
----
-64.41%21M
7.14%30M
-34.38%42M
-34.38%42M
0.00%23M
247.06%59M
--28M
3,100.00%64M
3,100.00%64M
-Other receivables
----
-36.36%21M
-51.16%21M
-63.46%19M
-63.46%19M
-48.94%24M
-28.26%33M
--43M
30.00%52M
30.00%52M
Inventory
-12.78%157M
-22.50%155M
4.86%151M
0.00%157M
0.00%157M
5.26%180M
28.21%200M
-6.49%144M
-5.99%157M
-5.99%157M
Prepaid assets
----
----
----
----
----
15.69%59M
0.00%61M
14.29%56M
----
----
Restricted cash
-71.67%66M
-41.95%202M
31.52%217M
-42.78%214M
-42.78%214M
-38.68%233M
-21.97%348M
236.73%165M
199.20%374M
199.20%374M
Hedging assets-current
62.24%232M
10.67%249M
-29.82%240M
-78.70%151M
-78.70%151M
-81.06%143M
-62.69%225M
-33.46%342M
130.19%709M
130.19%709M
Holding assets for sale
----
----
----
----
----
--0
--0
--0
----
----
Other current assets
--51M
--60M
--63M
-12.73%48M
-12.73%48M
----
----
----
--55M
--55M
Total current assets
-32.67%1.69B
-41.17%1.52B
-41.79%1.61B
-57.46%1.58B
-57.46%1.58B
-21.95%2.51B
-8.45%2.58B
8.14%2.76B
69.05%3.71B
69.05%3.71B
Non current assets
Net PPE
-2.36%5.66B
-1.04%5.73B
-0.60%5.78B
2.62%5.83B
2.62%5.83B
7.55%5.8B
10.49%5.79B
9.99%5.81B
4.93%5.68B
4.93%5.68B
-Gross PPE
-61.30%5.66B
-60.49%5.73B
-59.97%5.78B
2.99%14.56B
2.99%14.56B
6.71%14.63B
7.43%14.5B
7.60%14.43B
4.85%14.14B
4.85%14.14B
-Accumulated depreciation
----
----
----
-3.24%-8.73B
-3.24%-8.73B
-6.17%-8.83B
-5.48%-8.71B
-6.04%-8.62B
-4.80%-8.46B
-4.80%-8.46B
Investments and advances
8.03%148M
6.52%147M
10.77%144M
6.98%138M
6.98%138M
9.60%137M
17.95%138M
22.64%130M
22.86%129M
22.86%129M
-Long term equity investment
8.03%148M
6.52%147M
10.77%144M
4.27%122M
4.27%122M
9.60%137M
17.95%138M
22.64%130M
11.43%117M
11.43%117M
-Financial asset investment
----
----
----
33.33%16M
33.33%16M
----
----
----
--12M
--12M
-Including:Financial assets designated as fair value through profit or loss, Total
----
----
----
36.36%15M
36.36%15M
----
----
----
--11M
--11M
-Including:Available-for-sale securities
----
----
----
0.00%1M
0.00%1M
----
----
----
--1M
--1M
Financial assets
19.05%100M
1.30%78M
10.66%135M
-67.70%52M
-67.70%52M
-62.83%84M
-75.00%77M
-67.47%122M
-59.65%161M
-59.65%161M
Non current accounts receivable
76.72%205M
74.17%209M
68.80%211M
32.56%171M
32.56%171M
-18.88%116M
-24.05%120M
-27.33%125M
-30.27%129M
-30.27%129M
Non current note receivables
----
----
----
-24.24%25M
-24.24%25M
----
----
----
--33M
--33M
Non current prepaid assets
----
----
----
-1.64%60M
-1.64%60M
----
----
----
-6.15%61M
-6.15%61M
Goodwill and other intangible assets
-3.32%669M
-3.00%678M
-3.81%681M
-4.05%687M
-4.05%687M
-4.16%692M
-3.32%699M
-2.75%708M
-0.42%716M
-0.42%716M
-Goodwill
0.00%464M
0.22%465M
0.00%464M
0.00%464M
0.00%464M
-0.22%464M
