bf/NYSE:MOS_icon.jpeg

NYSE:MOS

The Mosaic Company

  • Stock

USD

Last Close

30.77

17/05 20:00

Market Cap

10.53B

Beta: 1.50

Volume Today

2.37M

Avg: 4.39M

PE Ratio

7.47

PFCF: 6.83

Dividend Yield

3.49%

Payout:25.52%

May '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
1.89B
-
1.03B
45.53%
1.00B
2.78%
301.20M
69.93%
-104.20M
134.59%
469.90M
550.96%
-1.09B
332.13%
665.60M
161.02%
1.63B
145.63%
3.61B
121.07%
1.21B
66.54%
depreciation and amortization
604.80M
-
750.90M
24.16%
739.80M
1.48%
711.20M
3.87%
665.50M
6.43%
883.90M
32.82%
1.50B
69.18%
948.50M
36.57%
810.10M
14.59%
933.90M
15.28%
960.60M
2.86%
deferred income tax
200M
-
-153.80M
176.90%
47.40M
130.82%
-182.60M
485.23%
612.40M
435.38%
-101.80M
116.62%
-261.30M
156.68%
-684M
161.77%
98.80M
114.44%
344.40M
248.58%
-261.20M
175.84%
stock based compensation
28.20M
-
54.30M
92.55%
41.30M
23.94%
30.50M
26.15%
28M
8.20%
27.50M
1.79%
27.90M
1.45%
17.80M
36.20%
29.50M
65.73%
27.90M
5.42%
33M
18.28%
change in working capital
-931.90M
-
301.20M
132.32%
-163.90M
154.42%
314.20M
291.70%
-316.90M
200.86%
-21.70M
93.15%
-19.40M
10.60%
526.90M
2,815.98%
-629.70M
219.51%
-992.50M
57.61%
401.70M
140.47%
accounts receivables
-355.10M
-
261.60M
173.67%
-413.80M
258.18%
249.20M
160.22%
-114.90M
146.11%
-342M
197.65%
125.40M
136.67%
-333.30M
365.79%
-995.10M
198.56%
-215.20M
78.37%
1.00
100.00%
inventory
-315.50M
-
-129.70M
58.89%
-53.70M
58.60%
263M
589.76%
-155.70M
159.20%
-497.40M
219.46%
128.10M
125.75%
191.40M
49.41%
-1.07B
657.94%
-749.60M
29.81%
1.06B
241.60%
accounts payables
-100.50M
-
277.20M
375.82%
301.80M
8.87%
-243.90M
180.82%
-65.70M
73.06%
342M
620.55%
-125.40M
136.67%
333.30M
365.79%
995.10M
198.56%
219.80M
77.91%
-1.06B
580.03%
other working capital
-160.80M
-
-107.90M
32.90%
1.80M
101.67%
45.90M
2,450%
19.40M
57.73%
475.70M
2,352.06%
-147.50M
131.01%
335.50M
327.46%
438.20M
30.61%
-247.50M
156.48%
395.40M
259.76%
other non cash items
94.60M
-
310.70M
228.44%
141.20M
54.55%
91.60M
35.13%
50.70M
44.65%
192.80M
280.28%
943.60M
389.42%
107.80M
88.58%
243.40M
125.79%
7.90M
96.75%
63.90M
708.86%
net cash provided by operating activities
1.89B
-
2.29B
21.52%
1.81B
21.19%
1.27B
29.96%
935.50M
26.11%
1.45B
55.06%
1.10B
24.49%
1.58B
44.48%
2.19B
38.19%
3.94B
79.96%
2.41B
38.84%
investments in property plant and equipment
-1.59B
-
-929.10M
41.50%
-1.00B
7.66%
-843.10M
15.72%
-820.10M
2.73%
-993.30M
21.12%
-1.27B
28.08%
-1.17B
7.99%
-1.29B
10.08%
-1.25B
3.21%
-1.40B
12.43%
acquisitions net
-15M
-
-1.80B
11,890.67%
-124.80M
93.06%
-413M
230.93%
-112M
72.88%
-986.80M
781.07%
-55.10M
94.42%
1.17B
2,224.50%
-24.10M
102.06%
117.40M
-
purchases of investments
-1.66B
-
-1.68B
1.02%
-534.50M
68.11%
-15.40M
97.12%
-6.10M
60.39%
-3.20M
47.54%
-762.50M
23,728.13%
-1.24B
