CA Stock MarketDetailed Quotes

TFII TFI International Inc

Watchlist
  • 207.620
  • +0.730+0.35%
15min DelayMarket Closed Nov 22 16:00 ET
17.57BMarket Cap27.96P/E (TTM)

TFI International Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 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
Assets
Current assets
Cash, cash equivalents and short term investments
-37.44%55.22M
561.76%902.37M
128.09%335.56M
128.09%335.56M
-33.71%88.26M
1,092.33%178.13M
561.75%136.36M
662.58%147.12M
662.58%147.12M
111.45%133.14M
-Cash and cash equivalents
-37.44%55.22M
561.76%902.37M
128.09%335.56M
128.09%335.56M
-33.71%88.26M
1,092.33%178.13M
561.75%136.36M
662.58%147.12M
662.58%147.12M
111.45%133.14M
Receivables
4.71%1.04B
-2.56%939.26M
-11.99%918.41M
-11.99%918.41M
-12.80%992.71M
-25.79%928M
-18.11%963.91M
-1.75%1.04B
-1.75%1.04B
11.05%1.14B
-Accounts receivable
5.48%1.03B
-3.05%920.41M
-12.39%846.68M
-12.39%846.68M
-14.31%975.25M
-28.13%897.98M
-19.17%949.35M
-2.06%966.43M
-2.06%966.43M
11.61%1.14B
-Taxes receivable
-38.52%10.74M
29.50%18.86M
84.84%23.64M
84.84%23.64M
6,616.54%17.46M
2,910.63%30.02M
443.97%14.56M
110.33%12.79M
110.33%12.79M
-95.13%260K
-Other receivables
----
----
-25.21%48.09M
-25.21%48.09M
----
----
----
-7.14%64.3M
-7.14%64.3M
----
Inventory
-7.60%25.18M
6.28%22.91M
-0.90%23.96M
-0.90%23.96M
15.85%27.25M
-13.06%23.65M
-16.24%21.56M
-0.91%24.18M
-0.91%24.18M
-11.40%23.52M
Prepaid assets
33.39%84.43M
23.72%63.01M
46.15%56.27M
46.15%56.27M
14.32%63.3M
-2.49%61.47M
-19.36%50.93M
-29.38%38.5M
-29.38%38.5M
-8.09%55.37M
Holding assets for sale
415.40%21.52M
17.36%13M
-82.42%1.8M
-82.42%1.8M
-80.97%4.18M
101.36%9.05M
-63.35%11.08M
427.53%10.25M
427.53%10.25M
612.34%21.94M
Total current assets
4.26%1.23B
63.92%1.94B
5.73%1.34B
5.73%1.34B
-14.33%1.18B
-11.76%1.2B
-10.10%1.18B
8.72%1.26B
8.72%1.26B
16.51%1.37B
Non current assets
Net PPE
28.88%3.59B
12.28%2.83B
13.03%2.84B
13.03%2.84B
15.13%2.79B
-8.27%2.56B
-6.36%2.52B
-11.92%2.51B
-11.92%2.51B
-3.59%2.42B
-Gross PPE
26.27%5.13B
15.36%4.23B
15.29%4.22B
15.29%4.22B
16.56%4.06B
-5.38%3.79B
-5.26%3.67B
-7.50%3.66B
-7.50%3.66B
-2.16%3.48B
-Accumulated depreciation
-20.55%-1.53B
-22.13%-1.4B
-20.24%-1.38B
-20.24%-1.38B
-19.81%-1.27B
-1.30%-1.23B
2.74%-1.14B
-3.97%-1.14B
-3.97%-1.14B
-1.27%-1.06B
Investments and advances
28.14%23.45M
-78.23%22.83M
-41.59%50.21M
-41.59%50.21M
-81.01%18.3M
-78.90%18.47M
99.48%104.87M
173.85%85.96M
173.85%85.96M
77.64%96.36M
-Financial asset investment
28.14%23.45M
-78.23%22.83M
-41.59%50.21M
-41.59%50.21M
-81.01%18.3M
-78.90%18.47M
99.48%104.87M
173.85%85.96M
173.85%85.96M
77.64%96.36M