0.00%464M
0.22%464M
0.22%464M
0.22%464M
-Other intangible assets
-10.09%205M
-9.36%213M
-11.07%217M
-11.51%223M
-11.51%223M
-11.28%228M
-9.27%235M
-7.92%244M
-1.56%252M
-1.56%252M
Non current deferred assets
-36.84%12M
-26.32%14M
-52.78%17M
-58.00%21M
-58.00%21M
-68.33%19M
-67.80%19M
-36.84%36M
-21.88%50M
-21.88%50M
Other non current assets
3.03%170M
7.45%173M
11.25%178M
42.42%94M
42.42%94M
1.23%165M
-2.42%161M
8.84%160M
-14.29%66M
-14.29%66M
Total non current assets
-0.66%6.96B
0.36%7.03B
0.70%7.14B
0.74%7.08B
0.74%7.08B
2.65%7.01B
3.46%7.01B
3.26%7.09B
-0.03%7.03B
-0.03%7.03B
Total assets
-9.10%8.65B
-10.81%8.55B
-11.21%8.75B
-19.38%8.66B
-19.38%8.66B
-5.23%9.52B
-0.04%9.58B
4.58%9.86B
16.42%10.74B
16.42%10.74B
Liabilities
Current liabilities
Current debt and capital lease obligation
143.29%1.29B
543.80%882M
615.08%1.28B
175.77%535M
175.77%535M
-26.73%529M
-80.14%137M
-78.49%179M
-77.01%194M
-77.01%194M
-Current debt
143.29%1.29B
543.80%882M
615.08%1.28B
184.41%529M
184.41%529M
-26.73%529M
-80.14%137M
-78.49%179M
-77.78%186M
-77.78%186M
-Current capital lease obligation
----
----
----
-25.00%6M
-25.00%6M
----
----
----
14.29%8M
14.29%8M
Payables
-1.58%686M
-21.51%551M
-25.68%683M
-42.93%839M
-42.93%839M
-47.55%697M
-41.21%702M
3.03%919M
98.11%1.47B
98.11%1.47B
-accounts payable
-11.26%591M
-26.51%474M
-22.39%603M
-27.78%772M
-27.78%772M
-47.93%666M
-43.72%645M
-7.61%777M
63.46%1.07B
63.46%1.07B
-Total tax payable
200.00%48M
-23.53%13M
-80.00%12M
-87.67%9M
-87.67%9M
45.45%16M
88.89%17M
400.00%60M
812.50%73M
812.50%73M
-Dividends payable
20.00%18M
-55.00%18M
-55.00%18M
-27.94%49M
-27.94%49M
-61.54%15M
2.56%40M
2.56%40M
9.68%68M
9.68%68M
-Other payable
--29M
--46M
19.05%50M
-96.54%9M
-96.54%9M
----
----
--42M
1,344.44%260M
1,344.44%260M
Current accrued expenses
-4.76%20M
0.00%16M
0.00%21M
-5.88%16M
-5.88%16M
--21M
--16M
--21M
0.00%17M
0.00%17M
Current provisions
100.00%78M
4.76%66M
-2.78%70M
-50.00%35M
-50.00%35M
-20.41%39M
61.54%63M
56.52%72M
45.83%70M
45.83%70M
Current deferred liabilities
83.33%11M
80.00%9M
-66.67%2M
-62.50%3M
-62.50%3M
0.00%6M
0.00%5M
-62.50%6M
-57.89%8M
-57.89%8M
Other current liabilities
-42.39%193M
-54.39%286M
-56.31%277M
-72.19%314M
-72.19%314M
-60.77%335M
6.63%627M
38.13%634M
332.57%1.13B
332.57%1.13B
Current liabilities
39.83%2.28B
16.77%1.81B
27.42%2.33B
-39.68%1.74B
-39.68%1.74B
-45.03%1.63B
-38.39%1.55B
-18.44%1.83B
49.56%2.89B
49.56%2.89B
Non current liabilities
Long term debt and capital lease obligation
-23.69%2.88B
-21.09%3.31B
-30.28%2.92B
-14.05%3.28B
-14.05%3.28B
16.99%3.77B
30.07%4.2B
34.12%4.19B
38.29%3.81B
38.29%3.81B
-Long term debt
-23.69%2.88B
-21.09%3.31B
-30.28%2.92B
-14.81%3.14B