62.73%
sales maturities of investments
1.03B
-
1.66B
61.09%
518.80M
68.71%
2.30M
99.56%
1.70M
26.09%
800K
52.94%
743M
92,775%
1.21B
62.73%
other investing activites
13.50M
-
-11.40M
184.44%
-623.30M
5,367.54%
836.70M
234.24%
282.50M
66.24%
12.30M
95.65%
-20.50M
266.67%
-1.19B
5,680.98%
-7.20M
99.39%
7.20M
200%
-500K
106.94%
net cash used for investing activites
-1.59B
-
-2.74B
72.29%
-1.75B
36.17%
-1.05B
39.97%
-667.80M
36.37%
-1.98B
197.02%
-1.36B
31.39%
-1.19B
12.59%
-1.32B
11.16%
-1.26B
4.74%
-1.32B
4.57%
debt repayment
-264.60M
-
-222.50M
15.91%
-426.80M
91.82%
-1.19B
178.91%
-703.60M
40.89%
-947.30M
34.64%
-602.50M
36.40%
-1.60B
166.34%
-1.33B
16.81%
-2.37B
77.65%
-10.83B
356.56%
common stock issued
1.46B
-
1.01B
30.65%
384.40M
62.02%
1.12B
190.58%
591M
-
1.03B
-
10.91B
-
common stock repurchased
-1.16B
-
-2.76B
137.02%
-709.50M
74.25%
-75M
89.43%
-149.90M
-
-410.90M
-
-1.67B
305.26%
-756M
54.60%
dividends paid
-426.60M
-
-382.50M
10.34%
-384.70M
0.58%
-385.10M
0.10%
-210.60M
45.31%
-38.50M
81.72%
-67.20M
74.55%
-75.80M
12.80%
-103.70M
36.81%
-197.70M
90.65%
-351.60M
77.85%
other financing activites
-3.60M
-
8.10M
325%
243.20M
2,902.47%
-355.10M
246.01%
2.12B
695.61%
261M
87.66%
146.40M
43.91%
1.40B
854.03%
138.10M
90.11%
1.56B
1,026.50%
-452.70M
129.10%
net cash used provided by financing activities
-397.80M
-
-2.34B
488.24%
-893.40M
61.82%
-888.60M
0.54%
1.20B
235.13%
-724.80M
160.36%
-82.20M
88.66%
-283.80M
245.26%
-682.10M
140.35%
-2.68B
292.71%
-1.48B
44.73%
effect of forex changes on cash
-13.80M
-
-133.10M
864.49%
-264.10M
98.42%
68.80M
126.05%
14.50M
78.92%
-65.70M
553.10%
9M
113.70%
-47.20M
624.44%
9.30M
119.70%
-29.70M
419.35%
-2.80M
90.57%
net change in cash
-113.90M
-
-2.92B
2,462.34%
-1.10B
62.37%
-603.20M
45.08%
1.48B
345.86%
-1.32B
189.24%
-338.70M
74.41%
62.10M
118.33%
191.90M
209.02%
-32.20M
116.78%
-393.30M
1,121.43%
cash at beginning of period
3.81B
-
5.29B
38.89%
2.37B
55.14%
1.28B
46.25%
711.40M
44.26%
2.19B
208.46%
871M
60.31%
532.30M
38.89%
594.40M
11.67%
786.30M
32.28%
754.10M
4.10%
cash at end of period
3.70B
-
2.37B
35.77%
1.28B
46.25%
673.10M
47.26%
2.19B
226.01%
871M
60.31%
532.30M
38.89%
594.40M
11.67%
786.30M
32.28%
754.10M
4.10%
360.80M
52.15%
operating cash flow
1.89B
-
2.29B
21.52%
1.81B
21.19%
1.27B
29.96%
935.50M
26.11%
1.45B
55.06%
1.10B
24.49%
1.58B
44.48%
2.19B
38.19%
3.94B
79.96%
2.41B
38.84%
capital expenditure
-1.59B
-
-929.10M
41.50%
-1.00B
7.66%
-843.10M
15.72%
-820.10M
2.73%
-993.30M
21.12%
-1.27B
28.08%
-1.17B
7.99%
-1.29B
10.08%
-1.25B
3.21%
-1.40B
12.43%
free cash flow
299.20M
-
1.36B
356.08%
807.30M
40.84%
423M
47.60%
115.40M
72.72%
457.30M
296.27%
-176.80M
138.66%
412M
333.03%
898.40M
118.06%
2.69B
199.25%
1.00B
62.63%

All numbers in USD (except ratios and percentages)