US Stock MarketDetailed Quotes

VST Vistra Energy

Watchlist
  • 163.950
  • +1.590+0.98%
Close Jan 6 16:00 ET
  • 164.800
  • +0.850+0.52%
Post 20:01 ET
55.78BMarket Cap30.88P/E (TTM)

Vistra Energy 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
-71.45%905M
152.57%1.62B
106.56%1.07B
665.93%3.49B
665.93%3.49B
492.52%3.17B
-65.63%643M
-49.32%518M
-65.66%455M
-65.66%455M
-Cash and cash equivalents
-71.45%905M
152.57%1.62B
106.56%1.07B
665.93%3.49B
665.93%3.49B
492.52%3.17B
-65.63%643M
-49.32%518M
-65.66%455M
-65.66%455M
Receivables
8.38%2.2B
23.61%2.11B
16.26%1.73B
-19.46%1.68B
-19.46%1.68B
9.44%2.03B
-5.59%1.71B
-19.13%1.49B
6.65%2.09B
6.65%2.09B
-Accounts receivable
8.03%2.18B
24.57%2.09B
18.10%1.73B
-18.70%1.67B
-18.70%1.67B
8.79%2.02B
-6.09%1.68B
14.82%1.46B
47.39%2.06B
47.39%2.06B
-Taxes receivable
66.67%20M
-38.46%16M
-95.83%1M
-77.78%6M
-77.78%6M
--12M
44.44%26M
14.29%24M
80.00%27M
80.00%27M
Inventory
38.54%949M
42.60%964M
55.17%976M
29.82%740M
29.82%740M
16.10%685M
12.48%676M
15.20%629M
-6.56%570M
-6.56%570M
Restricted cash
-26.11%999M
-14.14%1.39B
-14.47%1.66B
-45.72%1.72B
-45.72%1.72B
-56.23%1.35B
-49.36%1.61B
54.13%1.94B
147.20%3.17B
147.20%3.17B
Other current assets
76.06%625M
46.26%411M
26.88%439M
24.23%364M
24.23%364M
21.99%355M
21.65%281M
43.57%346M
50.26%293M
50.26%293M
Total current assets
-20.26%8.53B
10.27%9.83B
-0.83%9.43B
4.69%11.64B
4.69%11.64B
-18.61%10.7B
-41.19%8.91B
-12.84%9.51B
41.01%11.12B
41.01%11.12B
Non current assets
Net PPE
49.18%18.5B
45.18%18.28B
42.77%18.08B
-0.98%12.48B
-0.98%12.48B
-1.51%12.4B
-1.82%12.59B
-2.05%12.66B
-3.75%12.61B
-3.75%12.61B
-Gross PPE
39.75%26.47B
37.08%25.88B
33.69%25.21B
4.05%19.26B
4.05%19.26B
2.93%18.94B
3.20%18.88B
3.59%18.86B
2.71%18.51B
2.71%18.51B
-Accumulated depreciation
-21.88%-7.97B
-20.87%-7.61B
-15.13%-7.13B
-14.77%-6.78B
-14.77%-6.78B
-12.54%-6.54B
-14.94%-6.29B
-17.42%-6.19B
-19.87%-5.91B
-19.87%-5.91B
Goodwill and other intangible assets
11.04%4.96B
15.35%5.19B
13.97%5.16B
-2.07%4.45B
-2.07%4.45B
-2.60%4.47B
-2.81%4.5B
-4.60%4.52B
-3.98%4.54B
-3.98%4.54B
-Goodwill
8.48%2.8B
13.12%2.92B
11.38%2.88B
0.00%2.58B
0.00%2.58B
0.00%2.58B
0.00%2.58B
0.00%2.58B
0.00%2.58B
0.00%2.58B
-Other intangible assets
14.55%2.16B
18.36%2.26B
17.42%2.28B
-4.80%1.86B
-4.80%1.86B
-5.94%1.88B
-6.37%1.91B
-10.10%1.94B
-8.76%1.96B
-8.76%1.96B
Investments and advances
143.40%4.52B
125.07%4.31B
130.29%4.22B
17.70%2.04B
17.70%2.04B
13.44%1.86B
11.66%1.92B
-6.15%1.83B
-15.62%1.73B
-15.62%1.73B
Financial assets
19.25%886M
38.65%922M