-14.81%3.14B
16.99%3.77B
30.07%4.2B
34.12%4.19B
38.35%3.69B
38.35%3.69B
-Long term capital lease obligation
----
----
----
7.87%137M
7.87%137M
----
----
----
36.56%127M
36.56%127M
Derivative product liabilities
34.68%299M
2.53%243M
2.94%280M
-17.72%274M
-17.72%274M
-10.12%222M
15.61%237M
97.10%272M
129.66%333M
129.66%333M
Long term provisions
8.79%668M
-4.86%646M
-7.18%633M
-0.76%654M
-0.76%654M
-5.68%614M
15.48%679M
0.29%682M
-15.40%659M
-15.40%659M
Employee benefits
----
----
----
3.33%155M
3.33%155M
----
----
----
-35.34%150M
-35.34%150M
Preferred securities outside stock equity
----
----
----
0.00%400M
0.00%400M
----
----
----
0.00%400M
0.00%400M
Non current deferred liabilities
5.82%400M
11.62%413M
17.88%422M
-2.24%479M
-2.24%479M
4.71%378M
1.37%370M
0.00%358M
33.51%490M
33.51%490M
Other non current liabilities
-12.76%212M
-22.02%216M
-20.56%228M
-27.78%13M
-27.78%13M
32.07%243M
30.66%277M
21.10%287M
-14.29%18M
-14.29%18M
Total non current liabilities
-14.76%4.46B
-16.15%4.83B
-22.54%4.49B
-10.42%5.25B
-10.42%5.25B
12.04%5.23B
25.30%5.76B
27.60%5.79B
24.71%5.86B
24.71%5.86B
Total liabilities
-1.81%6.73B
-9.17%6.64B
-10.55%6.82B
-20.08%7B
-20.08%7B
-10.11%6.86B
2.77%7.31B
12.37%7.62B
31.95%8.75B
31.95%8.75B
Shareholders'equity
Share capital
10.21%4.13B
10.16%4.13B
12.27%4.2B
11.09%4.23B
11.09%4.23B
-1.86%3.75B
-2.22%3.75B
-2.43%3.74B
-0.99%3.81B
-0.99%3.81B
-common stock
13.64%3.19B
13.57%3.19B
16.40%3.26B
14.74%3.29B
14.74%3.29B
-2.47%2.81B
-2.94%2.81B
-3.22%2.8B
-1.31%2.86B
-1.31%2.86B
-Preferred stock
0.00%942M
0.00%942M
0.00%942M
0.00%942M
0.00%942M
0.00%942M
0.00%942M
0.00%942M
0.00%942M
0.00%942M
Additional paid-in capital
3.03%34M
7.14%30M
8.70%25M
0.00%41M
0.00%41M
0.00%33M
0.00%28M
-8.00%23M
-10.87%41M
-10.87%41M
Retained earnings
-28.76%-2.35B
-5.28%-2.29B
-5.31%-2.34B
-2.11%-2.57B
-2.11%-2.57B
21.40%-1.82B
7.79%-2.18B
2.11%-2.22B
-2.49%-2.51B
-2.49%-2.51B
Gains losses not affecting retained earnings
89.86%-7M
38.71%-76M
50.64%-77M
26.13%-164M
26.13%-164M
-3,550.00%-69M
-267.57%-124M
-247.17%-156M
-252.05%-222M
-252.05%-222M
Total stockholders'equity
-4.12%1.81B
21.42%1.79B
30.45%1.81B
38.47%1.54B
38.47%1.54B
23.02%1.89B
-6.29%1.48B
-18.23%1.39B
-29.84%1.11B
-29.84%1.11B
Noncontrolling interests
-86.12%107M
-85.46%116M
-85.36%124M
-85.55%127M
-85.55%127M
-12.29%771M
-11.33%798M
-10.37%847M
-13.06%879M
-13.06%879M
Total equity
-27.86%1.92B
-16.10%1.91B
-13.48%1.93B
-16.34%1.66B
-16.34%1.66B
10.18%2.66B
-8.12%2.27B
-15.42%2.23B
-23.29%1.99B
-23.29%1.99B
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
--
--
--
--
--
--
(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 -67.42%401M-63.13%351M-66.40%419M-69.31%348M-69.31%348M50.86%1.23B6.01%952M2.13%1.25B19.75%1.13B19.75%1.13B
