US Stock MarketDetailed Quotes

WTW Willis Towers Watson

Watchlist
  • 320.400
  • -1.880-0.58%
Close Feb 14 16:00 ET
  • 320.400
  • 0.0000.00%
Post 20:01 ET
31.98BMarket Cap-333.75P/E (TTM)

Willis Towers Watson Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(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
Assets
Current assets
Cash, cash equivalents and short term investments
32.72%1.89B
32.72%1.89B
10.02%1.37B
-22.16%1.25B
66.78%1.89B
12.84%1.42B
12.84%1.42B
-16.64%1.25B
-16.56%1.6B
-48.36%1.14B
-Cash and cash equivalents
32.72%1.89B
32.72%1.89B
10.02%1.37B
-22.16%1.25B
66.78%1.89B
12.84%1.42B
12.84%1.42B
-16.64%1.25B
-16.56%1.6B
-48.36%1.14B
Receivables
-10.51%2.49B
-10.51%2.49B
3.47%2.51B
22.71%2.71B
-1.62%2.43B
6.50%2.79B
6.50%2.79B
10.03%2.42B
-4.58%2.21B
1.86%2.47B
-Accounts receivable
57.75%2.49B
57.75%2.49B
11.50%1.45B
10.65%1.56B
7.01%1.51B
7.99%1.58B
7.99%1.58B
7.37%1.3B
6.26%1.41B
2.24%1.41B
-Taxes receivable
----
----
31.19%265M
--177M
----
-2.25%87M
-2.25%87M
2.02%202M
----
-33.62%77M
-Other receivables
----
----
-13.82%798M
21.80%972M
-6.32%919M
5.17%1.12B
5.17%1.12B
16.04%926M
-1.60%798M
5.71%981M
Restricted cash
4.75%9.5B
4.75%9.5B
14.14%9.18B
15.30%9.93B
-18.61%9.94B
-22.93%9.07B
-22.93%9.07B
-28.16%8.04B
-28.19%8.61B
5.00%12.21B
Current deferred assets
----
----
11.76%95M
--91M
----
5.75%92M
5.75%92M
11.84%85M
----
2.63%78M
Other current assets
2,196.23%1.22B
2,196.23%1.22B
76.92%69M
-85.54%58M
781.40%379M
-1.85%53M
-1.85%53M
-36.07%39M
718.37%401M
-8.51%43M
Total current assets
12.45%15.11B
12.45%15.11B
20.95%14.31B
9.46%14.03B
-8.18%14.64B
-15.17%13.43B
-15.17%13.43B
-21.37%11.83B
-21.70%12.82B
-2.84%15.95B
Non current assets
Net PPE
-10.82%1.15B
-10.82%1.15B
0.48%1.25B
-3.86%1.25B
-4.23%1.25B
-1.46%1.29B
-1.46%1.29B
-3.27%1.24B
-5.13%1.3B
-14.36%1.3B
-Gross PPE
-56.53%1.15B
-56.53%1.15B
0.48%1.25B
-3.86%1.25B
-4.23%1.25B
2.45%2.64B
2.45%2.64B
-3.27%1.24B
-5.13%1.3B
-14.36%1.3B
-Accumulated depreciation
----
----
----
----
----
-6.46%-1.35B
-6.46%-1.35B
----
----
----
Goodwill and other intangible assets
-17.34%10.09B
-17.34%10.09B
-16.10%10.24B
-2.15%12.08B
-2.09%12.15B
-1.89%12.21B
-1.89%12.21B
-1.58%12.21B
-1.73%12.35B
-2.26%12.41B
-Goodwill
-13.69%8.8B
-13.69%8.8B
-12.43%8.88B
-0.18%10.18B
-0.07%10.19B
0.22%10.2B
0.22%10.2B
0.54%10.14B
0.43%10.2B
-0.07%10.19B
-Other intangible assets
-35.76%1.3B
-35.76%1.3B
-34.11%1.36B
-11.56%1.9B
-11.39%1.96B
-11.31%2.02B
-11.31%2.02B
-10.80%2.06B
-10.88%2.15B
-11.24%2.21B
Investments and advances
----
----
--91M
----
----
-2.22%88M
-2.22%88M
----
----
----
Long-term notes receivables
----
----
--78M
----
----
8.82%74M
8.82%74M
----
----
----
Non current accounts receivable
----
----
--131M
----
----
20.05%1.04B
20.05%1.04B
----
----
----
Non current deferred assets
----
----
--374M
----