-7.86%703M
-17.81%577M
-17.81%577M
-30.04%743M
-28.03%665M
40.00%763M
180.80%702M
180.80%702M
Non current deferred assets
--0
--0
--0
-28.48%1.22B
-28.48%1.22B
-25.05%1.24B
-23.82%1.39B
5.36%1.48B
31.34%1.71B
31.34%1.71B
Other non current assets
-10.52%485M
18.24%603M
68.66%592M
47.14%565M
47.14%565M
7.54%542M
24.69%510M
-1.40%351M
2.67%384M
2.67%384M
Total non current assets
38.13%29.35B
35.89%29.3B
33.05%28.75B
-1.58%21.33B
-1.58%21.33B
-3.56%21.25B
-3.38%21.56B
-1.44%21.61B
-0.59%21.67B
-0.59%21.67B
Total assets
18.57%37.88B
28.40%39.13B
22.69%38.18B
0.55%32.97B
0.55%32.97B
-9.18%31.95B
-18.67%30.47B
-5.23%31.12B
10.46%32.79B
10.46%32.79B
Liabilities
Current liabilities
Payables
15.95%1.49B
22.77%1.5B
9.53%1.22B
-23.08%1.35B
-23.08%1.35B
-17.52%1.29B
-24.49%1.22B
-20.17%1.11B
1.92%1.76B
1.92%1.76B
-accounts payable
14.86%1.29B
22.40%1.32B
9.45%1.1B
-26.29%1.15B
-26.29%1.15B
-19.60%1.12B
-26.90%1.08B
-21.73%1.01B
2.71%1.56B
2.71%1.56B
-Total tax payable
23.60%199M
25.52%182M
10.28%118M
2.01%203M
2.01%203M
0.63%161M
0.00%145M
-1.83%107M
-3.86%199M
-3.86%199M
Current accrued expenses
96.46%222M
37.82%215M
84.07%208M
28.75%206M
28.75%206M
0.89%113M
0.00%156M
39.51%113M
11.89%160M
11.89%160M
Current provisions
-17.07%102M
-10.92%106M
-14.39%119M
-3.13%124M
-3.13%124M
1.65%123M
6.25%119M
33.65%139M
23.08%128M
23.08%128M
Current debt and capital lease obligation
-20.33%1.55B
506.74%2.7B
122.91%1.44B
104.55%2.29B
104.55%2.29B
189.57%1.94B
-78.52%445M
2.70%646M
332.82%1.12B
332.82%1.12B
-Current debt
-20.67%1.54B
515.33%2.69B
123.98%1.43B
105.39%2.29B
105.39%2.29B
191.86%1.94B
-78.85%437M
2.24%638M
338.19%1.11B
338.19%1.11B
-Current capital lease obligation
62.50%13M
37.50%11M
37.50%11M
-12.50%7M
-12.50%7M
0.00%8M
33.33%8M
60.00%8M
60.00%8M
60.00%8M
Other current liabilities
-18.66%4.3B
-2.60%5.54B
-5.88%5.79B
-18.44%5.85B
-18.44%5.85B
-44.08%5.28B
-46.07%5.69B
-19.67%6.15B
98.42%7.17B
98.42%7.17B
Current liabilities
-12.44%7.66B
31.88%10.06B
7.51%8.78B
-4.97%9.82B
-4.97%9.82B
-26.56%8.75B
-47.40%7.63B
-17.26%8.16B
76.91%10.34B
76.91%10.34B
Non current liabilities
Long term provisions
65.28%3.88B
64.82%3.85B
64.90%3.81B
4.55%2.41B
4.55%2.41B
0.43%2.35B
-0.17%2.33B
-9.88%2.31B
-1.58%2.31B
-1.58%2.31B
Long term debt and capital lease obligation
18.51%14.26B
20.55%14.24B
22.69%14.98B
1.44%12.39B
1.44%12.39B
-1.49%12.04B
-3.38%11.81B
13.58%12.21B
13.63%12.22B
13.63%12.22B
-Long term debt
18.60%13.95B
20.96%13.95B
23.16%14.69B
1.53%12.12B
1.53%12.12B
-1.58%11.76B
-3.51%11.53B
13.91%11.93B
