Ecopetrol
EC
Petroleo Brasileiro SA Petrobras
PBR
Vale SA
VALE
Meta Platforms
META
Adobe
ADBE
(Q2)Sep 28, 2024 | (Q1)Jun 29, 2024 | (FY)Mar 30, 2024 | (Q4)Mar 30, 2024 | (Q3)Dec 30, 2023 | (Q2)Sep 30, 2023 | (Q1)Jul 1, 2023 | (FY)Apr 1, 2023 | (Q4)Apr 1, 2023 | (Q3)Dec 31, 2022 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -23.53%182M | -10.50%213M | -20.08%199M | -20.08%199M | -11.39%249M | 10.70%238M | 7.69%238M | 47.34%249M | 47.34%249M | 7.66%281M |
-Cash and cash equivalents | -23.53%182M | -10.50%213M | -20.08%199M | -20.08%199M | -11.39%249M | 10.70%238M | 7.69%238M | 47.34%249M | 47.34%249M | 7.66%281M |
Receivables | -20.05%343M | -1.86%317M | -1.80%382M | -1.80%382M | -3.39%371M | -5.51%429M | -21.98%323M | -16.16%389M | -16.16%389M | -18.99%384M |
-Accounts receivable | -29.17%289M | -2.98%326M | -12.62%360M | -12.62%360M | -9.88%365M | -10.33%408M | -21.13%336M | -10.63%412M | -10.63%412M | -11.38%405M |
-Accrued interest receivable | -4.88%39M | 30.77%17M | 320.00%42M | 320.00%42M | 666.67%23M | 4,000.00%41M | 18.18%13M | -23.08%10M | -23.08%10M | -57.14%3M |
-Other receivables | 140.74%65M | 0.00%25M | 12.50%27M | 12.50%27M | 6.25%34M | -46.00%27M | -16.67%25M | -29.41%24M | -29.41%24M | -41.82%32M |
-Recievables adjustments allowances | -6.38%-50M | 0.00%-51M | 17.54%-47M | 17.54%-47M | 8.93%-51M | 9.62%-47M | 3.77%-51M | -29.55%-57M | -29.55%-57M | -24.44%-56M |
Inventory | -10.46%984M | -22.64%902M | -18.45%862M | -18.45%862M | -14.14%1.02B | -6.86%1.1B | -7.83%1.17B | -3.56%1.06B | -3.56%1.06B | 21.47%1.19B |
Prepaid assets | -40.45%106M | -22.15%116M | -14.17%109M | -14.17%109M | 20.97%225M | 7.23%178M | 37.96%149M | 25.74%127M | 25.74%127M | -37.37%186M |
Restricted cash | --9M | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Other current assets | -6.52%43M | 27.27%56M | 16.67%56M | 16.67%56M | 17.78%53M | -34.29%46M | -39.73%44M | -21.31%48M | -21.31%48M | -27.42%45M |
Total current assets | -16.23%1.67B | -16.46%1.6B | -14.01%1.61B | -14.01%1.61B | -7.97%1.92B | -4.56%1.99B | -7.74%1.92B | -1.11%1.87B | -1.11%1.87B | 0.58%2.08B |
Non current assets | ||||||||||
Net PPE | 4.92%1.94B | 2.51%1.96B | 7.17%2.02B | 7.17%2.02B | 6.79%2.05B | 2.55%1.85B | 3.02%1.91B | 2.62%1.88B | 2.62%1.88B | 2.90%1.92B |
-Gross PPE | 3.63%2.74B | 0.45%2.7B | 2.89%2.74B | 2.89%2.74B | 5.84%2.83B | 2.17%2.64B | 2.09%2.69B | 1.60%2.67B | 1.60%2.67B | 0.72%2.67B |
-Accumulated depreciation | -0.63%-798M | 4.60%-746M | 7.40%-726M | 7.40%-726M | -3.44%-782M | -1.28%-793M | 0.13%-782M | 0.76%-784M | 0.76%-784M | 4.42%-756M |
