CA Stock MarketDetailed Quotes

TRI Thomson Reuters Corp

Watchlist
  • 225.490
  • -1.940-0.85%
15min DelayMarket Closed Aug 15 16:00 ET
101.41BMarket Cap31.52P/E (TTM)

Thomson Reuters Corp 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
Assets
Current assets
Cash, cash equivalents and short term investments
-40.78%1.7B
13.55%1.92B
6.04%1.26B
6.04%1.26B
238.05%2.53B
411.41%2.87B
169.54%1.69B
46.08%1.19B
46.08%1.19B
-50.95%749M
-Cash and cash equivalents
-39.17%1.68B
18.37%1.9B
21.26%1.2B
21.26%1.2B
545.45%2.41B
616.32%2.77B
177.85%1.61B
39.55%988M
39.55%988M
-74.10%374M
-Accounts receivable
9.30%1.09B
10.52%1.04B
0.87%1.05B
0.87%1.05B
3.48%982M
1.63%1B
-4.18%941M
0.19%1.04B
0.19%1.04B
-0.21%949M
-Notes receivable
----
-3.31%525M
1.71%535M
1.71%535M
-4.26%562M
-5.44%521M
11.04%543M
3.95%526M
3.95%526M
5.77%587M
Prepaid assets
----
----
0.00%110M
0.00%110M
----
----
----
0.00%110M
0.00%110M
----
Current deferred assets
----
----
-4.79%139M
-4.79%139M
----
----
----
4.29%146M
4.29%146M
----
Holding assets for sale
----
----
----
----
----
----
1.90%215M
----
----
--129M
Total current assets
-26.34%3.27B
1.03%3.42B
3.91%2.92B
3.91%2.92B
73.22%4.06B
97.68%4.43B
44.72%3.39B
14.59%2.81B
14.59%2.81B
-22.17%2.34B
Non current assets
-Accumulated depreciation
----
----
11.19%-849M
11.19%-849M
----
----
----
3.63%-956M
3.63%-956M
----
Investment properties
8.55%419M
-18.99%384M
-21.86%379M
-21.86%379M
-43.27%333M
-17.87%386M
22.16%474M
46.97%485M
46.97%485M
77.34%587M
-Long term equity investment
-44.36%1.85B
-5.87%3.09B
-5.44%3.11B
-5.44%3.11B
-21.21%3.05B
-16.19%3.32B
-17.80%3.29B
-17.32%3.29B
-17.32%3.29B
-2.54%3.87B
-Including:Financial assets designated as fair value through profit or loss, Total
----
-32.65%262M
-34.25%263M
-34.25%263M
-52.31%237M
-31.51%263M
30.54%389M
70.21%400M
70.21%400M
106.22%497M
-Including:Available-for-sale securities
240.65%419M
43.53%122M
36.47%116M
36.47%116M
6.67%96M
43.02%123M
-5.56%85M
-10.53%85M
-10.53%85M
0.00%90M
-Including:Held to maturity investments
----
--0
--0
--0
--0
--0
--0
--0
--0
--0
Financial assets
----
2.44%42M
54.76%65M
54.76%65M
29.03%40M
-20.51%62M
-65.83%41M
-57.58%42M
-57.58%42M
-68.04%31M
Non current note receivables
35.45%1.45B
-2.29%1.07B
-1.25%1.1B
-1.25%1.1B
-6.52%1.05B
-5.30%1.07B
-4.38%1.09B
-1.84%1.12B
-1.84%1.12B
-2.10%1.12B
-Goodwill
14.45%11.96B
14.84%11.98B
10.94%11.12B
10.94%11.12B
11.58%11.1B
3.94%10.45B
4.25%10.44B
-0.69%10.02B
-0.69%10.02B
-1.54%9.95B
Defined pension benefit
----
-26.87%49M
-6.25%45M
-6.25%45M
-66.67%31M
-68.10%52M
-73.83%67M
-79.92%48M
-79.92%48M
-50.79%93M
Regulatory assets
9.30%1.09B
10.52%1.04B
5.01%1.19B
5.01%1.19B
3.48%982M
1.63%1B
-4.18%941M
1.07%1.14B
1.07%1.14B
-0.21%949M
Non current deferred assets
----
-6.25%90M
-3.19%91M
-3.19%91M
6.10%87M
3.37%92M
11.63%96M
27.03%94M
27.03%94M
12.33%82M
Total assets
----
----
5.88%72M
5.88%72M
----
----
----
0.00%68M
0.00%68M
----
Liabilities
Current liabilities
Current debt and capital lease obligation