13.90%11.93B
13.90%11.93B
-Long term capital lease obligation
14.75%319M
3.56%291M
2.50%287M
-2.48%275M
-2.48%275M
2.58%278M
2.18%281M
1.08%280M
3.30%282M
3.30%282M
Non current deferred liabilities
83,800.00%839M
24,900.00%250M
637.50%118M
-92.86%1M
-92.86%1M
-92.86%1M
-92.31%1M
23.08%16M
7.69%14M
7.69%14M
Non current accrued expenses
-62.07%55M
-65.68%58M
-87.38%39M
-78.44%58M
-78.44%58M
-38.03%145M
-10.11%169M
291.14%309M
52.84%269M
52.84%269M
Employee benefits
0.00%274M
1.84%277M
2.95%279M
3.66%283M
3.66%283M
-9.87%274M
-12.82%272M
-12.86%271M
-13.33%273M
-13.33%273M
Derivative product liabilities
-27.60%1.14B
34.81%2.1B
5.46%1.89B
-2.20%1.69B
-2.20%1.69B
-12.59%1.58B
-5.82%1.55B
61.91%1.79B
114.68%1.73B
114.68%1.73B
Other non current liabilities
2.13%623M
-1.12%617M
227.45%668M
189.15%613M
189.15%613M
86.54%610M
87.95%624M
-44.72%204M
-50.12%212M
-50.12%212M
Total non current liabilities
22.00%21.57B
24.55%21.76B
24.69%22.12B
1.65%17.82B
1.65%17.82B
0.07%17.68B
-0.54%17.47B
13.23%17.74B
12.76%17.53B
12.76%17.53B
Total liabilities
10.60%29.23B
26.78%31.82B
19.28%30.89B
-0.81%27.64B
-0.81%27.64B
-10.65%26.42B
-21.73%25.1B
1.45%25.9B
30.28%27.87B
30.28%27.87B
Shareholders'equity
Share capital
23.74%2.48B
23.74%2.48B
23.74%2.48B
23.74%2.48B
23.74%2.48B
0.00%2.01B
0.00%2.01B
0.00%2.01B
0.00%2.01B
0.00%2.01B
-common stock
0.00%5M
0.00%5M
0.00%5M
0.00%5M
0.00%5M
0.00%5M
0.00%5M
0.00%5M
0.00%5M
0.00%5M
-Preferred stock
23.80%2.48B
23.80%2.48B
23.80%2.48B
23.80%2.48B
23.80%2.48B
0.00%2B
0.00%2B
0.00%2B
0.00%2B
0.00%2B
Retained earnings
67.09%-759M
6.05%-2.53B
9.68%-2.76B
28.27%-2.61B
28.27%-2.61B
29.78%-2.31B
29.83%-2.7B
-29.41%-3.06B
-85.49%-3.64B
-85.49%-3.64B
Paid-in capital
-6.74%9.4B
9.25%10.92B
9.30%10.88B
1.68%10.1B
1.68%10.1B
1.53%10.08B
1.04%9.99B
1.10%9.95B
1.06%9.93B
1.06%9.93B
Less: Treasury stock
32.87%5.68B
33.45%5.28B
33.49%4.95B
37.32%4.66B
37.32%4.66B
40.17%4.28B
49.53%3.96B
70.78%3.71B
117.91%3.4B
117.91%3.4B
Gains losses not affecting retained earnings
-30.00%7M
-50.00%6M
-25.00%6M
-14.29%6M
-14.29%6M
200.00%10M
175.00%12M
150.00%8M
143.75%7M
143.75%7M
Total stockholders'equity
-1.18%5.44B
4.37%5.59B
8.75%5.66B
8.26%5.31B
8.26%5.31B
-1.36%5.51B
-0.61%5.36B
-28.75%5.2B
-40.88%4.9B
-40.88%4.9B
Noncontrolling interests
21,313.33%3.21B
11,326.67%1.71B
10,753.33%1.63B
-6.25%15M
-6.25%15M
-21.05%15M
36.36%15M
650.00%15M
1,500.00%16M
1,500.00%16M
Total equity
56.73%8.65B
35.97%7.31B
39.65%7.28B
8.21%5.32B
8.21%5.32B
-1.43%5.52B
-0.54%5.37B
-28.57%5.22B
-40.69%4.92B