Goodwill and other intangible assets | -12.67%2.57B | -18.36%2.49B | -17.25%2.5B | -17.25%2.5B | -1.77%3.05B | 1.87%2.94B | -0.98%3.05B | -7.47%3.02B | -7.47%3.02B | -7.21%3.1B |
-Goodwill | -9.07%1.15B | -15.29%1.11B | -14.46%1.11B | -14.46%1.11B | -2.87%1.32B | 0.96%1.27B | -2.10%1.31B | -8.82%1.29B | -8.82%1.29B | -6.15%1.36B |
-Other intangible assets | -15.39%1.42B | -20.67%1.38B | -19.33%1.39B | -19.33%1.39B | -0.92%1.73B | 2.57%1.68B | -0.12%1.74B | -6.44%1.73B | -6.44%1.73B | -8.02%1.74B |
Non current deferred assets | 33.12%410M | 12.50%351M | 18.92%352M | 18.92%352M | 50.20%371M | 35.09%308M | 35.06%312M | 23.33%296M | 23.33%296M | 38.76%247M |
Other non current assets | -20.00%204M | -1.80%218M | -6.19%212M | -6.19%212M | 14.49%237M | 30.10%255M | -39.84%222M | -9.60%226M | -9.60%226M | -8.81%207M |
Total non current assets | -4.31%5.13B | -8.67%5.01B | -6.34%5.08B | -6.34%5.08B | 4.19%5.7B | 4.67%5.36B | -0.72%5.49B | -2.93%5.43B | -2.93%5.43B | -2.46%5.47B |
Total assets | -7.54%6.79B | -10.69%6.62B | -8.31%6.69B | -8.31%6.69B | 0.83%7.62B | 2.00%7.35B | -2.64%7.41B | -2.47%7.3B | -2.47%7.3B | -1.64%7.55B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 18.03%550M | -17.09%495M | -23.28%445M | -23.28%445M | -25.41%496M | -4.90%466M | -20.08%597M | -13.17%580M | -13.17%580M | -21.49%665M |
-accounts payable | 32.96%472M | -12.61%416M | -25.89%352M | -25.89%352M | -28.71%370M | -4.05%355M | -11.85%476M | -14.41%475M | -14.41%475M | -12.48%519M |
-Total tax payable | -29.73%78M | -34.71%79M | -11.43%93M | -11.43%93M | -13.70%126M | -7.50%111M | -41.55%121M | -7.08%105M | -7.08%105M | -42.52%146M |
Current accrued expenses | 24.74%242M | -8.30%221M | -15.73%225M | -15.73%225M | -6.90%243M | -14.91%194M | 2.12%241M | -4.30%267M | -4.30%267M | 7.85%261M |
Current debt and capital lease obligation | 101.43%848M | 94.64%835M | 98.62%862M | 98.62%862M | 101.62%869M | 2.43%421M | -1.61%429M | -2.03%434M | -2.03%434M | -6.91%431M |
-Current debt | 3,040.00%471M | 3,446.15%461M | 9,140.00%462M | 9,140.00%462M | 2,326.32%461M | 0.00%15M | -64.86%13M | -82.76%5M | -82.76%5M | -26.92%19M |
-Current capital lease obligation | -7.14%377M | -10.10%374M | -6.76%400M | -6.76%400M | -0.97%408M | 2.53%406M | 4.26%416M | 3.62%429M | 3.62%429M | -5.72%412M |
Current deferred liabilities | -35.48%20M | -31.25%22M | -40.63%19M | -40.63%19M | 33.33%20M | 106.67%31M | 113.33%32M | 33.33%32M | 33.33%32M | -6.25%15M |
Other current liabilities | -1.52%130M | -16.78%124M | 5.11%144M | 5.11%144M | 0.00%187M | -1.49%132M | -17.22%149M | -9.87%137M | -9.87%137M | 1.63%187M |