-Including:Available-for-sale securities
28.14%23.45M
-78.23%22.83M
-41.59%50.21M
-41.59%50.21M
-81.01%18.3M
-78.90%18.47M
99.48%104.87M
173.85%85.96M
173.85%85.96M
77.64%96.36M
Non current prepaid assets
----
----
----
----
----
----
----
----
----
4.50%3.43M
Goodwill and other intangible assets
29.84%2.62B
25.37%2.08B
26.83%2.02B
26.83%2.02B
28.60%2.02B
-7.01%1.68B
-9.72%1.66B
-11.20%1.59B
-11.20%1.59B
-11.41%1.57B
-Goodwill
42.32%2.03B
15.15%1.52B
15.74%1.48B
15.74%1.48B
14.01%1.42B
-6.12%1.35B
-9.24%1.32B
-10.07%1.28B
-10.07%1.28B
-10.92%1.25B
-Other intangible assets
-0.12%592.5M
65.79%553.64M
72.54%536.22M
72.54%536.22M
85.63%593.23M
-10.56%326.25M
-11.54%333.94M
-15.57%310.78M
-15.57%310.78M
-13.29%319.59M
Defined pension benefit
----
----
--0
--0
--0
--0
--0
--4.36M
--4.36M
----
Non current deferred assets
-34.07%14.63M
-20.83%15.13M
-23.78%20.62M
-23.78%20.62M
-7.84%22.2M
-17.06%18.85M
-36.13%19.11M
-8.92%27.05M
-8.92%27.05M
59.12%24.08M
Other non current assets
-33.25%21.88M
-20.46%15.45M
-14.58%16.39M
-14.58%16.39M
149.74%32.77M
37.65%18.06M
375.71%19.43M
39.84%19.19M
39.84%19.19M
549.33%13.12M
Total non current assets
28.57%6.27B
14.81%4.96B
16.63%4.95B
16.63%4.95B
18.20%4.88B
-9.09%4.29B
-6.42%4.32B
-10.15%4.24B
-10.15%4.24B
-5.28%4.13B
Total assets
23.85%7.5B
25.37%6.9B
14.13%6.28B
14.13%6.28B
10.09%6.06B
-9.69%5.49B
-7.24%5.5B
-6.42%5.51B
-6.42%5.51B
-0.64%5.5B
Liabilities
Current liabilities
Current debt and capital lease obligation
170.15%409.26M
169.09%396.8M
97.19%301.75M
97.19%301.75M
5.52%151.5M
-3.08%148.76M
-4.74%147.46M
-68.05%153.02M
-68.05%153.02M
-69.95%143.57M
-Current debt
855.23%249.62M
712.69%268.17M
370.11%174.35M
370.11%174.35M
-25.83%26.13M
-20.37%30.57M
-19.14%33M
-89.80%37.09M
-89.80%37.09M
-90.29%35.23M
-Current capital lease obligation
27.34%159.64M
12.37%128.62M
9.89%127.4M
9.89%127.4M
15.72%125.36M
2.69%118.2M
0.42%114.46M
0.51%115.93M
0.51%115.93M
-5.77%108.34M
Payables
2.17%738.55M
-0.62%681.82M
-14.70%486.86M
-14.70%486.86M
-14.86%722.87M
-27.36%642.05M
-21.74%686.09M
-12.66%570.78M
-12.66%570.78M
-1.75%849.04M
-accounts payable
1.89%733.35M
-1.49%673.16M
-9.65%450.64M
-9.65%450.64M
-9.42%719.72M
-23.52%639.34M
-19.30%683.34M
-18.51%498.78M
-18.51%498.78M
-6.58%794.57M
-Total tax payable
64.94%5.2M
215.19%8.66M
-94.15%2.44M
-94.15%2.44M
-94.21%3.15M
-94.35%2.71M
-90.82%2.75M
152.02%41.71M
152.02%41.71M
300.92%54.48M
-Dividends payable
----
----
11.51%33.78M
11.51%33.78M
----
----
----
21.74%30.29M
21.74%30.29M
----
Current accrued expenses
----
----
4.35%187.52M
4.35%187.52M
----
----
----
-20.11%179.7M
-20.11%179.7M
----
Current provisions
54.26%84.95M
