Corteva, Inc.
NYSE:CTVA
58.33 (USD) • At close November 8, 2024
Overview | Financials
Numbers are in millions (except for per share data and ratios) USD.
2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | |
---|---|---|---|---|---|---|---|---|
Operating Activities: | ||||||||
Net Income
| 941 | 1,158 | 1,769 | 701 | -941 | -5,027 | 2,709 | 2,070 |
Depreciation & Amortization
| 1,211 | 1,223 | 1,243 | 1,177 | 1,599 | 2,790 | 1,543 | 1,226 |
Deferred Income Tax
| -438 | -286 | 174 | -330 | -477 | 31 | -3,015 | 0 |
Stock Based Compensation
| 54 | 55 | 79 | 73 | 84 | 0 | 0 | 0 |
Change In Working Capital
| -786 | -1,549 | 656 | 359 | -556 | -2,942 | -583 | -1,075 |
Accounts Receivables
| 358 | -997 | -113 | 187 | -361 | -1,522 | -162 | -270 |
Inventory
| 57 | -1,715 | -422 | 104 | 74 | -498 | -1,010 | 0 |
Accounts Payables
| -663 | 807 | 524 | -118 | 149 | 642 | 934 | 0 |
Other Working Capital
| -538 | 356 | 667 | 186 | -418 | -1,564 | -345 | -805 |
Other Non Cash Items
| 765 | 271 | 198 | 563 | 736 | 1,379 | 2,917 | 3,858 |
Operating Cash Flow
| 1,769 | 872 | 2,727 | 2,064 | 1,070 | 483 | 247 | 3,357 |
Investing Activities: | ||||||||
Investments In Property Plant And Equipment
| -595 | -605 | -573 | -475 | -1,163 | -1,501 | -1,113 | -1,019 |
Acquisitions Net
| -1,488 | -48 | -4 | -1 | 1 | 1 | 1,325 | 316 |
Purchases Of Investments
| -148 | -344 | -204 | -995 | -138 | -1,257 | -6,527 | -2,652 |
Sales Maturities Of Investments
| 189 | 295 | 345 | 721 | 160 | 2,186 | 6,915 | 2,181 |
Other Investing Activites
| 55 | 70 | 74 | 76 | 236 | 66 | -214 | -340 |
Investing Cash Flow
| -1,987 | -632 | -362 | -674 | -904 | -505 | 386 | -1,514 |
Financing Activities: | ||||||||
Debt Repayment
| -2,309 | -1,140 | -421 | -1,441 | -5,803 | -5,956 | -4,031 | -240 |
Common Stock Issued
| 3,454 | 88 | 532 | 2,495 | 47 | 85 | 265 | 154 |
Common Stock Repurchased
| -756 | -1,000 | -950 | -275 | -25 | 0 | 0 | -916 |
Dividends Paid
| -439 | -418 | -397 | -388 | -511 | -2,806 | -1,827 | -1,335 |
Other Financing Activities
| -49 | 1,290 | -30 | -88 | 3,093 | 6,138 | -64 | -48 |
Financing Cash Flow
| -99 | -1,180 | -1,266 | 303 | -2,929 | -2,624 | 2,405 | -2,385 |
Other Information: | ||||||||
Effect Of Forex Changes On Cash
| -143 | -278 | -136 | 7 | -88 | -244 | 165 | 0 |
Net Change In Cash
| -460 | -1,218 | 963 | 1,700 | -2,851 | -2,890 | 3,203 | -542 |
Cash At End Of Period
| 3,158 | 3,618 | 4,836 | 3,873 | 2,173 | 5,024 | 7,808 | -542 |