-40.69%4.92B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
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 -71.45%905M152.57%1.62B106.56%1.07B665.93%3.49B665.93%3.49B492.52%3.17B-65.63%643M-49.32%518M-65.66%455M-65.66%455M
-Cash and cash equivalents -71.45%905M152.57%1.62B106.56%1.07B665.93%3.49B665.93%3.49B492.52%3.17B-65.63%643M-49.32%518M-65.66%455M-65.66%455M
Receivables 8.38%2.2B23.61%2.11B16.26%1.73B-19.46%1.68B-19.46%1.68B9.44%2.03B-5.59%1.71B-19.13%1.49B6.65%2.09B6.65%2.09B
-Accounts receivable 8.03%2.18B24.57%2.09B18.10%1.73B-18.70%1.67B-18.70%1.67B8.79%2.02B-6.09%1.68B14.82%1.46B47.39%2.06B47.39%2.06B
-Taxes receivable 66.67%20M-38.46%16M-95.83%1M-77.78%6M-77.78%6M--12M44.44%26M14.29%24M80.00%27M80.00%27M
Inventory 38.54%949M42.60%964M55.17%976M29.82%740M29.82%740M16.10%685M12.48%676M15.20%629M-6.56%570M-6.56%570M
Restricted cash -26.11%999M-14.14%1.39B-14.47%1.66B-45.72%1.72B-45.72%1.72B-56.23%1.35B-49.36%1.61B54.13%1.94B147.20%3.17B147.20%3.17B
Other current assets 76.06%625M46.26%411M26.88%439M24.23%364M24.23%364M21.99%355M21.65%281M43.57%346M50.26%293M50.26%293M
Total current assets -20.26%8.53B10.27%9.83B-0.83%9.43B4.69%11.64B4.69%11.64B-18.61%10.7B-41.19%8.91B-12.84%9.51B41.01%11.12B41.01%11.12B
Non current assets
Net PPE 49.18%18.5B45.18%18.28B42.77%18.08B-0.98%12.48B-0.98%12.48B-1.51%12.4B-1.82%12.59B-2.05%12.66B-3.75%12.61B-3.75%12.61B
-Gross PPE 39.75%26.47B37.08%25.88B33.69%25.21B4.05%19.26B4.05%19.26B2.93%18.94B3.20%18.88B3.59%18.86B2.71%18.51B2.71%18.51B
-Accumulated depreciation -21.88%-7.97B-20.87%-7.61B-15.13%-7.13B-14.77%-6.78B-14.77%-6.78B-12.54%-6.54B-14.94%-6.29B-17.42%-6.19B-19.87%-5.91B-19.87%-5.91B
Goodwill and other intangible assets 11.04%4.96B15.35%5.19B13.97%5.16B-2.07%4.45B-2.07%4.45B-2.60%4.47B-2.81%4.5B-4.60%4.52B-3.98%4.54B-3.98%4.54B
-Goodwill 8.48%2.8B13.12%2.92B11.38%2.88B0.00%2.58B0.00%2.58B0.00%2.58B0.00%2.58B0.00%2.58B0.00%2.58B0.00%2.58B
-Other intangible assets 14.55%2.16B18.36%2.26B17.42%2.28B-4.80%1.86B-4.80%1.86B-5.94%1.88B-6.37%1.91B-10.10%1.94B-8.76%1.96B-8.76%1.96B
Investments and advances 143.40%4.52B125.07%4.31B130.29%4.22B17.70%2.04B17.70%2.04B13.44%1.86B11.66%1.92B-6.15%1.83B-15.62%1.73B-15.62%1.73B
Financial assets 19.25%886M38.65%922M-7.86%703M-17.81%577M-17.81%577M-30.04%743M-28.03%665M40.00%763M180.80%702M180.80%702M
Non current deferred assets --0--0--0-28.48%1.22B-28.48%1.22B-25.05%1.24B-23.82%1.39B5.36%1.48B31.34%1.71B31.34%1.71B
Other non current assets -10.52%485M18.24%603M68.66%592M47.14%565M47.14%565M7.54%542M24.69%510M-1.40%351M2.67%384M2.67%384M