-49.30%1.26B
-26.13%1B
-74.87%428M
-74.87%428M
259.86%1.53B
2,187.16%2.49B
2,085.48%1.36B
2,560.94%1.7B
2,560.94%1.7B
439.24%426M
-Current debt
-48.20%1.26B
-27.56%941M
-77.41%372M
-77.41%372M
300.00%1.48B
4,780.00%2.44B
--1.3B
--1.65B
--1.65B
--370M
-Current capital lease obligation
----
7.14%60M
0.00%56M
0.00%56M
-5.36%53M
-10.17%53M
-9.68%56M
-12.50%56M
-12.50%56M
-29.11%56M
-accounts payable
537.89%1.03B
16.94%145M
-23.63%181M
-23.63%181M
-8.02%149M
5.23%161M
-32.24%124M
4.41%237M
4.41%237M
3.18%162M
-Total tax payable
-36.39%3.03B
-11.80%4.25B
-11.10%4.39B
-11.10%4.39B
-21.14%4.31B
-16.56%4.77B
-18.17%4.81B
-13.93%4.94B
-13.93%4.94B
-5.74%5.46B
-Other payable
68.02%620M
6.89%388M
5.06%374M
5.06%374M
6.07%367M
5.73%369M
3.42%363M
-0.28%356M
-0.28%356M
-2.26%346M
Current accrued expenses
----
2.12%627M
-4.32%798M
-4.32%798M
-7.08%656M
-8.32%617M
-14.72%614M
-12.21%834M
-12.21%834M
-15.35%706M
Current provisions
----
8.25%105M
-14.81%92M
-14.81%92M
-15.00%85M
-5.05%94M
-10.19%97M
0.93%108M
0.93%108M
-1.96%100M
Current deferred liabilities
8.70%1.02B
11.27%928M
11.96%992M
11.96%992M
11.71%935M
7.41%942M
1.21%834M
1.37%886M
1.37%886M
-0.12%837M
Current liabilities
-24.20%3.73B
-5.53%3.54B
-33.90%3.23B
-33.90%3.23B
12.51%3.85B
80.21%4.92B
61.22%3.74B
89.50%4.89B
89.50%4.89B
9.93%3.42B
Non current liabilities
-Long term debt
----
25.73%215M
16.76%209M
16.76%209M
0.59%171M
-8.29%177M
-14.07%171M
-9.14%179M
-9.14%179M
-10.05%170M
Non current accrued expenses
8.46%436M
12.47%451M
7.97%447M
7.97%447M
-4.59%395M
-9.87%402M
-16.28%401M
-17.53%414M
-17.53%414M
-12.47%414M
Derivative product liabilities
----
--0
--0
--0
--0
--0
--0
--0
--0
--0
Long term provisions
-41.23%1.85B
-7.61%2.88B
-6.71%2.91B
-6.71%2.91B
-22.22%2.88B
-16.60%3.14B
-18.00%3.12B
-17.75%3.11B
-17.75%3.11B
-2.17%3.7B
Employee benefits
----
-3.31%525M
1.71%535M
1.71%535M
-4.26%562M
-5.44%521M
11.04%543M
3.95%526M
3.95%526M
5.77%587M
Total non current liabilities
-30.20%6.76B
-9.06%7.78B
-22.45%7.62B
-22.45%7.62B
-8.18%8.16B
14.71%9.69B
4.29%8.56B
18.17%9.83B
18.17%9.83B
-0.27%8.88B
Shareholders'equity
Share capital
82.46%3.42B
-49.67%1.99B
-50.80%1.9B
-50.80%1.9B
-50.98%1.9B
-51.72%1.88B
1.36%3.96B
1.34%3.86B
1.34%3.86B
2.24%3.87B
-common stock
82.46%3.42B
-49.67%1.99B
-52.29%1.79B
-52.29%1.79B
-50.98%1.9B
-51.72%1.88B
1.36%3.96B
1.38%3.75B
1.38%3.75B
2.24%3.87B
Additional paid-in capital
----
-2.49%1.41B
-1.96%1.5B
-1.96%1.5B
-2.55%1.49B
-6.10%1.49B
-8.61%1.44B
-8.85%1.53B
-8.85%1.53B
-8.77%1.53B
Retained earnings
----
----
23.46%100M
23.46%100M
20.00%102M
24.00%93M
10.53%84M
15.71%81M
15.71%81M
26.87%85M
Gains losses not affecting retained earnings
-8.37%-1.09B
1.19%-1.08B
11.60%-1.02B
11.60%-1.02B
14.14%-1.13B
7.81%-1B
-30.70%-1.09B
-42.42%-1.16B
-42.42%-1.16B
-59.98%-1.32B
Other equity interest
0.42%474M
1.31%464M
-35.82%43M
-35.82%43M
2.33%439M
13.46%472M
2.92%458M
-35.58%67M
-35.58%67M
-7.34%429M
Noncontrolling interests
-93.39%230M
-81.71%836M