-Cash and cash equivalents -67.42%401M-63.13%351M-66.40%419M-69.31%348M-69.31%348M50.86%1.23B6.01%952M2.13%1.25B19.75%1.13B19.75%1.13B
Receivables 17.92%783M-36.92%499M-35.93%519M-48.48%662M-48.48%662M-34.39%664M26.76%791M49.45%810M115.60%1.29B115.60%1.29B
-Accounts receivable 26.90%783M-34.76%456M-36.81%467M-48.50%600M-48.50%600M-33.87%617M27.55%699M36.35%739M133.47%1.17B133.47%1.17B
-Loans receivable ------1M--1M-75.00%1M-75.00%1M--0--0--0-92.73%4M-92.73%4M
-Taxes receivable -----64.41%21M7.14%30M-34.38%42M-34.38%42M0.00%23M247.06%59M--28M3,100.00%64M3,100.00%64M
-Other receivables -----36.36%21M-51.16%21M-63.46%19M-63.46%19M-48.94%24M-28.26%33M--43M30.00%52M30.00%52M
Inventory -12.78%157M-22.50%155M4.86%151M0.00%157M0.00%157M5.26%180M28.21%200M-6.49%144M-5.99%157M-5.99%157M
Prepaid assets --------------------15.69%59M0.00%61M14.29%56M--------
Restricted cash -71.67%66M-41.95%202M31.52%217M-42.78%214M-42.78%214M-38.68%233M-21.97%348M236.73%165M199.20%374M199.20%374M
Hedging assets-current 62.24%232M10.67%249M-29.82%240M-78.70%151M-78.70%151M-81.06%143M-62.69%225M-33.46%342M130.19%709M130.19%709M
Holding assets for sale ----------------------0--0--0--------
Other current assets --51M--60M--63M-12.73%48M-12.73%48M--------------55M--55M
Total current assets -32.67%1.69B-41.17%1.52B-41.79%1.61B-57.46%1.58B-57.46%1.58B-21.95%2.51B-8.45%2.58B8.14%2.76B69.05%3.71B69.05%3.71B
Non current assets
Net PPE -2.36%5.66B-1.04%5.73B-0.60%5.78B2.62%5.83B2.62%5.83B7.55%5.8B10.49%5.79B9.99%5.81B4.93%5.68B4.93%5.68B
-Gross PPE -61.30%5.66B-60.49%5.73B-59.97%5.78B2.99%14.56B2.99%14.56B6.71%14.63B7.43%14.5B7.60%14.43B4.85%14.14B4.85%14.14B
-Accumulated depreciation -------------3.24%-8.73B-3.24%-8.73B-6.17%-8.83B-5.48%-8.71B-6.04%-8.62B-4.80%-8.46B-4.80%-8.46B
Investments and advances 8.03%148M6.52%147M10.77%144M6.98%138M6.98%138M9.60%137M17.95%138M22.64%130M22.86%129M22.86%129M
-Long term equity investment 8.03%148M6.52%147M10.77%144M4.27%122M4.27%122M9.60%137M17.95%138M22.64%130M11.43%117M11.43%117M
-Financial asset investment ------------33.33%16M33.33%16M--------------12M--12M
-Including:Financial assets designated as fair value through profit or loss, Total ------------36.36%15M36.36%15M--------------11M--11M
-Including:Available-for-sale securities ------------0.00%1M0.00%1M--------------1M--1M
Financial assets 19.05%100M1.30%78M10.66%135M-67.70%52M-67.70%52M-62.83%84M-75.00%77M-67.47%122M-59.65%161M-59.65%161M
Non current accounts receivable 76.72%205M74.17%209M68.80%211M32.56%171M32.56%171M-18.88%116M-24.05%120M-27.33%125M-30.27%129M-30.27%129M
