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TRI Thomson Reuters Corp

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  • 220.080
  • +3.060+1.41%
15min DelayMarket Closed Aug 8 16:00 ET
98.97BMarket Cap30.76P/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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
1.44%706M
63.40%433M
17.41%2.33B
5.61%715M
23.76%651M
56.40%696M
-20.66%265M
7.66%1.98B
72.26%677M
-6.07%526M
Net income from continuing operations
-5.06%844M
-37.04%464M
90.22%2.65B
263.13%650M
39.62%370M
1,352.11%889M
-27.60%737M
-75.54%1.39B
201.13%179M
209.96%265M
Operating gains losses
92.44%-58M
103.89%17M
-1,164.71%-1.08B
-167.57%-100M
27.54%88M
-242.30%-767M
45.24%-437M
98.61%-85M
-72.79%148M
-89.72%69M
Depreciation and amortization
15.08%206M
19.08%206M
0.14%725M
2.72%189M
3.37%184M
-2.72%179M
-2.81%173M
-5.97%724M
-6.12%184M
-5.32%178M
Deferred tax
-6,155.56%-545M
-18.11%-150M
-385.00%-388M
-116.81%-19M
-42.61%-251M
104.92%9M
-176.51%-127M
-112.08%-80M
204.63%113M
-15.03%-176M
Other non cashItems
-52.05%70M
4,000.00%39M
-258.33%-38M
-550.00%-45M
-66.67%3M
14,500.00%146M
97.44%-1M
1,300.00%24M
42.86%10M
250.00%9M
Change In working capital
-21.25%189M
-78.75%-143M
5,612.50%457M
-6.98%40M
41.99%257M
1,060.00%240M
58.12%-80M
-99.04%8M
162.32%43M
79.21%181M
-Change in receivables
----
12.22%101M
-196.43%-83M
-43.48%-132M
-33.33%18M
----
--90M
-136.84%-28M
6.12%-92M
-62.50%27M
-Change in prepaid assets
----
-87.50%3M
2,650.00%51M
85.29%-5M
229.41%22M
----
--24M
96.97%-2M
53.42%-34M
-312.50%-17M
-Change in payables and accrued expense
----
-19.38%-154M
5,188.89%476M
0.65%156M
31.35%243M
----
---129M
-98.95%9M
64.89%155M
140.26%185M
-Change in other current assets
----
----
--0
--0
--0
----
----
520.00%42M
110.00%2M
437.50%27M
-Change in other current liabilities
----
----
--0
--0
--0
----
----
-520.00%-42M
-109.52%-2M
-485.71%-27M
-Change in other working capital
----
-43.08%-93M
-55.17%13M
50.00%21M
-85.71%-26M
----
---65M
185.29%29M
100.00%14M
74.55%-14M
Cash from discontinued investing activities
0.00%-1M
-150.00%-1M
120.90%14M
-900.00%-10M
360.00%23M
91.67%-1M
103.39%2M
1.47%-67M
-125.00%-1M
119.23%5M
Operating cash flow
1.44%705M
61.80%432M
22.25%2.34B
4.29%705M
26.93%674M
60.51%695M
-2.91%267M
8.01%1.92B
70.28%676M
-0.56%531M
Investing cash flow
Cash flow from continuing investing activities
-80.17%324M
-61.45%643M
887.89%3.51B
-448.44%-223M
567.74%435M
786.55%1.63B
1,031.84%1.67B
-76.98%-446M
121.40%64M
72.24%-93M
Capital expenditure reported
-19.69%-152M
-3.57%-145M
8.57%-544M
2.22%-132M
4.61%-145M
7.30%-127M
18.13%-140M
-22.18%-595M
-9.76%-135M
-16.03%-152M
Net business purchase and sale
-69.97%591M
-55.41%804M
6,702.94%4.63B
-92.20%16M
2,367.65%839M
1,307.36%1.97B
22,637.50%1.8B
580.00%68M
1,676.92%205M
209.09%34M
Net other investing changes
44.44%-115M
-420.00%-16M
-801.23%-568M
-1,683.33%-107M
-1,136.00%-259M
-433.87%-207M
--5M
110.53%81M
96.32%-6M
111.63%25M
Cash from discontinued investing activities
0
93.75%-1M
0
0
93.75%-1M
93.65%-16M
0
0
Investing cash flow
-80.16%324M
-61.45%643M
860.39%3.51B
-448.44%-223M
