bf/NASDAQ:MDLZ_icon.jpeg

COM:MONDELEZINTERNATIONAL

Mondelēz International, Inc.

  • Stock

USD

Last Close

64.79

22/11 21:00

Market Cap

88.44B

Beta: -

Volume Today

7.02M

Avg: -

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
3.94B
-
2.20B
44.07%
7.29B
231.26%
1.67B
77.11%
2.94B
75.91%
3.40B
15.63%
3.88B
14.43%
3.57B
8.13%
4.31B
20.87%
2.73B
36.81%
4.97B
82.25%
depreciation and amortization
1.08B
-
1.06B
1.67%
894M
15.58%
823M
7.94%
816M
0.85%
811M
0.61%
1.05B
29.10%
1.12B
6.59%
1.11B
0.27%
1.11B
0.54%
1.22B
9.76%
deferred income tax
-64M
-
-186M
190.63%
-30M
83.87%
-141M
370%
111M
178.72%
195M
75.68%
-626M
421.03%
-70M
88.82%
205M
392.86%
-42M
120.49%
-37M
11.90%
stock based compensation
128M
-
141M
10.16%
136M
3.55%
140M
2.94%
137M
2.14%
128M
6.57%
135M
5.47%
126M
6.67%
121M
3.97%
120M
0.83%
146M
21.67%
change in working capital
1.06B
-
426M
59.92%
623M
46.24%
-206M
133.07%
-993M
382.04%
-97M
90.23%
-448M
361.86%
-177M
60.49%
-649M
266.67%
-521M
19.72%
-487M
6.53%
accounts receivables
512M
-
233M
54.49%
224M
3.86%
-85M
137.95%
-647M
661.18%
-315M
-
-356M
13.02%
-868M
143.82%
-719M
17.17%
-372M
48.26%
inventory
-116M
-
-188M
62.07%
-49M
73.94%
62M
226.53%
-18M
129.03%
-204M
1,033.33%
31M
115.20%
-24M
177.42%
-170M
608.33%
-635M
273.53%
-193M
69.61%
accounts payables
793M
-
387M
51.20%
659M
70.28%
409M
37.94%
5M
98.78%
236M
4,620%
4M
98.31%
436M
10,800%
702M
61.01%
715M
1.85%
264M
63.08%
other working capital
-126M
-
-6M
95.24%
-211M
3,416.67%
-592M
180.57%
-333M
43.75%
-129M
61.26%
-168M
30.23%
-233M
38.69%
-313M
34.33%
118M
137.70%
-186M
257.63%
other non cash items
271M
-
-79M
129.15%
-5.19B
6,464.56%
553M
110.66%
-414M
174.86%
-484M
16.91%
-28M
94.21%
-600M
2,042.86%
-963M
60.50%
518M
153.79%
-1.09B
310.62%
net cash provided by operating activities
6.41B
-
3.56B
44.43%
3.73B
4.66%
2.84B
23.87%
2.59B
8.63%
3.95B
52.26%
3.96B
0.43%
3.96B
0.03%
4.14B
4.47%
3.91B
5.63%
4.71B
20.62%
investments in property plant and equipment
-1.62B
-
-1.64B
1.23%
-1.51B
7.80%
-1.22B
19.15%
-1.01B
17.16%
-1.09B
7.99%
-925M
15.53%
-863M
6.70%
-965M
11.82%
-906M
6.11%
-1.11B
22.74%
acquisitions net
-59M
-
-7M
88.14%
4.65B
66,485.71%
57M
98.77%
604M
959.65%
-527M
187.25%
-117M
77.80%
1.35B
1,256.41%
706M
47.82%
-4.68B
763.60%
3.81B
181.30%
purchases of investments
-167M
-
-10M
94.01%
-233M
2,230%
3.98B
1,809.01%
-81M
102.03%
sales maturities of investments
167M
-
10M
94.01%
233M
2,230%
703M
201.72%
177M
74.82%
