Corteva, Inc.

NYSE:CTVA

59.97 (USD) • At close March 11, 2025
Overview | Financials

Numbers are in millions (except for per share data and ratios) USD.

202420232022202120202019201820172016
Operating Activities:
Net Income 9199411,1581,769701-941-5,0272,7092,070
Depreciation & Amortization 1,2271,2111,2231,2431,1771,5992,7901,5431,226
Deferred Income Tax -365-438-286174-330-47731-3,0150
Stock Based Compensation 0055797384000
Change In Working Capital 0-786-1,549656359-556-2,942-583-1,075
Accounts Receivables 0358-997-113187-361-1,522-162-270
Inventory 1,11057-1,715-42210474-498-1,0100
Accounts Payables -115-663807524-1181496429340
Other Working Capital -382-538356667186-418-1,564-345-805
Other Non Cash Items 5158412711985637361,3792,9173,858
Operating Cash Flow 2,2961,7698722,7272,0641,0704832473,357
Investing Activities:
Investments In Property Plant And Equipment -597-595-605-573-475-1,163-1,501-1,113-1,019
Acquisitions Net 0-1,456-48-4-1111,325316
Purchases Of Investments -144-148-344-204-995-138-1,257-6,527-2,652
Sales Maturities Of Investments 1761672953457211602,1866,9152,181
Other Investing Activites -244570747623666-214-340
Investing Cash Flow -589-1,987-632-362-674-904-505386-1,514
Financing Activities:
Debt Repayment 2401,11420511998-5,803-4,8004,031-240
Common Stock Issued 00000085265154
Common Stock Repurchased -1,009-756-1,000-950-275-2500-916
Dividends Paid -458-439-418-397-388-511-2,806-1,827-1,335
Other Financing Activities 28-183370-323,4104,982-903-48
Financing Cash Flow -1,199-99-1,180-1,266303-2,929-2,6242,405-2,385
Other Information:
Effect Of Forex Changes On Cash -93-143-278-1367-88-2441650
Net Change In Cash 264-460-1,2189631,700-2,851-2,8903,203-542
Cash At End Of Period 3,4223,1583,6184,8363,8732,1735,0247,808-542