----
18.28%317M
18.28%317M
----
----
----
Non current prepaid assets
----
----
--16M
----
----
-10.00%9M
-10.00%9M
----
----
----
Defined pension benefit
-9.86%530M
-9.86%530M
-30.40%632M
-31.58%611M
-30.71%598M
-28.90%588M
-28.90%588M
-9.92%908M
-10.88%893M
-13.00%863M
Other non current assets
1,544.90%806M
1,544.90%806M
-97.06%42M
16.55%1.66B
15.37%1.61B
-15.52%49M
-15.52%49M
15.03%1.43B
17.74%1.42B
13.45%1.39B
Total non current assets
-19.68%12.58B
-19.68%12.58B
-18.58%12.86B
-2.28%15.59B
-2.29%15.6B
-1.74%15.66B
-1.74%15.66B
-0.95%15.79B
-1.13%15.96B
-2.85%15.96B
Total assets
-4.84%27.68B
-4.84%27.68B
-1.65%27.17B
2.95%29.62B
-5.23%30.24B
-8.43%29.09B
-8.43%29.09B
-10.87%27.62B
-11.49%28.77B
-2.85%31.91B
Liabilities
Current liabilities
Payables
----
----
----
8.17%1.1B
12.21%1.33B
6.45%1.3B
6.45%1.3B
-86.30%155M
12.89%1.02B
-11.80%1.19B
-accounts payable
----
----
----
8.17%1.1B
10.38%1.11B
10.05%1.07B
10.05%1.07B
----
12.89%1.02B
8.21%1B
-Total tax payable
----
----
----
----
45.12%119M
-13.51%128M
-13.51%128M
-66.67%51M
----
-73.80%82M
-Dividends payable
----
----
----
----
3.85%108M
0.98%103M
0.98%103M
1.96%104M
----
-3.70%104M
Current accrued expenses
923.61%2.21B
923.61%2.21B
-5.46%2.03B
----
-10.60%312M
4.85%216M
4.85%216M
757.60%2.14B
----
-7.92%349M
Current debt and capital lease obligation
-84.77%118M
-84.77%118M
-84.11%122M
-88.48%118M
105.04%773M
106.12%775M
106.12%775M
104.26%768M
647.45%1.02B
-49.12%377M
-Current debt
----
----
----
----
160.00%650M
160.00%650M
160.00%650M
159.60%649M
--899M
-58.26%250M
-Current capital lease obligation
-5.60%118M
-5.60%118M
2.52%122M
-5.60%118M
-3.15%123M
-0.79%125M
-0.79%125M
-5.56%119M
-8.76%125M
-10.56%127M
Current deferred liabilities
----
----
----
----
38.46%36M
-25.81%23M
-25.81%23M
20.00%30M
----
-55.17%26M
Other current liabilities
11.32%10.3B
11.32%10.3B
27.03%10.39B
15.17%10.67B
-18.76%10.1B
-22.72%9.25B
-22.72%9.25B
-29.02%8.18B
-28.88%9.26B
4.85%12.43B
Current liabilities
-0.03%12.63B
-0.03%12.63B
10.88%12.54B
5.89%12.67B
-11.89%13.12B
-14.54%12.63B
-14.54%12.63B
-19.95%11.31B
-18.53%11.97B
-0.17%14.89B
Non current liabilities
Long term provisions
-6.58%341M
-6.58%341M
15.56%416M
5.96%409M
3.01%377M
2.24%365M
2.24%365M
-1.37%360M
2.12%386M
-4.94%366M
Long term debt and capital lease obligation
12.49%5.81B
12.49%5.81B
14.10%5.87B
13.70%5.88B
15.39%5.88B
1.23%5.17B
1.23%5.17B
1.00%5.14B
-3.94%5.17B
8.59%5.09B
-Long term debt
16.25%5.31B
16.25%5.31B
16.28%5.31B
16.25%5.31B
18.67%5.31B
2.15%4.57B
2.15%4.57B
2.13%4.57B
-3.28%4.57B
12.50%4.47B
-Long term capital lease obligation
-16.19%502M
-16.19%502M
-3.12%559M
-5.65%568M
-8.21%570M
-5.22%599M
-5.22%599M
-7.09%577M
-8.65%602M
-13.15%621M
Non current deferred liabilities
-93.24%45M
-93.24%45M
-75.31%198M
-8.60%659M
-34.68%550M
-25.17%666M
-25.17%666M
