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YRAIF YARA INTERNATIONAL ASA

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  • 27.130
  • -2.080-7.12%
15min DelayClose Aug 16 16:00 ET
6.91BMarket Cap26.09P/E (TTM)

YARA INTERNATIONAL ASA 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
39.30%872M
-72.39%328M
-50.77%447M
-50.77%447M
69.53%868M
8.12%626M
70.94%1.19B
159.43%908M
159.43%908M
4.92%512M
-Cash and cash equivalents
39.30%872M
-72.39%328M
-50.77%447M
-50.77%447M
69.53%868M
8.12%626M
70.94%1.19B
159.43%908M
159.43%908M
4.92%512M
-Accounts receivable
-11.52%1.72B
-10.16%1.88B
-29.07%1.64B
-29.07%1.64B
-38.36%1.71B
-21.55%1.94B
-28.63%2.1B
7.86%2.31B
7.86%2.31B
56.55%2.77B
-Taxes receivable
----
----
-19.79%231M
-19.79%231M
----
----
----
29.73%288M
29.73%288M
----
-Other receivables
----
----
7.20%283M
7.20%283M
----
----
----
22.79%264M
22.79%264M
----
Inventory
-16.06%2.8B
-29.64%2.84B
-29.94%3.06B
-29.94%3.06B
-39.48%2.79B
-30.67%3.34B
-12.50%4.04B
9.04%4.37B
9.04%4.37B
41.48%4.62B
Prepaid assets
----
----
5.96%391M
5.96%391M
----
----
----
41.38%369M
41.38%369M
73.57%1.03B
Restricted cash
----
----
-9.80%92M
-9.80%92M
----
----
----
131.82%102M
131.82%102M
----
Other current assets
-0.99%904M
0.79%898M
0.00%-1M
0.00%-1M
--934M
--913M
89,000.00%891M
-150.00%-1M
-150.00%-1M
----
Total current assets
-7.49%6.33B
-27.26%5.98B
-27.92%6.21B
-27.92%6.21B
-29.32%6.32B
-22.79%6.84B
-9.69%8.22B
11.98%8.62B
11.98%8.62B
36.57%8.94B
Non current assets
Net PPE
3.07%7.44B
2.27%7.52B
3.96%7.7B
3.96%7.7B
5.14%7.2B
0.91%7.22B
-2.43%7.35B
-2.30%7.41B
-2.30%7.41B
-12.43%6.85B
-Gross PPE
3.07%7.44B
2.27%7.52B
6.64%16.76B
6.64%16.76B
5.14%7.2B
0.91%7.22B
-2.43%7.35B
-0.12%15.71B
-0.12%15.71B
-12.43%6.85B
-Accumulated depreciation
----
----
-9.04%-9.06B
-9.04%-9.06B
----
----
----
-1.90%-8.31B
-1.90%-8.31B
----
Goodwill and other intangible assets
-1.01%880M
-0.78%885M
3.35%895M
3.35%895M
4.02%879M
0.11%889M
-3.67%892M
-5.97%866M
-5.97%866M
-9.14%845M
-Goodwill
-1.85%743M
-1.18%751M
0.80%760M
0.80%760M
1.21%750M
-1.82%757M
-4.64%760M
-4.44%754M
-4.44%754M
-6.56%741M
-Other intangible assets
3.79%137M
1.52%134M
20.54%135M
20.54%135M
24.04%129M
12.82%132M
2.33%132M
-15.15%112M
-15.15%112M
-24.09%104M
Financial assets
----
----
0.00%18M
0.00%18M
----
----
----
200.00%18M
200.00%18M
----
Non current prepaid assets
----
----
2.79%221M
2.79%221M
----
----
----
69.29%215M
69.29%215M
----
Other non current assets
5.80%602M
3.10%566M
20.00%24M
20.00%24M
21.63%551M
8.59%569M
10.02%549M
-74.68%20M
-74.68%20M
26.89%453M
Total non current assets
2.66%9.62B
2.64%9.68B
4.82%9.81B
4.82%9.81B
6.61%9.35B
2.02%9.37B
-1.59%9.43B
-2.20%9.36B
-2.20%9.36B
-9.42%8.77B
Total assets
-1.62%15.95B
-11.28%15.66B
-10.87%16.03B
-10.87%16.03B
-11.53%15.67B
-10.16%16.21B
-5.53%17.65B
4.11%17.98B
4.11%17.98B
9.15%17.71B
Liabilities
Current liabilities
Payables
-7.21%2.11B
-19.14%1.94B
-22.28%2.2B
-22.28%2.2B
-38.76%2.21B
-39.32%2.28B
-33.34%2.39B
-15.44%2.84B