54.60%66.52M
51.62%66.57M
51.62%66.57M
8.11%55.07M
-6.07%44.5M
-0.91%43.03M
12.54%43.9M
12.54%43.9M
47.70%50.94M
Other current liabilities
-41.60%15.34M
44.48%25.16M
21.50%23.42M
21.50%23.42M
-30.76%26.27M
-46.69%18.59M
-50.03%17.41M
82.42%19.28M
82.42%19.28M
311.58%37.94M
Current liabilities
30.59%1.25B
30.91%1.17B
10.29%1.07B
10.29%1.07B
-11.63%955.71M
-23.73%853.89M
-19.44%893.99M
-31.29%966.68M
-31.29%966.68M
-21.95%1.08B
Non current liabilities
Long term debt and capital lease obligation
47.28%2.76B
63.76%2.55B
29.62%2.04B
29.62%2.04B
20.77%1.87B
-19.18%1.59B
-20.65%1.56B
1.12%1.58B
1.12%1.58B
4.37%1.55B
-Long term debt
45.77%2.31B
74.70%2.22B
33.72%1.71B
33.72%1.71B
24.30%1.58B
-22.20%1.31B
-23.52%1.27B
2.75%1.28B
2.75%1.28B
8.70%1.27B
-Long term capital lease obligation
55.48%450.7M
15.07%328.52M
12.00%332.76M
12.00%332.76M
4.56%289.88M
-1.47%282.09M
-4.71%285.49M
-5.34%297.11M
-5.34%297.11M
-11.78%277.24M
Long term provisions
23.46%141.29M
-22.86%96.19M
-29.15%93.34M
-29.15%93.34M
-14.28%114.44M
-18.33%101.36M
34.75%124.7M
21.81%131.74M
21.81%131.74M
56.57%133.52M
Employee benefits
105.66%83.42M
388.74%64.13M
--53.23M
--53.23M
-51.15%40.56M
-67.55%25.81M
-82.28%13.12M
--0
--0
-8.85%83.03M
Non current deferred liabilities
14.78%509.85M
15.49%432.07M
17.67%433.24M
17.67%433.24M
37.86%444.21M
-11.47%362.51M
-9.70%374.11M
-13.11%368.19M
-13.11%368.19M
-9.61%322.22M
Other non current liabilities
40.24%5.12M
-72.55%3.04M
868.32%3.7M
868.32%3.7M
284.93%3.65M
225.37%12.8M
178.07%11.08M
-95.24%382K
-95.24%382K
-93.55%949K
Total non current liabilities
41.29%3.5B
51.20%3.14B
26.49%2.63B
26.49%2.63B
18.43%2.48B
-19.04%2.09B
-18.33%2.08B
-4.17%2.08B
-4.17%2.08B
2.81%2.09B
Total liabilities
38.31%4.75B
45.10%4.31B
21.34%3.69B
21.34%3.69B
8.18%3.43B
-20.46%2.94B
-18.67%2.97B
-14.85%3.04B
-14.85%3.04B
-7.22%3.17B
Shareholders'equity
Share capital
1.17%1.14B
0.13%1.13B
1.66%1.11B
1.66%1.11B
2.91%1.12B
1.00%1.12B
-0.41%1.13B
-3.88%1.09B
-3.88%1.09B
-3.29%1.09B
-common stock
1.17%1.14B
0.13%1.13B
1.66%1.11B
1.66%1.11B
2.91%1.12B
1.00%1.12B
-0.41%1.13B
-3.88%1.09B
-3.88%1.09B
-3.29%1.09B
Additional paid-in capital
-13.06%29.17M
-5.15%26.6M
-9.18%37.68M
-9.18%37.68M
-12.50%33.55M
-18.69%29.38M
-32.51%28.04M
5.98%41.49M
5.98%41.49M
54.35%38.35M
Retained earnings
6.78%1.82B
5.06%1.67B
5.19%1.65B
5.19%1.65B
17.02%1.7B
13.35%1.6B
27.09%1.59B
22.06%1.57B
22.06%1.57B
30.55%1.45B
Gains losses not affecting retained earnings
2.16%-229.06M
-11.67%-235.31M
14.05%-200.54M
14.05%-200.54M
8.17%-234.12M
-13.85%-198.11M
-46.84%-210.71M
-61.28%-233.32M
-61.28%-233.32M
-69.99%-254.94M
Total stockholders'equity