-8.24%802M
-22.05%721M
0.84%842M
Employee benefits
9.24%615M
9.24%615M
12.47%487M
11.73%505M
15.10%526M
17.29%563M
17.29%563M
-21.56%433M
-29.15%452M
-34.53%457M
Other non current liabilities
247.69%226M
247.69%226M
-14.52%53M
-78.11%44M
333.33%221M
140.74%65M
140.74%65M
47.62%62M
367.44%201M
-79.10%51M
Total non current liabilities
2.49%7.04B
2.49%7.04B
3.37%7.06B
8.75%7.53B
10.38%7.55B
-0.43%6.87B
-0.43%6.87B
-1.77%6.83B
-6.39%6.93B
-0.16%6.84B
Total liabilities
0.86%19.66B
0.86%19.66B
8.05%19.6B
6.94%20.21B
-4.88%20.67B
-10.05%19.5B
-10.05%19.5B
-13.95%18.14B
-14.47%18.9B
-0.17%21.73B
Shareholders'equity
Share capital
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
-common stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
-92.56%109M
-92.56%109M
-157.68%-650M
-7.98%1.32B
-17.47%1.46B
-16.89%1.47B
-16.89%1.47B
-33.94%1.13B
-27.50%1.43B
-26.78%1.77B
Paid-in capital
0.72%10.99B
0.72%10.99B
0.50%10.96B
0.30%10.94B
0.37%10.93B
0.31%10.91B
0.31%10.91B
0.44%10.9B
0.51%10.91B
0.59%10.89B
Less: Treasury stock
----
----
--5M
--0
--0
--0
--0
--0
--0
--0
Gains losses not affecting retained earnings
-10.57%-3.16B
-10.57%-3.16B
-7.25%-2.81B
-15.00%-2.92B
-13.12%-2.91B
-8.97%-2.86B
-8.97%-2.86B
3.68%-2.62B
-2.17%-2.54B
-14.54%-2.57B
Total stockholders'equity
-16.60%7.94B
-16.60%7.94B
-20.38%7.49B
-4.71%9.34B
-6.01%9.49B
-4.95%9.52B
-4.95%9.52B
-4.35%9.41B
-5.20%9.8B
-8.25%10.1B
Noncontrolling interests
5.48%77M
5.48%77M
4.00%78M
0.00%78M
-1.25%79M
-5.19%73M
-5.19%73M
0.00%75M
-2.50%78M
12.68%80M
Total equity
-16.43%8.02B
-16.43%8.02B
-20.19%7.57B
-4.68%9.42B
-5.97%9.57B
-4.95%9.59B
-4.95%9.59B
-4.32%9.49B
-5.18%9.88B
-8.12%10.18B
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
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(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
Assets
Current assets
Cash, cash equivalents and short term investments 32.72%1.89B32.72%1.89B10.02%1.37B-22.16%1.25B66.78%1.89B12.84%1.42B12.84%1.42B-16.64%1.25B-16.56%1.6B-48.36%1.14B
-Cash and cash equivalents 32.72%1.89B32.72%1.89B10.02%1.37B-22.16%1.25B66.78%1.89B12.84%1.42B12.84%1.42B-16.64%1.25B-16.56%1.6B-48.36%1.14B
Receivables -10.51%2.49B-10.51%2.49B3.47%2.51B22.71%2.71B-1.62%2.43B6.50%2.79B6.50%2.79B10.03%2.42B-4.58%2.21B1.86%2.47B
-Accounts receivable 57.75%2.49B57.75%2.49B11.50%1.45B10.65%1.56B7.01%1.51B7.99%1.58B7.99%1.58B7.37%1.3B6.26%1.41B2.24%1.41B
-Taxes receivable --------31.19%265M--177M-----2.25%87M-2.25%87M2.02%202M-----33.62%77M
-Other receivables ---------13.82%798M21.80%972M-6.32%919M5.17%1.12B5.17%1.12B16.04%926M-1.60%798M5.71%981M
Restricted cash 4.75%9.5B4.75%9.5B14.14%9.18B15.30%9.93B-18.61%9.94B-22.93%9.07B-22.93%9.07B-28.16%8.04B-28.19%8.61B5.00%12.21B
Current deferred assets --------11.76%95M--91M----5.75%92M5.75%92M11.84%85M----2.63%78M