567.74%435M
742.91%1.63B
1,031.84%1.67B
8.33%-462M
121.40%64M
82.94%-93M
Financing cash flow
Cash flow from continuing financing activities
-7.33%-1.25B
64.26%-470M
-386.68%-5.63B
-1,189.39%-1.7B
-232.34%-1.45B
-215.22%-1.16B
-497.73%-1.32B
49.14%-1.16B
84.08%-132M
46.63%-436M
Net issuance payments of debt
-164.37%-719M
232.89%501M
-265.20%-1.61B
-271.28%-1.13B
-506.29%-1.23B
3,185.29%1.12B
-2,117.65%-377M
996.33%977M
1,595.45%658M
1,472.73%302M
Net common stock issuance
85.97%-287M
50.97%-352M
-143.68%-3.12B
38.18%-361M
--0
-954.12%-2.05B
---718M
8.43%-1.28B
2.18%-584M
16.42%-504M
Cash dividends paid
-2.16%-237M
-5.78%-238M
-6.57%-892M
-3.85%-216M
-4.78%-219M
-10.48%-232M
-7.14%-225M
-8.00%-837M
-8.90%-208M
-7.18%-209M
Net other financing activities
---2M
-7,720.00%-381M
128.57%4M
0.00%2M
88.00%-3M
----
-28.57%5M
-227.27%-14M
-33.33%2M
-933.33%-25M
Cash from discontinued financing activities
Financing cash flow
-7.33%-1.25B
64.26%-470M
-386.68%-5.63B
-1,189.39%-1.7B
-232.34%-1.45B
-215.22%-1.16B
-497.73%-1.32B
49.14%-1.16B
84.08%-132M
46.63%-436M
Net cash flow
Beginning cash position
12.49%1.9B
21.42%1.3B
37.40%1.07B
448.15%2.52B
519.96%2.86B
158.41%1.69B
37.40%1.07B
-56.46%778M
-69.62%459M
-80.32%461M
Current changes in cash
-118.49%-216M
-2.42%605M
-23.23%228M
-300.66%-1.22B
-17,100.00%-340M
717.99%1.17B
600.00%620M
129.58%297M
183.17%608M
100.24%2M
Effect of exchange rate changes
---3M
-300.00%-2M
116.67%1M
0.00%2M
50.00%-2M
--0
--1M
-20.00%-6M
200.00%2M
-33.33%-4M
End cash Position
-41.15%1.68B
12.49%1.9B
21.42%1.3B
21.42%1.3B
448.15%2.52B
519.96%2.86B
158.41%1.69B
37.40%1.07B
37.40%1.07B
-69.62%459M
Free cash from
-2.64%553M
125.98%287M
36.14%1.8B
5.91%573M
39.58%529M
91.89%568M
22.12%127M
2.64%1.32B
97.45%541M
-5.96%379M
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
--
--
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 1.44%706M63.40%433M17.41%2.33B5.61%715M23.76%651M56.40%696M-20.66%265M7.66%1.98B72.26%677M-6.07%526M
Net income from continuing operations -5.06%844M-37.04%464M90.22%2.65B263.13%650M39.62%370M1,352.11%889M-27.60%737M-75.54%1.39B201.13%179M209.96%265M
Operating gains losses 92.44%-58M103.89%17M-1,164.71%-1.08B-167.57%-100M27.54%88M-242.30%-767M45.24%-437M98.61%-85M-72.79%148M-89.72%69M
Depreciation and amortization 15.08%206M19.08%206M0.14%725M2.72%189M3.37%184M-2.72%179M-2.81%173M-5.97%724M-6.12%184M-5.32%178M
Deferred tax -6,155.56%-545M-18.11%-150M-385.00%-388M-116.81%-19M-42.61%-251M104.92%9M-176.51%-127M-112.08%-80M204.63%113M-15.03%-176M
Other non cashItems -52.05%70M4,000.00%39M-258.33%-38M-550.00%-45M-66.67%3M14,500.00%146M97.44%-1M1,300.00%24M42.86%10M250.00%9M
Change In working capital -21.25%189M-78.75%-143M5,612.50%457M-6.98%40M41.99%257M1,060.00%240M58.12%-80M-99.04%8M162.32%43M79.21%181M
-Change in receivables ----12.22%101M-196.43%-83M-43.48%-132M-33.33%18M------90M-136.84%-28M6.12%-92M-62.50%27M
-Change in prepaid assets -----87.50%3M2,650.00%51M85.29%-5M229.41%22M------24M96.97%-2M53.42%-34M-312.50%-17M
-Change in payables and accrued expense -----19.38%-154M5,188.89%476M0.65%156M31.35%243M-------129M-98.95%9M64.89%155M140.26%185M