4.92%2.75B
2.20%2.59B
5.21%2.59B
5.21%2.59B
12.68%2.62B
7.08%2.55B
11.11%2.53B
6.61%2.46B
6.61%2.46B
9.99%2.33B
Total equity
4.92%2.75B
2.20%2.59B
5.21%2.59B
5.21%2.59B
12.68%2.62B
7.08%2.55B
11.11%2.53B
6.61%2.46B
6.61%2.46B
9.99%2.33B
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
--
--
(Q3)Sep 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
Assets
Current assets
Cash, cash equivalents and short term investments -37.44%55.22M561.76%902.37M128.09%335.56M128.09%335.56M-33.71%88.26M1,092.33%178.13M561.75%136.36M662.58%147.12M662.58%147.12M111.45%133.14M
-Cash and cash equivalents -37.44%55.22M561.76%902.37M128.09%335.56M128.09%335.56M-33.71%88.26M1,092.33%178.13M561.75%136.36M662.58%147.12M662.58%147.12M111.45%133.14M
Receivables 4.71%1.04B-2.56%939.26M-11.99%918.41M-11.99%918.41M-12.80%992.71M-25.79%928M-18.11%963.91M-1.75%1.04B-1.75%1.04B11.05%1.14B
-Accounts receivable 5.48%1.03B-3.05%920.41M-12.39%846.68M-12.39%846.68M-14.31%975.25M-28.13%897.98M-19.17%949.35M-2.06%966.43M-2.06%966.43M11.61%1.14B
-Taxes receivable -38.52%10.74M29.50%18.86M84.84%23.64M84.84%23.64M6,616.54%17.46M2,910.63%30.02M443.97%14.56M110.33%12.79M110.33%12.79M-95.13%260K
-Other receivables ---------25.21%48.09M-25.21%48.09M-------------7.14%64.3M-7.14%64.3M----
Inventory -7.60%25.18M6.28%22.91M-0.90%23.96M-0.90%23.96M15.85%27.25M-13.06%23.65M-16.24%21.56M-0.91%24.18M-0.91%24.18M-11.40%23.52M
Prepaid assets 33.39%84.43M23.72%63.01M46.15%56.27M46.15%56.27M14.32%63.3M-2.49%61.47M-19.36%50.93M-29.38%38.5M-29.38%38.5M-8.09%55.37M
Holding assets for sale 415.40%21.52M17.36%13M-82.42%1.8M-82.42%1.8M-80.97%4.18M101.36%9.05M-63.35%11.08M427.53%10.25M427.53%10.25M612.34%21.94M
Total current assets 4.26%1.23B63.92%1.94B5.73%1.34B5.73%1.34B-14.33%1.18B-11.76%1.2B-10.10%1.18B8.72%1.26B8.72%1.26B16.51%1.37B
Non current assets
Net PPE 28.88%3.59B12.28%2.83B13.03%2.84B13.03%2.84B15.13%2.79B-8.27%2.56B-6.36%2.52B-11.92%2.51B-11.92%2.51B-3.59%2.42B
-Gross PPE 26.27%5.13B15.36%4.23B15.29%4.22B15.29%4.22B16.56%4.06B-5.38%3.79B-5.26%3.67B-7.50%3.66B-7.50%3.66B-2.16%3.48B
-Accumulated depreciation -20.55%-1.53B-22.13%-1.4B-20.24%-1.38B-20.24%-1.38B-19.81%-1.27B-1.30%-1.23B2.74%-1.14B-3.97%-1.14B-3.97%-1.14B-1.27%-1.06B
Investments and advances 28.14%23.45M-78.23%22.83M-41.59%50.21M-41.59%50.21M-81.01%18.3M-78.90%18.47M99.48%104.87M173.85%85.96M173.85%85.96M77.64%96.36M
-Financial asset investment 28.14%23.45M-78.23%22.83M-41.59%50.21M-41.59%50.21M-81.01%18.3M-78.90%18.47M99.48%104.87M173.85%85.96M173.85%85.96M77.64%96.36M
-Including:Available-for-sale securities 28.14%23.45M-78.23%22.83M-41.59%50.21M-41.59%50.21M-81.01%18.3M-78.90%18.47M99.48%104.87M173.85%85.96M173.85%85.96M77.64%96.36M