Other current assets 2,196.23%1.22B2,196.23%1.22B76.92%69M-85.54%58M781.40%379M-1.85%53M-1.85%53M-36.07%39M718.37%401M-8.51%43M
Total current assets 12.45%15.11B12.45%15.11B20.95%14.31B9.46%14.03B-8.18%14.64B-15.17%13.43B-15.17%13.43B-21.37%11.83B-21.70%12.82B-2.84%15.95B
Non current assets
Net PPE -10.82%1.15B-10.82%1.15B0.48%1.25B-3.86%1.25B-4.23%1.25B-1.46%1.29B-1.46%1.29B-3.27%1.24B-5.13%1.3B-14.36%1.3B
-Gross PPE -56.53%1.15B-56.53%1.15B0.48%1.25B-3.86%1.25B-4.23%1.25B2.45%2.64B2.45%2.64B-3.27%1.24B-5.13%1.3B-14.36%1.3B
-Accumulated depreciation ---------------------6.46%-1.35B-6.46%-1.35B------------
Goodwill and other intangible assets -17.34%10.09B-17.34%10.09B-16.10%10.24B-2.15%12.08B-2.09%12.15B-1.89%12.21B-1.89%12.21B-1.58%12.21B-1.73%12.35B-2.26%12.41B
-Goodwill -13.69%8.8B-13.69%8.8B-12.43%8.88B-0.18%10.18B-0.07%10.19B0.22%10.2B0.22%10.2B0.54%10.14B0.43%10.2B-0.07%10.19B
-Other intangible assets -35.76%1.3B-35.76%1.3B-34.11%1.36B-11.56%1.9B-11.39%1.96B-11.31%2.02B-11.31%2.02B-10.80%2.06B-10.88%2.15B-11.24%2.21B
Investments and advances ----------91M---------2.22%88M-2.22%88M------------
Long-term notes receivables ----------78M--------8.82%74M8.82%74M------------
Non current accounts receivable ----------131M--------20.05%1.04B20.05%1.04B------------
Non current deferred assets ----------374M--------18.28%317M18.28%317M------------
Non current prepaid assets ----------16M---------10.00%9M-10.00%9M------------
Defined pension benefit -9.86%530M-9.86%530M-30.40%632M-31.58%611M-30.71%598M-28.90%588M-28.90%588M-9.92%908M-10.88%893M-13.00%863M
Other non current assets 1,544.90%806M1,544.90%806M-97.06%42M16.55%1.66B15.37%1.61B-15.52%49M-15.52%49M15.03%1.43B17.74%1.42B13.45%1.39B
Total non current assets -19.68%12.58B-19.68%12.58B-18.58%12.86B-2.28%15.59B-2.29%15.6B-1.74%15.66B-1.74%15.66B-0.95%15.79B-1.13%15.96B-2.85%15.96B
Total assets -4.84%27.68B-4.84%27.68B-1.65%27.17B2.95%29.62B-5.23%30.24B-8.43%29.09B-8.43%29.09B-10.87%27.62B-11.49%28.77B-2.85%31.91B
Liabilities
Current liabilities
Payables ------------8.17%1.1B12.21%1.33B6.45%1.3B6.45%1.3B-86.30%155M12.89%1.02B-11.80%1.19B
-accounts payable ------------8.17%1.1B10.38%1.11B10.05%1.07B10.05%1.07B----12.89%1.02B8.21%1B
-Total tax payable ----------------45.12%119M-13.51%128M-13.51%128M-66.67%51M-----73.80%82M
-Dividends payable ----------------3.85%108M0.98%103M0.98%103M1.96%104M-----3.70%104M
Current accrued expenses 923.61%2.21B923.61%2.21B-5.46%2.03B-----10.60%312M4.85%216M4.85%216M757.60%2.14B-----7.92%349M
Current debt and capital lease obligation -84.77%118M-84.77%118M-84.11%122M-88.48%118M105.04%773M106.12%775M106.12%775M104.26%768M647.45%1.02B-49.12%377M
-Current debt ----------------160.00%650M160.00%650M160.00%650M159.60%649M--899M-58.26%250M