Current liabilities | 43.89%1.79B | 17.20%1.7B | 16.90%1.7B | 16.90%1.7B | 16.42%1.82B | -2.66%1.24B | -10.29%1.45B | -7.41%1.45B | -7.41%1.45B | -11.02%1.56B |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | -22.14%2.62B | -19.37%2.64B | -14.42%2.71B | -14.42%2.71B | -2.44%2.84B | 13.39%3.37B | 15.14%3.28B | 22.02%3.17B | 22.02%3.17B | 17.51%2.91B |
-Long term debt | -40.50%1.24B | -34.93%1.25B | -30.79%1.26B | -30.79%1.26B | -9.07%1.38B | 31.17%2.08B | 39.22%1.92B | 61.10%1.82B | 61.10%1.82B | 55.84%1.52B |
-Long term capital lease obligation | 7.44%1.39B | 2.73%1.39B | 7.72%1.45B | 7.72%1.45B | 4.81%1.46B | -6.92%1.29B | -7.58%1.35B | -8.11%1.35B | -8.11%1.35B | -7.39%1.39B |
Non current deferred liabilities | -29.92%356M | -28.51%361M | -28.74%362M | -28.74%362M | -2.26%519M | -0.97%508M | 6.09%505M | 17.59%508M | 17.59%508M | 19.86%531M |
Other non current liabilities | 71.79%536M | -8.74%334M | 0.31%319M | 0.31%319M | 54.27%506M | 5.41%312M | 24.07%366M | -2.45%318M | -2.45%318M | 41.99%328M |
Total non current liabilities | -16.09%3.52B | -19.55%3.34B | -15.07%3.39B | -15.07%3.39B | 2.52%3.87B | 10.82%4.19B | 14.68%4.15B | 19.07%4B | 19.07%4B | 19.63%3.77B |
Total liabilities | -2.36%5.31B | -10.04%5.04B | -6.56%5.09B | -6.56%5.09B | 6.58%5.68B | 7.41%5.43B | 6.98%5.6B | 10.65%5.45B | 10.65%5.45B | 8.69%5.33B |
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 | -6.11%5.49B | -5.06%5.47B | -4.01%5.48B | -4.01%5.48B | 3.64%5.95B | 5.96%5.85B | 8.75%5.76B | 12.10%5.71B | 12.10%5.71B | 14.59%5.74B |
Paid-in capital | 4.45%1.45B | 4.95%1.44B | 5.43%1.42B | 5.43%1.42B | 6.25%1.41B | 6.18%1.39B | 6.26%1.38B | 6.67%1.34B | 6.67%1.34B | 7.19%1.33B |
Less: Treasury stock | 0.09%5.46B | 0.07%5.46B | 2.00%5.46B | 2.00%5.46B | 10.24%5.46B | 17.35%5.46B | 26.94%5.46B | 34.21%5.35B | 34.21%5.35B | 34.32%4.95B |
Gains losses not affecting retained earnings | -97.69%3M | -3.65%132M | 9.52%161M | 9.52%161M | -70.48%31M | 471.43%130M | 53.93%137M | -24.23%147M | -24.23%147M | -50.70%105M |
Total stockholders'equity | -22.34%1.48B | -12.81%1.58B | -13.47%1.6B | -13.47%1.6B | -13.00%1.93B | -10.83%1.91B | -23.81%1.81B | -27.78%1.85B | -27.78%1.85B | -19.92%2.22B |
Noncontrolling interests | 100.00%2M | 200.00%3M | 0.00%1M | 0.00%1M | --1M | --1M | 0.00%1M | 200.00%1M | 200.00%1M | --0 |
Total equity | -22.28%1.49B | -12.69%1.58B | -13.47%1.6B | -13.47%1.6B | -12.96%1.94B | -10.78%1.91B | -23.80%1.81B | -27.72%1.85B | -27.72%1.85B | -19.89%2.22B |
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 | -- | -- |