Total non current assets 38.13%29.35B35.89%29.3B33.05%28.75B-1.58%21.33B-1.58%21.33B-3.56%21.25B-3.38%21.56B-1.44%21.61B-0.59%21.67B-0.59%21.67B
Total assets 18.57%37.88B28.40%39.13B22.69%38.18B0.55%32.97B0.55%32.97B-9.18%31.95B-18.67%30.47B-5.23%31.12B10.46%32.79B10.46%32.79B
Liabilities
Current liabilities
Payables 15.95%1.49B22.77%1.5B9.53%1.22B-23.08%1.35B-23.08%1.35B-17.52%1.29B-24.49%1.22B-20.17%1.11B1.92%1.76B1.92%1.76B
-accounts payable 14.86%1.29B22.40%1.32B9.45%1.1B-26.29%1.15B-26.29%1.15B-19.60%1.12B-26.90%1.08B-21.73%1.01B2.71%1.56B2.71%1.56B
-Total tax payable 23.60%199M25.52%182M10.28%118M2.01%203M2.01%203M0.63%161M0.00%145M-1.83%107M-3.86%199M-3.86%199M
Current accrued expenses 96.46%222M37.82%215M84.07%208M28.75%206M28.75%206M0.89%113M0.00%156M39.51%113M11.89%160M11.89%160M
Current provisions -17.07%102M-10.92%106M-14.39%119M-3.13%124M-3.13%124M1.65%123M6.25%119M33.65%139M23.08%128M23.08%128M
Current debt and capital lease obligation -20.33%1.55B506.74%2.7B122.91%1.44B104.55%2.29B104.55%2.29B189.57%1.94B-78.52%445M2.70%646M332.82%1.12B332.82%1.12B
-Current debt -20.67%1.54B515.33%2.69B123.98%1.43B105.39%2.29B105.39%2.29B191.86%1.94B-78.85%437M2.24%638M338.19%1.11B338.19%1.11B
-Current capital lease obligation 62.50%13M37.50%11M37.50%11M-12.50%7M-12.50%7M0.00%8M33.33%8M60.00%8M60.00%8M60.00%8M
Other current liabilities -18.66%4.3B-2.60%5.54B-5.88%5.79B-18.44%5.85B-18.44%5.85B-44.08%5.28B-46.07%5.69B-19.67%6.15B98.42%7.17B98.42%7.17B
Current liabilities -12.44%7.66B31.88%10.06B7.51%8.78B-4.97%9.82B-4.97%9.82B-26.56%8.75B-47.40%7.63B-17.26%8.16B76.91%10.34B76.91%10.34B
Non current liabilities
Long term provisions 65.28%3.88B64.82%3.85B64.90%3.81B4.55%2.41B4.55%2.41B0.43%2.35B-0.17%2.33B-9.88%2.31B-1.58%2.31B-1.58%2.31B
Long term debt and capital lease obligation 18.51%14.26B20.55%14.24B22.69%14.98B1.44%12.39B1.44%12.39B-1.49%12.04B-3.38%11.81B13.58%12.21B13.63%12.22B13.63%12.22B
-Long term debt 18.60%13.95B20.96%13.95B23.16%14.69B1.53%12.12B1.53%12.12B-1.58%11.76B-3.51%11.53B13.91%11.93B13.90%11.93B13.90%11.93B
-Long term capital lease obligation 14.75%319M3.56%291M2.50%287M-2.48%275M-2.48%275M2.58%278M2.18%281M1.08%280M3.30%282M3.30%282M
Non current deferred liabilities 83,800.00%839M24,900.00%250M637.50%118M-92.86%1M-92.86%1M-92.86%1M-92.31%1M23.08%16M7.69%14M7.69%14M
Non current accrued expenses -62.07%55M-65.68%58M-87.38%39M-78.44%58M-78.44%58M-38.03%145M-10.11%169M291.14%309M52.84%269M52.84%269M