Non current prepaid assets ------------------------------------4.50%3.43M
Goodwill and other intangible assets 29.84%2.62B25.37%2.08B26.83%2.02B26.83%2.02B28.60%2.02B-7.01%1.68B-9.72%1.66B-11.20%1.59B-11.20%1.59B-11.41%1.57B
-Goodwill 42.32%2.03B15.15%1.52B15.74%1.48B15.74%1.48B14.01%1.42B-6.12%1.35B-9.24%1.32B-10.07%1.28B-10.07%1.28B-10.92%1.25B
-Other intangible assets -0.12%592.5M65.79%553.64M72.54%536.22M72.54%536.22M85.63%593.23M-10.56%326.25M-11.54%333.94M-15.57%310.78M-15.57%310.78M-13.29%319.59M
Defined pension benefit ----------0--0--0--0--0--4.36M--4.36M----
Non current deferred assets -34.07%14.63M-20.83%15.13M-23.78%20.62M-23.78%20.62M-7.84%22.2M-17.06%18.85M-36.13%19.11M-8.92%27.05M-8.92%27.05M59.12%24.08M
Other non current assets -33.25%21.88M-20.46%15.45M-14.58%16.39M-14.58%16.39M149.74%32.77M37.65%18.06M375.71%19.43M39.84%19.19M39.84%19.19M549.33%13.12M
Total non current assets 28.57%6.27B14.81%4.96B16.63%4.95B16.63%4.95B18.20%4.88B-9.09%4.29B-6.42%4.32B-10.15%4.24B-10.15%4.24B-5.28%4.13B
Total assets 23.85%7.5B25.37%6.9B14.13%6.28B14.13%6.28B10.09%6.06B-9.69%5.49B-7.24%5.5B-6.42%5.51B-6.42%5.51B-0.64%5.5B
Liabilities
Current liabilities
Current debt and capital lease obligation 170.15%409.26M169.09%396.8M97.19%301.75M97.19%301.75M5.52%151.5M-3.08%148.76M-4.74%147.46M-68.05%153.02M-68.05%153.02M-69.95%143.57M
-Current debt 855.23%249.62M712.69%268.17M370.11%174.35M370.11%174.35M-25.83%26.13M-20.37%30.57M-19.14%33M-89.80%37.09M-89.80%37.09M-90.29%35.23M
-Current capital lease obligation 27.34%159.64M12.37%128.62M9.89%127.4M9.89%127.4M15.72%125.36M2.69%118.2M0.42%114.46M0.51%115.93M0.51%115.93M-5.77%108.34M
Payables 2.17%738.55M-0.62%681.82M-14.70%486.86M-14.70%486.86M-14.86%722.87M-27.36%642.05M-21.74%686.09M-12.66%570.78M-12.66%570.78M-1.75%849.04M
-accounts payable 1.89%733.35M-1.49%673.16M-9.65%450.64M-9.65%450.64M-9.42%719.72M-23.52%639.34M-19.30%683.34M-18.51%498.78M-18.51%498.78M-6.58%794.57M
-Total tax payable 64.94%5.2M215.19%8.66M-94.15%2.44M-94.15%2.44M-94.21%3.15M-94.35%2.71M-90.82%2.75M152.02%41.71M152.02%41.71M300.92%54.48M
-Dividends payable --------11.51%33.78M11.51%33.78M------------21.74%30.29M21.74%30.29M----
Current accrued expenses --------4.35%187.52M4.35%187.52M-------------20.11%179.7M-20.11%179.7M----
Current provisions 54.26%84.95M54.60%66.52M51.62%66.57M51.62%66.57M8.11%55.07M-6.07%44.5M-0.91%43.03M12.54%43.9M12.54%43.9M47.70%50.94M
Other current liabilities -41.60%15.34M44.48%25.16M21.50%23.42M21.50%23.42M-30.76%26.27M-46.69%18.59M-50.03%17.41M82.42%19.28M82.42%19.28M311.58%37.94M