-Change in other current assets ----------0--0--0--------520.00%42M110.00%2M437.50%27M
-Change in other current liabilities ----------0--0--0---------520.00%-42M-109.52%-2M-485.71%-27M
-Change in other working capital -----43.08%-93M-55.17%13M50.00%21M-85.71%-26M-------65M185.29%29M100.00%14M74.55%-14M
Cash from discontinued investing activities 0.00%-1M-150.00%-1M120.90%14M-900.00%-10M360.00%23M91.67%-1M103.39%2M1.47%-67M-125.00%-1M119.23%5M
Operating cash flow 1.44%705M61.80%432M22.25%2.34B4.29%705M26.93%674M60.51%695M-2.91%267M8.01%1.92B70.28%676M-0.56%531M
Investing cash flow
Cash flow from continuing investing activities -80.17%324M-61.45%643M887.89%3.51B-448.44%-223M567.74%435M786.55%1.63B1,031.84%1.67B-76.98%-446M121.40%64M72.24%-93M
Capital expenditure reported -19.69%-152M-3.57%-145M8.57%-544M2.22%-132M4.61%-145M7.30%-127M18.13%-140M-22.18%-595M-9.76%-135M-16.03%-152M
Net business purchase and sale -69.97%591M-55.41%804M6,702.94%4.63B-92.20%16M2,367.65%839M1,307.36%1.97B22,637.50%1.8B580.00%68M1,676.92%205M209.09%34M
Net other investing changes 44.44%-115M-420.00%-16M-801.23%-568M-1,683.33%-107M-1,136.00%-259M-433.87%-207M--5M110.53%81M96.32%-6M111.63%25M
Cash from discontinued investing activities 093.75%-1M0093.75%-1M93.65%-16M00
Investing cash flow -80.16%324M-61.45%643M860.39%3.51B-448.44%-223M567.74%435M742.91%1.63B1,031.84%1.67B8.33%-462M121.40%64M82.94%-93M
Financing cash flow
Cash flow from continuing financing activities -7.33%-1.25B64.26%-470M-386.68%-5.63B-1,189.39%-1.7B-232.34%-1.45B-215.22%-1.16B-497.73%-1.32B49.14%-1.16B84.08%-132M46.63%-436M
Net issuance payments of debt -164.37%-719M232.89%501M-265.20%-1.61B-271.28%-1.13B-506.29%-1.23B3,185.29%1.12B-2,117.65%-377M996.33%977M1,595.45%658M1,472.73%302M
Net common stock issuance 85.97%-287M50.97%-352M-143.68%-3.12B38.18%-361M--0-954.12%-2.05B---718M8.43%-1.28B2.18%-584M16.42%-504M
Cash dividends paid -2.16%-237M-5.78%-238M-6.57%-892M-3.85%-216M-4.78%-219M-10.48%-232M-7.14%-225M-8.00%-837M-8.90%-208M-7.18%-209M
Net other financing activities ---2M-7,720.00%-381M128.57%4M0.00%2M88.00%-3M-----28.57%5M-227.27%-14M-33.33%2M-933.33%-25M
Cash from discontinued financing activities
Financing cash flow -7.33%-1.25B64.26%-470M-386.68%-5.63B-1,189.39%-1.7B-232.34%-1.45B-215.22%-1.16B-497.73%-1.32B49.14%-1.16B84.08%-132M46.63%-436M
Net cash flow
Beginning cash position 12.49%1.9B21.42%1.3B37.40%1.07B448.15%2.52B519.96%2.86B158.41%1.69B37.40%1.07B-56.46%778M-69.62%459M-80.32%461M
Current changes in cash -118.49%-216M-2.42%605M-23.23%228M-300.66%-1.22B-17,100.00%-340M717.99%1.17B600.00%620M129.58%297M183.17%608M100.24%2M
Effect of exchange rate changes ---3M-300.00%-2M116.67%1M0.00%2M50.00%-2M--0--1M-20.00%-6M200.00%2M-33.33%-4M
End cash Position -41.15%1.68B12.49%1.9B21.42%1.3B21.42%1.3B448.15%2.52B519.96%2.86B158.41%1.69B37.40%1.07B37.40%1.07B-69.62%459M
Free cash from -2.64%553M125.98%287M36.14%1.8B5.91%573M39.58%529M91.89%568M22.12%127M2.64%1.32B97.45%541M-5.96%379M
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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