Employee benefits 0.00%274M1.84%277M2.95%279M3.66%283M3.66%283M-9.87%274M-12.82%272M-12.86%271M-13.33%273M-13.33%273M
Derivative product liabilities -27.60%1.14B34.81%2.1B5.46%1.89B-2.20%1.69B-2.20%1.69B-12.59%1.58B-5.82%1.55B61.91%1.79B114.68%1.73B114.68%1.73B
Other non current liabilities 2.13%623M-1.12%617M227.45%668M189.15%613M189.15%613M86.54%610M87.95%624M-44.72%204M-50.12%212M-50.12%212M
Total non current liabilities 22.00%21.57B24.55%21.76B24.69%22.12B1.65%17.82B1.65%17.82B0.07%17.68B-0.54%17.47B13.23%17.74B12.76%17.53B12.76%17.53B
Total liabilities 10.60%29.23B26.78%31.82B19.28%30.89B-0.81%27.64B-0.81%27.64B-10.65%26.42B-21.73%25.1B1.45%25.9B30.28%27.87B30.28%27.87B
Shareholders'equity
Share capital 23.74%2.48B23.74%2.48B23.74%2.48B23.74%2.48B23.74%2.48B0.00%2.01B0.00%2.01B0.00%2.01B0.00%2.01B0.00%2.01B
-common stock 0.00%5M0.00%5M0.00%5M0.00%5M0.00%5M0.00%5M0.00%5M0.00%5M0.00%5M0.00%5M
-Preferred stock 23.80%2.48B23.80%2.48B23.80%2.48B23.80%2.48B23.80%2.48B0.00%2B0.00%2B0.00%2B0.00%2B0.00%2B
Retained earnings 67.09%-759M6.05%-2.53B9.68%-2.76B28.27%-2.61B28.27%-2.61B29.78%-2.31B29.83%-2.7B-29.41%-3.06B-85.49%-3.64B-85.49%-3.64B
Paid-in capital -6.74%9.4B9.25%10.92B9.30%10.88B1.68%10.1B1.68%10.1B1.53%10.08B1.04%9.99B1.10%9.95B1.06%9.93B1.06%9.93B
Less: Treasury stock 32.87%5.68B33.45%5.28B33.49%4.95B37.32%4.66B37.32%4.66B40.17%4.28B49.53%3.96B70.78%3.71B117.91%3.4B117.91%3.4B
Gains losses not affecting retained earnings -30.00%7M-50.00%6M-25.00%6M-14.29%6M-14.29%6M200.00%10M175.00%12M150.00%8M143.75%7M143.75%7M
Total stockholders'equity -1.18%5.44B4.37%5.59B8.75%5.66B8.26%5.31B8.26%5.31B-1.36%5.51B-0.61%5.36B-28.75%5.2B-40.88%4.9B-40.88%4.9B
Noncontrolling interests 21,313.33%3.21B11,326.67%1.71B10,753.33%1.63B-6.25%15M-6.25%15M-21.05%15M36.36%15M650.00%15M1,500.00%16M1,500.00%16M
Total equity 56.73%8.65B35.97%7.31B39.65%7.28B8.21%5.32B8.21%5.32B-1.43%5.52B-0.54%5.37B-28.57%5.22B-40.69%4.92B-40.69%4.92B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----------------Unqualified Opinion--
Trending US Stocks
Fed Rate Cut Beneficiaries Fed Rate Cut Beneficiaries

Stocks that are expected to benefit from a Federal Reserve rate cut. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in Fed Rate Cut Beneficiaries, ranked from highest to lowest based on real-time market data. Stocks that are expected to benefit from a Federal Reserve rate cut. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in Fed Rate Cut Beneficiaries, ranked from highest to lowest based on real-time market data.