-15.44%2.84B
27.28%3.61B
-accounts payable
-6.71%2B
-16.64%1.82B
-18.34%1.91B
-18.34%1.91B
-35.98%2.08B
-36.03%2.15B
-34.03%2.18B
-22.82%2.33B
-22.82%2.33B
17.00%3.24B
-Total tax payable
-15.38%110M
-44.81%117M
-40.64%298M
-40.64%298M
-63.39%134M
-67.17%130M
-25.35%212M
52.12%502M
52.12%502M
471.88%366M
Current provisions
-36.51%40M
-32.79%41M
-45.65%50M
-45.65%50M
-19.72%57M
12.50%63M
1.67%61M
24.32%92M
24.32%92M
-15.48%71M
Current debt and capital lease obligation
-0.94%629M
107.18%721M
94.53%640M
94.53%640M
-61.75%301M
-8.50%635M
-51.46%348M
-64.12%329M
-64.12%329M
63.28%787M
-Current debt
-5.74%493M
155.95%581M
145.02%517M
145.02%517M
-72.23%188M
-10.14%523M
-62.29%227M
-74.05%211M
-74.05%211M
80.53%677M
-Current capital lease obligation
21.43%136M
15.70%140M
4.24%123M
4.24%123M
2.73%113M
0.00%112M
5.22%121M
13.46%118M
13.46%118M
2.80%110M
Other current liabilities
9.68%374M
-0.78%507M
-38.46%32M
-38.46%32M
-13.76%401M
-26.67%341M
-28.63%511M
92.59%52M
92.59%52M
203.92%465M
Current liabilities
-6.66%3.7B
-8.88%3.52B
-14.38%3.71B
-14.38%3.71B
-36.75%3.52B
-32.85%3.96B
-35.93%3.86B
-21.75%4.34B
-21.75%4.34B
28.90%5.56B
Non current liabilities
Long term provisions
11.29%276M
16.46%283M
29.00%298M
29.00%298M
23.35%243M
18.66%248M
-1.22%243M
-18.37%231M
-18.37%231M
-33.22%197M
Long term debt and capital lease obligation
-0.49%3.83B
-7.94%3.56B
-7.69%3.59B
-7.69%3.59B
16.89%3.81B
15.35%3.85B
13.73%3.87B
14.05%3.89B
14.05%3.89B
-5.81%3.26B
-Long term debt
-1.80%3.49B
-9.45%3.24B
-8.70%3.28B
-8.70%3.28B
18.05%3.52B
16.85%3.55B
16.60%3.58B
16.45%3.6B
16.45%3.6B
-5.28%2.98B
-Long term capital lease obligation
15.10%343M
10.62%323M
4.79%306M
4.79%306M
4.35%288M
0.00%298M
-12.57%292M
-9.03%292M
-9.03%292M
-11.25%276M
Derivative product liabilities
----
----
-33.86%84M
-33.86%84M
----
----
----
252.78%127M
252.78%127M
----
Other non current liabilities
-32.06%142M
-21.74%144M
-28.57%5M
-28.57%5M
11.44%224M
40.27%209M
145.33%184M
40.00%7M
40.00%7M
57.03%201M
Total non current liabilities
-1.60%4.98B
-6.37%4.72B
-5.97%4.74B
-5.97%4.74B
14.49%4.99B
13.97%5.06B
11.14%5.04B
9.39%5.04B
9.39%5.04B
-8.48%4.36B
Total liabilities
-3.82%8.68B
-7.46%8.24B
-9.86%8.46B
-9.86%8.46B
-14.22%8.51B
-12.76%9.02B
-15.72%8.9B
-7.61%9.38B
-7.61%9.38B
9.28%9.92B
Shareholders'equity
Share capital
0.00%63M
0.00%63M
0.00%63M
0.00%63M
0.00%63M
0.00%63M
0.00%63M
0.00%63M
0.00%63M
0.00%63M
-common stock
0.00%63M
0.00%63M
0.00%63M
0.00%63M
0.00%63M
0.00%63M
0.00%63M
0.00%63M
0.00%63M
0.00%63M
Retained earnings
2.12%9.45B
-12.30%9.51B
-11.61%9.5B
-11.61%9.5B
-9.57%9.26B
-5.86%9.25B
9.95%10.85B
20.96%10.75B
20.96%10.75B
16.34%10.24B
Paid-in capital
0.00%-49M
0.00%-49M
0.00%-49M
0.00%-49M
0.00%-49M
0.00%-49M
0.00%-49M
0.00%-49M
0.00%-49M
0.00%-49M
Other equity interest
---1M
----
---1M
---1M
----
----
----
----
----
----
Total stockholders'equity
1.10%7.26B
-15.19%7.41B
-12.05%7.55B
-12.05%7.55B
-8.08%7.14B
-6.64%7.18B
7.76%8.74B
20.88%8.59B
20.88%8.59B
9.98%7.77B