other investing activites
198M
-
7M
96.46%
-484M
7,014.29%
138M
128.51%
109M
21.01%
398M
265.14%
82M
79.40%
10M
87.80%
233M
2,230%
-3.98B
1,809.01%
19M
100.48%
net cash used for investing activites
-1.48B
-
-1.64B
10.72%
2.65B
261.33%
-1.03B
138.84%
-301M
70.75%
-1.22B
306.64%
-960M
21.57%
500M
152.08%
-26M
105.20%
-4.89B
18,700%
2.81B
157.53%
debt repayment
-8.17B
-
-5.73B
29.83%
-6.62B
15.46%
-7.22B
9.08%
-3.38B
53.15%
-4.68B
38.33%
-5.04B
7.85%
-5.05B
0.16%
-6.25B
23.65%
-3.03B
51.46%
-4.37B
44.06%
common stock issued
4.58B
-
5.11B
11.73%
5.24B
2.41%
7.18B
37.10%
2.16B
69.94%
4.44B
-
7.89B
77.62%
6.12B
22.50%
344M
-
common stock repurchased
-2.90B
-
-1.70B
41.38%
-3.62B
113.06%
-2.60B
28.19%
-2.17B
16.42%
-2.02B
7.08%
-1.48B
26.73%
-1.39B
6.08%
-2.11B
51.80%
-2.02B
4.41%
-1.55B
23.30%
dividends paid
-943M
-
-964M
2.23%
-1.01B
4.56%
-1.09B
8.53%
-1.20B
9.51%
-1.36B
13.44%
-1.54B
13.47%
-1.68B
8.82%
-1.83B
8.82%
-1.99B
8.71%
-2.16B
8.82%
other financing activites
787M
-
592M
24.78%
126M
78.72%
1.87B
1,384.13%
1.23B
34.01%
5.73B
364.10%
837M
85.39%
-1.99B
337.16%
-1M
99.95%
6.58B
657,900%
173M
97.37%
net cash used provided by financing activities
-6.64B
-
-2.69B
59.55%
-5.88B
118.86%
-1.86B
68.35%
-3.36B
80.50%
-2.33B
30.71%
-2.79B
19.67%
-2.21B
20.52%
-4.07B
83.70%
-456M
88.79%
-7.56B
1,557.46%
effect of forex changes on cash
-93M
-
-223M
139.78%
-255M
14.35%
-76M
70.20%
89M
217.11%
-56M
162.92%
10M
117.86%
73M
630%
-143M
295.89%
-169M
18.18%
-32M
81.07%
net change in cash
-1.81B
-
-991M
45.28%
239M
124.12%
-129M
153.97%
-980M
659.69%
339M
134.59%
228M
32.74%
2.32B
918.42%
-97M
104.18%
-1.60B
1,554.64%
-64M
96.01%
cash at beginning of period
4.47B
-
2.62B
41.41%
1.63B
37.80%
1.87B
14.65%
1.74B
6.90%
761M
56.29%
1.10B
44.55%
1.33B
20.73%
3.65B
174.85%
3.55B
2.66%
1.95B
45.17%
cash at end of period
2.66B
-
1.63B
38.78%
1.87B
14.65%
1.74B
6.90%
761M
56.29%
1.10B
44.55%
1.33B
20.73%
3.65B
174.85%
3.55B
2.66%
1.95B
45.17%
1.88B
3.29%
operating cash flow
6.41B
-
3.56B
44.43%
3.73B
4.66%
2.84B
23.87%
2.59B
8.63%
3.95B
52.26%
3.96B
0.43%
3.96B
0.03%
4.14B
4.47%
3.91B
5.63%
4.71B
20.62%
capital expenditure
-1.62B
-
-1.64B
1.23%
-1.51B
7.80%
-1.22B
19.15%
-1.01B
17.16%
-1.09B
7.99%
-925M
15.53%
-863M
6.70%
-965M
11.82%
-906M
6.11%
-1.11B
22.74%
free cash flow
4.79B
-
1.92B
59.90%
2.21B
15.31%
1.61B
27.10%
1.58B
2.17%
2.85B
80.68%
3.04B
6.55%
3.10B
2.01%
3.18B
2.42%
3.00B
5.48%
3.60B
19.99%

All numbers in USD (except ratios and percentages)