-Current capital lease obligation -5.60%118M-5.60%118M2.52%122M-5.60%118M-3.15%123M-0.79%125M-0.79%125M-5.56%119M-8.76%125M-10.56%127M
Current deferred liabilities ----------------38.46%36M-25.81%23M-25.81%23M20.00%30M-----55.17%26M
Other current liabilities 11.32%10.3B11.32%10.3B27.03%10.39B15.17%10.67B-18.76%10.1B-22.72%9.25B-22.72%9.25B-29.02%8.18B-28.88%9.26B4.85%12.43B
Current liabilities -0.03%12.63B-0.03%12.63B10.88%12.54B5.89%12.67B-11.89%13.12B-14.54%12.63B-14.54%12.63B-19.95%11.31B-18.53%11.97B-0.17%14.89B
Non current liabilities
Long term provisions -6.58%341M-6.58%341M15.56%416M5.96%409M3.01%377M2.24%365M2.24%365M-1.37%360M2.12%386M-4.94%366M
Long term debt and capital lease obligation 12.49%5.81B12.49%5.81B14.10%5.87B13.70%5.88B15.39%5.88B1.23%5.17B1.23%5.17B1.00%5.14B-3.94%5.17B8.59%5.09B
-Long term debt 16.25%5.31B16.25%5.31B16.28%5.31B16.25%5.31B18.67%5.31B2.15%4.57B2.15%4.57B2.13%4.57B-3.28%4.57B12.50%4.47B
-Long term capital lease obligation -16.19%502M-16.19%502M-3.12%559M-5.65%568M-8.21%570M-5.22%599M-5.22%599M-7.09%577M-8.65%602M-13.15%621M
Non current deferred liabilities -93.24%45M-93.24%45M-75.31%198M-8.60%659M-34.68%550M-25.17%666M-25.17%666M-8.24%802M-22.05%721M0.84%842M
Employee benefits 9.24%615M9.24%615M12.47%487M11.73%505M15.10%526M17.29%563M17.29%563M-21.56%433M-29.15%452M-34.53%457M
Other non current liabilities 247.69%226M247.69%226M-14.52%53M-78.11%44M333.33%221M140.74%65M140.74%65M47.62%62M367.44%201M-79.10%51M
Total non current liabilities 2.49%7.04B2.49%7.04B3.37%7.06B8.75%7.53B10.38%7.55B-0.43%6.87B-0.43%6.87B-1.77%6.83B-6.39%6.93B-0.16%6.84B
Total liabilities 0.86%19.66B0.86%19.66B8.05%19.6B6.94%20.21B-4.88%20.67B-10.05%19.5B-10.05%19.5B-13.95%18.14B-14.47%18.9B-0.17%21.73B
Shareholders'equity
Share capital --0--0--0--0--0--0--0--0--0--0
-common stock --0--0--0--0--0--0--0--0--0--0
Retained earnings -92.56%109M-92.56%109M-157.68%-650M-7.98%1.32B-17.47%1.46B-16.89%1.47B-16.89%1.47B-33.94%1.13B-27.50%1.43B-26.78%1.77B
Paid-in capital 0.72%10.99B0.72%10.99B0.50%10.96B0.30%10.94B0.37%10.93B0.31%10.91B0.31%10.91B0.44%10.9B0.51%10.91B0.59%10.89B
Less: Treasury stock ----------5M--0--0--0--0--0--0--0
Gains losses not affecting retained earnings -10.57%-3.16B-10.57%-3.16B-7.25%-2.81B-15.00%-2.92B-13.12%-2.91B-8.97%-2.86B-8.97%-2.86B3.68%-2.62B-2.17%-2.54B-14.54%-2.57B
Total stockholders'equity -16.60%7.94B-16.60%7.94B-20.38%7.49B-4.71%9.34B-6.01%9.49B-4.95%9.52B-4.95%9.52B-4.35%9.41B-5.20%9.8B-8.25%10.1B
Noncontrolling interests 5.48%77M5.48%77M4.00%78M0.00%78M-1.25%79M-5.19%73M-5.19%73M0.00%75M-2.50%78M12.68%80M
Total equity -16.43%8.02B-16.43%8.02B-20.19%7.57B-4.68%9.42B-5.97%9.57B-4.95%9.59B-4.95%9.59B-4.32%9.49B-5.18%9.88B-8.12%10.18B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----------Unqualified Opinion--------

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