Noncontrolling interests
25.00%15M
-7.69%12M
38.46%18M
38.46%18M
-17.65%14M
-20.00%12M
-7.14%13M
0.00%13M
0.00%13M
-78.75%17M
Total equity
1.14%7.27B
-15.18%7.42B
-11.98%7.57B
-11.98%7.57B
-8.10%7.16B
-6.67%7.19B
7.73%8.75B
20.84%8.6B
20.84%8.6B
8.99%7.79B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
(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 39.30%872M-72.39%328M-50.77%447M-50.77%447M69.53%868M8.12%626M70.94%1.19B159.43%908M159.43%908M4.92%512M
-Cash and cash equivalents 39.30%872M-72.39%328M-50.77%447M-50.77%447M69.53%868M8.12%626M70.94%1.19B159.43%908M159.43%908M4.92%512M
-Accounts receivable -11.52%1.72B-10.16%1.88B-29.07%1.64B-29.07%1.64B-38.36%1.71B-21.55%1.94B-28.63%2.1B7.86%2.31B7.86%2.31B56.55%2.77B
-Taxes receivable ---------19.79%231M-19.79%231M------------29.73%288M29.73%288M----
-Other receivables --------7.20%283M7.20%283M------------22.79%264M22.79%264M----
Inventory -16.06%2.8B-29.64%2.84B-29.94%3.06B-29.94%3.06B-39.48%2.79B-30.67%3.34B-12.50%4.04B9.04%4.37B9.04%4.37B41.48%4.62B
Prepaid assets --------5.96%391M5.96%391M------------41.38%369M41.38%369M73.57%1.03B
Restricted cash ---------9.80%92M-9.80%92M------------131.82%102M131.82%102M----
Other current assets -0.99%904M0.79%898M0.00%-1M0.00%-1M--934M--913M89,000.00%891M-150.00%-1M-150.00%-1M----
Total current assets -7.49%6.33B-27.26%5.98B-27.92%6.21B-27.92%6.21B-29.32%6.32B-22.79%6.84B-9.69%8.22B11.98%8.62B11.98%8.62B36.57%8.94B
Non current assets
Net PPE 3.07%7.44B2.27%7.52B3.96%7.7B3.96%7.7B5.14%7.2B0.91%7.22B-2.43%7.35B-2.30%7.41B-2.30%7.41B-12.43%6.85B
-Gross PPE 3.07%7.44B2.27%7.52B6.64%16.76B6.64%16.76B5.14%7.2B0.91%7.22B-2.43%7.35B-0.12%15.71B-0.12%15.71B-12.43%6.85B
-Accumulated depreciation ---------9.04%-9.06B-9.04%-9.06B-------------1.90%-8.31B-1.90%-8.31B----
Goodwill and other intangible assets -1.01%880M-0.78%885M3.35%895M3.35%895M4.02%879M0.11%889M-3.67%892M-5.97%866M-5.97%866M-9.14%845M
-Goodwill -1.85%743M-1.18%751M0.80%760M0.80%760M1.21%750M-1.82%757M-4.64%760M-4.44%754M-4.44%754M-6.56%741M
-Other intangible assets 3.79%137M1.52%134M20.54%135M20.54%135M24.04%129M12.82%132M2.33%132M-15.15%112M-15.15%112M-24.09%104M
Financial assets --------0.00%18M0.00%18M------------200.00%18M200.00%18M----
Non current prepaid assets --------2.79%221M2.79%221M------------69.29%215M69.29%215M----
Other non current assets 5.80%602M3.10%566M20.00%24M20.00%24M21.63%551M8.59%569M10.02%549M-74.68%20M-74.68%20M26.89%453M
Total non current assets 2.66%9.62B2.64%9.68B4.82%9.81B4.82%9.81B6.61%9.35B2.02%9.37B-1.59%9.43B-2.20%9.36B-2.20%9.36B-9.42%8.77B
Total assets -1.62%15.95B-11.28%15.66B-10.87%16.03B-10.87%16.03B-11.53%15.67B-10.16%16.21B-5.53%17.65B4.11%17.98B4.11%17.98B9.15%17.71B
Liabilities
Current liabilities
Payables -7.21%2.11B-19.14%1.94B-22.28%2.2B-22.28%2.2B-38.76%2.21B-39.32%2.28B-33.34%2.39B-15.44%2.84B-15.44%2.84B27.28%3.61B
-accounts payable -6.71%2B-16.64%1.82B-18.34%1.91B-18.34%1.91B-35.98%2.08B-36.03%2.15B-34.03%2.18B-22.82%2.33B-22.82%2.33B17.00%3.24B