Non current note receivables -------------24.24%25M-24.24%25M--------------33M--33M
Non current prepaid assets -------------1.64%60M-1.64%60M-------------6.15%61M-6.15%61M
Goodwill and other intangible assets -3.32%669M-3.00%678M-3.81%681M-4.05%687M-4.05%687M-4.16%692M-3.32%699M-2.75%708M-0.42%716M-0.42%716M
-Goodwill 0.00%464M0.22%465M0.00%464M0.00%464M0.00%464M-0.22%464M0.00%464M0.22%464M0.22%464M0.22%464M
-Other intangible assets -10.09%205M-9.36%213M-11.07%217M-11.51%223M-11.51%223M-11.28%228M-9.27%235M-7.92%244M-1.56%252M-1.56%252M
Non current deferred assets -36.84%12M-26.32%14M-52.78%17M-58.00%21M-58.00%21M-68.33%19M-67.80%19M-36.84%36M-21.88%50M-21.88%50M
Other non current assets 3.03%170M7.45%173M11.25%178M42.42%94M42.42%94M1.23%165M-2.42%161M8.84%160M-14.29%66M-14.29%66M
Total non current assets -0.66%6.96B0.36%7.03B0.70%7.14B0.74%7.08B0.74%7.08B2.65%7.01B3.46%7.01B3.26%7.09B-0.03%7.03B-0.03%7.03B
Total assets -9.10%8.65B-10.81%8.55B-11.21%8.75B-19.38%8.66B-19.38%8.66B-5.23%9.52B-0.04%9.58B4.58%9.86B16.42%10.74B16.42%10.74B
Liabilities
Current liabilities
Current debt and capital lease obligation 143.29%1.29B543.80%882M615.08%1.28B175.77%535M175.77%535M-26.73%529M-80.14%137M-78.49%179M-77.01%194M-77.01%194M
-Current debt 143.29%1.29B543.80%882M615.08%1.28B184.41%529M184.41%529M-26.73%529M-80.14%137M-78.49%179M-77.78%186M-77.78%186M
-Current capital lease obligation -------------25.00%6M-25.00%6M------------14.29%8M14.29%8M
Payables -1.58%686M-21.51%551M-25.68%683M-42.93%839M-42.93%839M-47.55%697M-41.21%702M3.03%919M98.11%1.47B98.11%1.47B
-accounts payable -11.26%591M-26.51%474M-22.39%603M-27.78%772M-27.78%772M-47.93%666M-43.72%645M-7.61%777M63.46%1.07B63.46%1.07B
-Total tax payable 200.00%48M-23.53%13M-80.00%12M-87.67%9M-87.67%9M45.45%16M88.89%17M400.00%60M812.50%73M812.50%73M
-Dividends payable 20.00%18M-55.00%18M-55.00%18M-27.94%49M-27.94%49M-61.54%15M2.56%40M2.56%40M9.68%68M9.68%68M
-Other payable --29M--46M19.05%50M-96.54%9M-96.54%9M----------42M1,344.44%260M1,344.44%260M
Current accrued expenses -4.76%20M0.00%16M0.00%21M-5.88%16M-5.88%16M--21M--16M--21M0.00%17M0.00%17M
Current provisions 100.00%78M4.76%66M-2.78%70M-50.00%35M-50.00%35M-20.41%39M61.54%63M56.52%72M45.83%70M45.83%70M
Current deferred liabilities 83.33%11M80.00%9M-66.67%2M-62.50%3M-62.50%3M0.00%6M0.00%5M-62.50%6M-57.89%8M-57.89%8M
Other current liabilities -42.39%193M-54.39%286M-56.31%277M-72.19%314M-72.19%314M-60.77%335M6.63%627M38.13%634M332.57%1.13B332.57%1.13B
Current liabilities 39.83%2.28B16.77%1.81B27.42%2.33B-39.68%1.74B-39.68%1.74B-45.03%1.63B-38.39%1.55B-18.44%1.83B49.56%2.89B49.56%2.89B
Non current liabilities