-67.25%2.03B
-67.25%2.03B
-70.47%1.8B
-47.89%3.48B
-39.40%4.57B
-7.97%6.2B
-7.97%6.2B
-15.60%6.1B
Total equity
-12.02%18.38B
-10.55%18.82B
-13.94%18.68B
-13.94%18.68B
-8.57%19.35B
-4.17%20.89B
-7.86%21.04B
-1.98%21.71B
-1.98%21.71B
-8.39%21.16B
(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
Assets
Current assets
Cash, cash equivalents and short term investments -40.78%1.7B13.55%1.92B6.04%1.26B6.04%1.26B238.05%2.53B411.41%2.87B169.54%1.69B46.08%1.19B46.08%1.19B-50.95%749M
-Cash and cash equivalents -39.17%1.68B18.37%1.9B21.26%1.2B21.26%1.2B545.45%2.41B616.32%2.77B177.85%1.61B39.55%988M39.55%988M-74.10%374M
-Accounts receivable 9.30%1.09B10.52%1.04B0.87%1.05B0.87%1.05B3.48%982M1.63%1B-4.18%941M0.19%1.04B0.19%1.04B-0.21%949M
-Notes receivable -----3.31%525M1.71%535M1.71%535M-4.26%562M-5.44%521M11.04%543M3.95%526M3.95%526M5.77%587M
Prepaid assets --------0.00%110M0.00%110M------------0.00%110M0.00%110M----
Current deferred assets ---------4.79%139M-4.79%139M------------4.29%146M4.29%146M----
Holding assets for sale ------------------------1.90%215M----------129M
Total current assets -26.34%3.27B1.03%3.42B3.91%2.92B3.91%2.92B73.22%4.06B97.68%4.43B44.72%3.39B14.59%2.81B14.59%2.81B-22.17%2.34B
Non current assets
-Accumulated depreciation --------11.19%-849M11.19%-849M------------3.63%-956M3.63%-956M----
Investment properties 8.55%419M-18.99%384M-21.86%379M-21.86%379M-43.27%333M-17.87%386M22.16%474M46.97%485M46.97%485M77.34%587M
-Long term equity investment -44.36%1.85B-5.87%3.09B-5.44%3.11B-5.44%3.11B-21.21%3.05B-16.19%3.32B-17.80%3.29B-17.32%3.29B-17.32%3.29B-2.54%3.87B
-Including:Financial assets designated as fair value through profit or loss, Total -----32.65%262M-34.25%263M-34.25%263M-52.31%237M-31.51%263M30.54%389M70.21%400M70.21%400M106.22%497M
-Including:Available-for-sale securities 240.65%419M43.53%122M36.47%116M36.47%116M6.67%96M43.02%123M-5.56%85M-10.53%85M-10.53%85M0.00%90M
-Including:Held to maturity investments ------0--0--0--0--0--0--0--0--0
Financial assets ----2.44%42M54.76%65M54.76%65M29.03%40M-20.51%62M-65.83%41M-57.58%42M-57.58%42M-68.04%31M
Non current note receivables 35.45%1.45B-2.29%1.07B-1.25%1.1B-1.25%1.1B-6.52%1.05B-5.30%1.07B-4.38%1.09B-1.84%1.12B-1.84%1.12B-2.10%1.12B
-Goodwill 14.45%11.96B14.84%11.98B10.94%11.12B10.94%11.12B11.58%11.1B3.94%10.45B4.25%10.44B-0.69%10.02B-0.69%10.02B-1.54%9.95B
Defined pension benefit -----26.87%49M-6.25%45M-6.25%45M-66.67%31M-68.10%52M-73.83%67M-79.92%48M-79.92%48M-50.79%93M
Regulatory assets 9.30%1.09B10.52%1.04B5.01%1.19B5.01%1.19B3.48%982M1.63%1B-4.18%941M1.07%1.14B1.07%1.14B-0.21%949M
Non current deferred assets -----6.25%90M-3.19%91M-3.19%91M6.10%87M3.37%92M11.63%96M27.03%94M27.03%94M12.33%82M
Total assets --------5.88%72M5.88%72M------------0.00%68M0.00%68M----
Liabilities
Current liabilities
Current debt and capital lease obligation -49.30%1.26B-26.13%1B-74.87%428M-74.87%428M259.86%1.53B2,187.16%2.49B2,085.48%1.36B2,560.94%1.7B2,560.94%1.7B439.24%426M
