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COM:CREDIT-AGRICOLE

Crédit Agricole Group

  • Stock

Last Close

13.27

22/11 16:36

Market Cap

37.92B

Beta: -

Volume Today

8.06M

Avg: -

Preview

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Mar '21
Jun '21
Sep '21
Dec '21
Mar '22
Jun '22
Sep '22
Dec '22
Mar '23
Jun '23
Sep '23
Dec '23
Mar '24
Jun '24
net income
1.04B
-
2.82B
169.47%
1.40B
50.21%
2.67B
90.44%
571M
78.61%
2.30B
302.80%
1.35B
41.22%
2.61B
92.97%
1.23B
53.01%
3.02B
146.74%
1.75B
42.21%
2.87B
64.07%
1.90B
33.65%
3.26B
71.47%
depreciation and amortization
553M
-
600M
-
572M
-
604M
-
558M
-
597M
-
577M
-
deferred income tax
stock based compensation
60M
-
change in working capital
7.04B
-
-6.54B
-
-14.80B
-
-15.55B
-
-66.75B
-
78.13B
-
5.29B
-
accounts receivables
inventory
accounts payables
other working capital
other non cash items
-1.04B
-
13.96B
1,436.36%
-1.40B
110.04%
10.61B
856.92%
-571M
105.38%
-8.12B
1,322.59%
-1.35B
83.36%
3.47B
356.73%
-1.23B
135.32%
7.67B
725.69%
-1.75B
122.79%
9.92B
667.28%
-1.90B
119.19%
9.98B
624.33%
net cash provided by operating activities
23.27B
-
6.14B
-
-20.05B
-
-8.87B
-
-55.49B
-
91.51B
-
17.96B
-
investments in property plant and equipment
-409M
-
-467M
-
-516M
-
-573M
-
-398M
-
-487M
-
-446M
-
acquisitions net
1.85B
-
-1.71B
-
-1.35B
-
-2.23B
-
910M
-
9.83B
-
purchases of investments
-11.29B
-
3.99B
-
399M
-
-52.62B
-
-81.92B
-
-7.00B
-
sales maturities of investments
36.73B
-
42.58B
-
9.39B
-
other investing activites
-100M
-
-237M
-
-149M
-
-104M
-
105M
-
242M
-
net cash used for investing activites
-12.39B
-
-9.45B
-
35.03B
-
-12.99B
-
408M
-
-63.09B
-
-28.64B
-
debt repayment
-11.04B
-
common stock issued
271M
-
1.23B
-
common stock repurchased
dividends paid
-355M
-
-3.17B
-
-517M
-
-3.17B
-
other financing activites
-478M
-
-2.69B
-
2.18B
-
4.27B
-
2.42B
-
6.26B
-
14.42B
-
net cash used provided by financing activities
-833M
-
1.66B
-
-993M
-
4.98B
-
10.29B
-
6.26B
-
14.42B
-
effect of forex changes on cash
net change in cash
10.04B
-
-1.65B
-
13.99B
-
-16.88B
-
-44.80B
-
34.68B
-
3.74B
-
cash at beginning of period
cash at end of period
10.04B
-
-1.65B
-
13.99B
-
-16.88B
-
-44.80B
-
34.68B
-
3.74B
-
operating cash flow
23.27B
-
6.14B
-
-20.05B
-
-8.87B
-
-55.49B
-
91.51B
-
17.96B
-
capital expenditure
-409M
-
-467M
-
-516M
-
-573M
-
-398M
-
-487M
-
-446M
-
free cash flow
22.86B
-
5.67B
-
-20.57B
-
-9.44B
-
-55.89B
-
91.02B
-
17.51B
-

All numbers in (except ratios and percentages)