Long term debt and capital lease obligation -23.69%2.88B-21.09%3.31B-30.28%2.92B-14.05%3.28B-14.05%3.28B16.99%3.77B30.07%4.2B34.12%4.19B38.29%3.81B38.29%3.81B
-Long term debt -23.69%2.88B-21.09%3.31B-30.28%2.92B-14.81%3.14B-14.81%3.14B16.99%3.77B30.07%4.2B34.12%4.19B38.35%3.69B38.35%3.69B
-Long term capital lease obligation ------------7.87%137M7.87%137M------------36.56%127M36.56%127M
Derivative product liabilities 34.68%299M2.53%243M2.94%280M-17.72%274M-17.72%274M-10.12%222M15.61%237M97.10%272M129.66%333M129.66%333M
Long term provisions 8.79%668M-4.86%646M-7.18%633M-0.76%654M-0.76%654M-5.68%614M15.48%679M0.29%682M-15.40%659M-15.40%659M
Employee benefits ------------3.33%155M3.33%155M-------------35.34%150M-35.34%150M
Preferred securities outside stock equity ------------0.00%400M0.00%400M------------0.00%400M0.00%400M
Non current deferred liabilities 5.82%400M11.62%413M17.88%422M-2.24%479M-2.24%479M4.71%378M1.37%370M0.00%358M33.51%490M33.51%490M
Other non current liabilities -12.76%212M-22.02%216M-20.56%228M-27.78%13M-27.78%13M32.07%243M30.66%277M21.10%287M-14.29%18M-14.29%18M
Total non current liabilities -14.76%4.46B-16.15%4.83B-22.54%4.49B-10.42%5.25B-10.42%5.25B12.04%5.23B25.30%5.76B27.60%5.79B24.71%5.86B24.71%5.86B
Total liabilities -1.81%6.73B-9.17%6.64B-10.55%6.82B-20.08%7B-20.08%7B-10.11%6.86B2.77%7.31B12.37%7.62B31.95%8.75B31.95%8.75B
Shareholders'equity
Share capital 10.21%4.13B10.16%4.13B12.27%4.2B11.09%4.23B11.09%4.23B-1.86%3.75B-2.22%3.75B-2.43%3.74B-0.99%3.81B-0.99%3.81B
-common stock 13.64%3.19B13.57%3.19B16.40%3.26B14.74%3.29B14.74%3.29B-2.47%2.81B-2.94%2.81B-3.22%2.8B-1.31%2.86B-1.31%2.86B
-Preferred stock 0.00%942M0.00%942M0.00%942M0.00%942M0.00%942M0.00%942M0.00%942M0.00%942M0.00%942M0.00%942M
Additional paid-in capital 3.03%34M7.14%30M8.70%25M0.00%41M0.00%41M0.00%33M0.00%28M-8.00%23M-10.87%41M-10.87%41M
Retained earnings -28.76%-2.35B-5.28%-2.29B-5.31%-2.34B-2.11%-2.57B-2.11%-2.57B21.40%-1.82B7.79%-2.18B2.11%-2.22B-2.49%-2.51B-2.49%-2.51B
Gains losses not affecting retained earnings 89.86%-7M38.71%-76M50.64%-77M26.13%-164M26.13%-164M-3,550.00%-69M-267.57%-124M-247.17%-156M-252.05%-222M-252.05%-222M
Total stockholders'equity -4.12%1.81B21.42%1.79B30.45%1.81B38.47%1.54B38.47%1.54B23.02%1.89B-6.29%1.48B-18.23%1.39B-29.84%1.11B-29.84%1.11B
Noncontrolling interests -86.12%107M-85.46%116M-85.36%124M-85.55%127M-85.55%127M-12.29%771M-11.33%798M-10.37%847M-13.06%879M-13.06%879M
Total equity -27.86%1.92B-16.10%1.91B-13.48%1.93B-16.34%1.66B-16.34%1.66B10.18%2.66B-8.12%2.27B-15.42%2.23B-23.29%1.99B-23.29%1.99B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion------------

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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