Corteva Inc (CTVA)

Industry Agricultural Inputs

This stock can be held in an Investment ISA and an Investment Account
Sell

$58.00

Buy

$64.88

arrow-up$0.03 (+0.05%)

Prices updated at 01 May 2025, 21:06 EDT
| Prices minimum 15 mins delay
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Prices in USD

Income statement

20172018201920202021202220232024
14,240m14,287m13,846m14,217m15,655m17,455m17,226m16,908m
5,838m4,339m5,271m5,710m6,435m7,019m7,306m7,379m
188m-448m584m843m1,317m1,928m2,110m2,096m
1.32-3.144.225.938.4111.0512.2512.40
2,534m-5,065m-959m681m1,759m1,147m735m907m
-30m-3,679m1,419m1,897m3,619m2,728m2,537m2,735m
Sales, General and administrative2,972m3,041m3,065m3,043m3,209m3,173m3,176m3,196m
Interest expenses74m337m136m45m30m79m233m233m
Provision for income taxes-2,943m-31m-46m-81m524m210m152m412m
Operating expenses5,650m4,787m4,687m4,867m5,118m5,091m5,196m5,283m
Income before taxes-374m-6,806m-316m675m2,346m1,426m1,093m1,275m
Net income available to common shareholders2,534m-5,065m-959m681m1,759m1,147m735m907m
3.381372-6.659995-1.280.912.391.591.041.31
Net interest income-74m-251m-77m11m47m45m50m-101m
Advertising and promotion--------
Net investment income, net--------
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)3.381372-6.659995-1.280.912.371.581.031.3
Free cash flow per share---0.71622.2452.54291.0708-0.2070.9294
Book value/share--33.416732.424234.052434.823935.972436.0811
Debt equity ratio-0.0774710.0047310.0443930.0433340.0507070.0915050.082097

Balance sheet

20172018201920202021202220232024
Current assets-13,836m13,519m14,768m15,546m16,795m16,260m15,097m
Current liabilities-9,994m8,238m8,548m9,558m10,744m10,409m10,386m
Total capital-23,738m24,419m25,926m26,484m26,583m27,328m25,742m
Total debt-2,068m122m1,105m1,117m1,307m2,489m2,703m
Total equity-23,559m24,309m24,824m25,384m25,302m25,037m23,789m
Total non current liabilities--------
Loans-179m110m1,102m1,100m1,281m2,291m1,953m
Total assets-42,880m42,397m42,649m42,344m42,618m42,996m40,825m
Total liabilities--------
Cash and cash equivalents-2,128m1,764m3,526m4,459m3,191m2,644m3,106m
Common stock-749m749m743m727m713m701m686m

Cash flow

20172018201920202021202220232024
Cash at beginning of period-7,914m5,024m2,173m3,873m4,836m3,618m3,158m
Cash dividends paid--2,806m-511m-388m-397m-418m-439m-458m
--1,018m-93m1,589m2,154m267m1,174m1,548m
Investments (gains) losses--505m-904m-674m-362m-632m-1,987m-589m
-5,024m2,173m3,873m4,836m3,618m3,158m3,422m
Net income--------
-483m1,070m2,064m2,727m872m1,769m2,145m
--1,501m-1,163m-475m-573m-605m-595m-597m
The figures shown in the tables are quoted in the currency of the stock selected.
Please note that past performance is not a reliable indicator of future returns. Please use the interactive graph for benchmark comparison.


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