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COM:VALARIS

Valaris

  • Stock

Last Close

47.69

22/11 14:58

Market Cap

3.39B

Beta: -

Volume Today

110.36K

Avg: -

Preview

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Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
1.42B
-
-3.90B
375.18%
-1.59B
59.13%
890.20M
155.82%
-303.70M
134.12%
-639.70M
110.64%
-192.20M
69.95%
-4.86B
2,427.37%
-4.49B
7.48%
181.80M
104.05%
866.80M
376.79%
depreciation and amortization
611.90M
-
537.90M
12.09%
572.50M
6.43%
445.30M
22.22%
444.80M
0.11%
478.90M
7.67%
592.90M
23.80%
547M
7.74%
225.70M
58.74%
82.20M
63.58%
101.10M
22.99%
deferred income tax
6.20M
-
-123.50M
2,091.94%
-158M
27.94%
28.70M
118.16%
55M
91.64%
56.60M
2.91%
23.90M
57.77%
-105.70M
542.26%
-39.50M
62.63%
7.90M
120%
-786.40M
10,054.43%
stock based compensation
50.30M
-
45.10M
10.34%
40.20M
10.86%
39.60M
1.49%
41.20M
4.04%
41.60M
0.97%
37.30M
10.34%
21.40M
42.63%
9.10M
57.48%
17.40M
91.21%
27.30M
56.90%
change in working capital
-246M
-
1.30B
628.82%
-279.30M
121.47%
915.30M
427.71%
-1.57B
271.68%
-72.30M
95.40%
-52.50M
27.39%
-22M
58.10%
73.20M
432.73%
35.40M
51.64%
121.80M
244.07%
accounts receivables
1.10M
-
-38.50M
3,600%
269.50M
800%
222.30M
17.51%
83.20M
62.57%
-6.20M
107.45%
29.50M
575.81%
53.30M
80.68%
4.90M
90.81%
-6.90M
240.82%
44.90M
750.72%
inventory
accounts payables
other working capital
-247.10M
-
1.34B
642.05%
-548.80M
140.97%
693M
226.28%
-1.65B
338.76%
-66.10M
96.01%
-82M
24.05%
-75.30M
8.17%
68.30M
190.70%
42.30M
38.07%
76.90M
81.80%
other non cash items
139.90M
-
4.20B
2,899.50%
3.11B
25.97%
-1.24B
139.90%
1.59B
228.48%
81.70M
94.87%
-686.30M
940.02%
4.17B
706.91%
4.16B
0.13%
-197.20M
104.74%
-63.10M
68.00%
net cash provided by operating activities
1.98B
-
2.05B
3.72%
1.69B
17.87%
1.08B
36.01%
258.60M
76.04%
-53.20M
120.57%
-276.90M
420.49%
-251.70M
9.10%
-66M
73.78%
127.50M
293.18%
267.50M
109.80%
investments in property plant and equipment
-1.78B
-
-1.57B
11.83%
-1.62B
3.23%
-322.20M
80.10%
-536.70M
66.57%
-426.70M
20.50%
-227M
46.80%
-93.80M
58.68%
-58.90M
37.21%
-207M
251.44%
-696.10M
236.28%
acquisitions net
707.30M
-
422.70M
40.24%
262.60M
37.88%
-871.60M
431.91%
-111M
87.26%
931.90M
939.55%
44.60M
95.21%
55.20M
23.77%
150.30M
172.28%
30.30M
79.84%
purchases of investments
-50M
-
-790.60M
1,481.20%
-1.78B
125.15%
-2.47B
39.02%
-1.04B
57.97%
-919M
11.63%
-145M
84.22%
-220M
-
sales maturities of investments
50M
-
83.30M
66.60%
1.36B
1,529.41%
2.21B
62.97%
2.04B
7.66%
1.03B
49.57%
474M
53.98%
220M
-
other investing activites
54.50M
-
-428.80M
886.79%
-418.90M
2.31%
-246.50M
41.16%
2.80M
101.14%
122M
4,257.14%
17.70M
85.49%
7.20M
59.32%
40M
-
net cash used for investing activites
-1.72B
-
-2.00B
15.82%
-2.04B
2.04%
-568.70M
72.10%
-403M
29.14%
-304.70M
24.39%
1.05B
445.13%
-42M
103.99%
-3.70M
91.19%
-16.70M
351.35%
-665.80M
3,886.83%
debt repayment
-47.50M
-
-60.10M
26.53%
-1.07B
1,684.53%
-863.90M
19.45%
-537M
37.84%
-771.20M
43.61%
-1.14B
48.22%
-24.70M
97.84%
-390.10M
1,479.35%
-571.80M
-
common stock issued
common stock repurchased
22.30M
-
2.60M
88.34%
300K
88.46%
585.50M
195,066.67%
-2.50M
-
-198.60M
7,844%
dividends paid
-525.60M
-
-703M
33.75%
-141.20M
79.91%
-11.60M
91.78%
-13.80M
18.97%
-17.90M
29.71%
-4.50M
74.86%
other financing activites
-26.30M
-
1.20B
4,674.90%
1.02B
15.09%
819M
19.83%
-19.70M
102.41%
977.30M
5,060.91%
195.30M
80.02%
546.90M
180.03%
-1.40M
100.26%
-3.90M
178.57%
1.06B
27,174.36%
net cash used provided by financing activities
-577.10M
-
442.70M
176.71%
-191.80M
143.33%
529M
375.81%
-570.50M
207.84%
188.20M
132.99%
-952.30M
606.00%
522.20M
154.84%
388.70M
25.56%
-6.40M
101.65%
285.50M
4,560.94%
effect of forex changes on cash
-200K
-
-300K
-
-1.40M
366.67%
600K
142.86%
-600K
200%
-300K
50%
100K
133.33%
-200K
300%
-500K
150%
net change in cash
-321.50M
-
499.20M
255.27%
-543.50M
208.87%
1.04B
291.06%
-714.30M
168.79%
-170.30M
76.16%
-177.90M
4.46%
228.60M
228.50%
318.80M
39.46%
103.90M
67.41%
-112.80M
208.57%
cash at beginning of period
487M
-
166M
65.91%
664.80M
300.48%
121.30M
81.75%
1.16B
856.06%
445.40M
61.59%
275.10M
38.24%
97.20M
64.67%
325.80M
235.19%
644.60M
97.85%
748.50M
16.12%
cash at end of period
165.50M
-
665.20M
301.93%
121.30M
81.76%
1.16B
856.06%
445.40M
61.59%
275.10M
38.24%
97.20M
64.67%
325.80M
235.19%
644.60M
97.85%
748.50M
16.12%
635.70M
15.07%
operating cash flow
1.98B
-
2.05B
3.72%
1.69B
17.87%
1.08B
36.01%
258.60M
76.04%
-53.20M
120.57%
-276.90M
420.49%
-251.70M
9.10%
-66M
73.78%
127.50M
293.18%
267.50M
109.80%
capital expenditure
-1.78B
-
-1.57B
11.83%
-1.62B
3.23%
-322.20M
80.10%
-536.70M
66.57%
-426.70M
20.50%
-227M
46.80%
-93.80M
58.68%
-58.90M
37.21%
-207M
251.44%
-696.10M
236.28%
free cash flow
201.30M
-
485.30M
141.08%
67.50M
86.09%
757.30M
1,021.93%
-278.10M
136.72%
-479.90M
72.56%
-503.90M
5.00%
-345.50M
31.43%
-124.90M
63.85%
-79.50M
36.35%
-428.60M
439.12%

All numbers in (except ratios and percentages)