Current liabilities 30.59%1.25B30.91%1.17B10.29%1.07B10.29%1.07B-11.63%955.71M-23.73%853.89M-19.44%893.99M-31.29%966.68M-31.29%966.68M-21.95%1.08B
Non current liabilities
Long term debt and capital lease obligation 47.28%2.76B63.76%2.55B29.62%2.04B29.62%2.04B20.77%1.87B-19.18%1.59B-20.65%1.56B1.12%1.58B1.12%1.58B4.37%1.55B
-Long term debt 45.77%2.31B74.70%2.22B33.72%1.71B33.72%1.71B24.30%1.58B-22.20%1.31B-23.52%1.27B2.75%1.28B2.75%1.28B8.70%1.27B
-Long term capital lease obligation 55.48%450.7M15.07%328.52M12.00%332.76M12.00%332.76M4.56%289.88M-1.47%282.09M-4.71%285.49M-5.34%297.11M-5.34%297.11M-11.78%277.24M
Long term provisions 23.46%141.29M-22.86%96.19M-29.15%93.34M-29.15%93.34M-14.28%114.44M-18.33%101.36M34.75%124.7M21.81%131.74M21.81%131.74M56.57%133.52M
Employee benefits 105.66%83.42M388.74%64.13M--53.23M--53.23M-51.15%40.56M-67.55%25.81M-82.28%13.12M--0--0-8.85%83.03M
Non current deferred liabilities 14.78%509.85M15.49%432.07M17.67%433.24M17.67%433.24M37.86%444.21M-11.47%362.51M-9.70%374.11M-13.11%368.19M-13.11%368.19M-9.61%322.22M
Other non current liabilities 40.24%5.12M-72.55%3.04M868.32%3.7M868.32%3.7M284.93%3.65M225.37%12.8M178.07%11.08M-95.24%382K-95.24%382K-93.55%949K
Total non current liabilities 41.29%3.5B51.20%3.14B26.49%2.63B26.49%2.63B18.43%2.48B-19.04%2.09B-18.33%2.08B-4.17%2.08B-4.17%2.08B2.81%2.09B
Total liabilities 38.31%4.75B45.10%4.31B21.34%3.69B21.34%3.69B8.18%3.43B-20.46%2.94B-18.67%2.97B-14.85%3.04B-14.85%3.04B-7.22%3.17B
Shareholders'equity
Share capital 1.17%1.14B0.13%1.13B1.66%1.11B1.66%1.11B2.91%1.12B1.00%1.12B-0.41%1.13B-3.88%1.09B-3.88%1.09B-3.29%1.09B
-common stock 1.17%1.14B0.13%1.13B1.66%1.11B1.66%1.11B2.91%1.12B1.00%1.12B-0.41%1.13B-3.88%1.09B-3.88%1.09B-3.29%1.09B
Additional paid-in capital -13.06%29.17M-5.15%26.6M-9.18%37.68M-9.18%37.68M-12.50%33.55M-18.69%29.38M-32.51%28.04M5.98%41.49M5.98%41.49M54.35%38.35M
Retained earnings 6.78%1.82B5.06%1.67B5.19%1.65B5.19%1.65B17.02%1.7B13.35%1.6B27.09%1.59B22.06%1.57B22.06%1.57B30.55%1.45B
Gains losses not affecting retained earnings 2.16%-229.06M-11.67%-235.31M14.05%-200.54M14.05%-200.54M8.17%-234.12M-13.85%-198.11M-46.84%-210.71M-61.28%-233.32M-61.28%-233.32M-69.99%-254.94M
Total stockholders'equity 4.92%2.75B2.20%2.59B5.21%2.59B5.21%2.59B12.68%2.62B7.08%2.55B11.11%2.53B6.61%2.46B6.61%2.46B9.99%2.33B
Total equity 4.92%2.75B2.20%2.59B5.21%2.59B5.21%2.59B12.68%2.62B7.08%2.55B11.11%2.53B6.61%2.46B6.61%2.46B9.99%2.33B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------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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