-Current debt -48.20%1.26B-27.56%941M-77.41%372M-77.41%372M300.00%1.48B4,780.00%2.44B--1.3B--1.65B--1.65B--370M
-Current capital lease obligation ----7.14%60M0.00%56M0.00%56M-5.36%53M-10.17%53M-9.68%56M-12.50%56M-12.50%56M-29.11%56M
-accounts payable 537.89%1.03B16.94%145M-23.63%181M-23.63%181M-8.02%149M5.23%161M-32.24%124M4.41%237M4.41%237M3.18%162M
-Total tax payable -36.39%3.03B-11.80%4.25B-11.10%4.39B-11.10%4.39B-21.14%4.31B-16.56%4.77B-18.17%4.81B-13.93%4.94B-13.93%4.94B-5.74%5.46B
-Other payable 68.02%620M6.89%388M5.06%374M5.06%374M6.07%367M5.73%369M3.42%363M-0.28%356M-0.28%356M-2.26%346M
Current accrued expenses ----2.12%627M-4.32%798M-4.32%798M-7.08%656M-8.32%617M-14.72%614M-12.21%834M-12.21%834M-15.35%706M
Current provisions ----8.25%105M-14.81%92M-14.81%92M-15.00%85M-5.05%94M-10.19%97M0.93%108M0.93%108M-1.96%100M
Current deferred liabilities 8.70%1.02B11.27%928M11.96%992M11.96%992M11.71%935M7.41%942M1.21%834M1.37%886M1.37%886M-0.12%837M
Current liabilities -24.20%3.73B-5.53%3.54B-33.90%3.23B-33.90%3.23B12.51%3.85B80.21%4.92B61.22%3.74B89.50%4.89B89.50%4.89B9.93%3.42B
Non current liabilities
-Long term debt ----25.73%215M16.76%209M16.76%209M0.59%171M-8.29%177M-14.07%171M-9.14%179M-9.14%179M-10.05%170M
Non current accrued expenses 8.46%436M12.47%451M7.97%447M7.97%447M-4.59%395M-9.87%402M-16.28%401M-17.53%414M-17.53%414M-12.47%414M
Derivative product liabilities ------0--0--0--0--0--0--0--0--0
Long term provisions -41.23%1.85B-7.61%2.88B-6.71%2.91B-6.71%2.91B-22.22%2.88B-16.60%3.14B-18.00%3.12B-17.75%3.11B-17.75%3.11B-2.17%3.7B
Employee benefits -----3.31%525M1.71%535M1.71%535M-4.26%562M-5.44%521M11.04%543M3.95%526M3.95%526M5.77%587M
Total non current liabilities -30.20%6.76B-9.06%7.78B-22.45%7.62B-22.45%7.62B-8.18%8.16B14.71%9.69B4.29%8.56B18.17%9.83B18.17%9.83B-0.27%8.88B
Shareholders'equity
Share capital 82.46%3.42B-49.67%1.99B-50.80%1.9B-50.80%1.9B-50.98%1.9B-51.72%1.88B1.36%3.96B1.34%3.86B1.34%3.86B2.24%3.87B
-common stock 82.46%3.42B-49.67%1.99B-52.29%1.79B-52.29%1.79B-50.98%1.9B-51.72%1.88B1.36%3.96B1.38%3.75B1.38%3.75B2.24%3.87B
Additional paid-in capital -----2.49%1.41B-1.96%1.5B-1.96%1.5B-2.55%1.49B-6.10%1.49B-8.61%1.44B-8.85%1.53B-8.85%1.53B-8.77%1.53B
Retained earnings --------23.46%100M23.46%100M20.00%102M24.00%93M10.53%84M15.71%81M15.71%81M26.87%85M
Gains losses not affecting retained earnings -8.37%-1.09B1.19%-1.08B11.60%-1.02B11.60%-1.02B14.14%-1.13B7.81%-1B-30.70%-1.09B-42.42%-1.16B-42.42%-1.16B-59.98%-1.32B
Other equity interest 0.42%474M1.31%464M-35.82%43M-35.82%43M2.33%439M13.46%472M2.92%458M-35.58%67M-35.58%67M-7.34%429M
Noncontrolling interests -93.39%230M-81.71%836M-67.25%2.03B-67.25%2.03B-70.47%1.8B-47.89%3.48B-39.40%4.57B-7.97%6.2B-7.97%6.2B-15.60%6.1B
Total equity -12.02%18.38B-10.55%18.82B-13.94%18.68B-13.94%18.68B-8.57%19.35B-4.17%20.89B-7.86%21.04B-1.98%21.71B-1.98%21.71B-8.39%21.16B

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.

Heat List
CA
Overall
Symbol
Latest Price
% Chg