-Total tax payable -15.38%110M-44.81%117M-40.64%298M-40.64%298M-63.39%134M-67.17%130M-25.35%212M52.12%502M52.12%502M471.88%366M
Current provisions -36.51%40M-32.79%41M-45.65%50M-45.65%50M-19.72%57M12.50%63M1.67%61M24.32%92M24.32%92M-15.48%71M
Current debt and capital lease obligation -0.94%629M107.18%721M94.53%640M94.53%640M-61.75%301M-8.50%635M-51.46%348M-64.12%329M-64.12%329M63.28%787M
-Current debt -5.74%493M155.95%581M145.02%517M145.02%517M-72.23%188M-10.14%523M-62.29%227M-74.05%211M-74.05%211M80.53%677M
-Current capital lease obligation 21.43%136M15.70%140M4.24%123M4.24%123M2.73%113M0.00%112M5.22%121M13.46%118M13.46%118M2.80%110M
Other current liabilities 9.68%374M-0.78%507M-38.46%32M-38.46%32M-13.76%401M-26.67%341M-28.63%511M92.59%52M92.59%52M203.92%465M
Current liabilities -6.66%3.7B-8.88%3.52B-14.38%3.71B-14.38%3.71B-36.75%3.52B-32.85%3.96B-35.93%3.86B-21.75%4.34B-21.75%4.34B28.90%5.56B
Non current liabilities
Long term provisions 11.29%276M16.46%283M29.00%298M29.00%298M23.35%243M18.66%248M-1.22%243M-18.37%231M-18.37%231M-33.22%197M
Long term debt and capital lease obligation -0.49%3.83B-7.94%3.56B-7.69%3.59B-7.69%3.59B16.89%3.81B15.35%3.85B13.73%3.87B14.05%3.89B14.05%3.89B-5.81%3.26B
-Long term debt -1.80%3.49B-9.45%3.24B-8.70%3.28B-8.70%3.28B18.05%3.52B16.85%3.55B16.60%3.58B16.45%3.6B16.45%3.6B-5.28%2.98B
-Long term capital lease obligation 15.10%343M10.62%323M4.79%306M4.79%306M4.35%288M0.00%298M-12.57%292M-9.03%292M-9.03%292M-11.25%276M
Derivative product liabilities ---------33.86%84M-33.86%84M------------252.78%127M252.78%127M----
Other non current liabilities -32.06%142M-21.74%144M-28.57%5M-28.57%5M11.44%224M40.27%209M145.33%184M40.00%7M40.00%7M57.03%201M
Total non current liabilities -1.60%4.98B-6.37%4.72B-5.97%4.74B-5.97%4.74B14.49%4.99B13.97%5.06B11.14%5.04B9.39%5.04B9.39%5.04B-8.48%4.36B
Total liabilities -3.82%8.68B-7.46%8.24B-9.86%8.46B-9.86%8.46B-14.22%8.51B-12.76%9.02B-15.72%8.9B-7.61%9.38B-7.61%9.38B9.28%9.92B
Shareholders'equity
Share capital 0.00%63M0.00%63M0.00%63M0.00%63M0.00%63M0.00%63M0.00%63M0.00%63M0.00%63M0.00%63M
-common stock 0.00%63M0.00%63M0.00%63M0.00%63M0.00%63M0.00%63M0.00%63M0.00%63M0.00%63M0.00%63M
Retained earnings 2.12%9.45B-12.30%9.51B-11.61%9.5B-11.61%9.5B-9.57%9.26B-5.86%9.25B9.95%10.85B20.96%10.75B20.96%10.75B16.34%10.24B
Paid-in capital 0.00%-49M0.00%-49M0.00%-49M0.00%-49M0.00%-49M0.00%-49M0.00%-49M0.00%-49M0.00%-49M0.00%-49M
Other equity interest ---1M-------1M---1M------------------------
Total stockholders'equity 1.10%7.26B-15.19%7.41B-12.05%7.55B-12.05%7.55B-8.08%7.14B-6.64%7.18B7.76%8.74B20.88%8.59B20.88%8.59B9.98%7.77B
Noncontrolling interests 25.00%15M-7.69%12M38.46%18M38.46%18M-17.65%14M-20.00%12M-7.14%13M0.00%13M0.00%13M-78.75%17M
Total equity 1.14%7.27B-15.18%7.42B-11.98%7.57B-11.98%7.57B-8.10%7.16B-6.67%7.19B7.73%8.75B20.84%8.6B20.84%8.6B8.99%7.79B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD

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