CVX stock fundamentals - financials
Financials
- accounts Payable 17,942,000,000
- cash Change 15,798,000,000
- cash Flow 7,205,000,000
- cash Flow Financing --6,573,000,000
- changes In Inventories 9,232,000,000
- changes In Receivables 19,021,000,000
- common Stock 1,891,695,000
- cost Of Revenue 29,407,000,000
- currency USD
- current Assets 48,351,000,000
- current Cash 15,798,000,000
- current Debt 2,931,000,000
- current Long Term Debt 2,931,000,000
- depreciation 3,526,000,000
- ebit 9,309,000,000
- ebitda 12,835,000,000
- filing Type 10-Q
- fiscal Date 2023-03-31
- fiscal Quarter 1
- fiscal Year 2023
- goodwill 4,722,000,000
- gross Profit 19,435,000,000
- income Tax 2,914,000,000
- intangible Assets 0
- interest Income 115,000,000
- inventory 9,232,000,000
- long Term Debt 20,275,000,000
- long Term Investments 207,535,000,000
- minority Interest 985,000,000
- net Borrowings 3,108,000,000
- net Income 6,574,000,000
- net Income Basic 6,574,000,000
- net Tangible Assets 154,727,000,000
- operating Expense 41,121,000,000
- operating Income 7,721,000,000
- operating Revenue 48,842,000,000
- other Assets 13,182,000,000
- other Current Assets 4,300,000,000
- other Current Liabilities 12,862,000,000
- other Income Expense Net 0
- other Liabilities 23,706,000,000
- pretax Income 9,519,000,000
- property Plant Equipment 142,951,000,000
- receivables 19,021,000,000
- report Date 2023-05-04
- research And Development 0
- retained Earnings 193,738,000,000
- revenue 48,842,000,000
- selling General And Admin 881,000,000
- shareholder Equity 159,449,000,000
- short Term Debt 2,931,000,000
- short Term Investments 4,300,000,000
- symbol CVX
- total Assets 255,886,000,000
- total Cash 15,798,000,000
- total Debt 23,206,000,000
- total Investing Cash Flows --2,807,000,000
- total Liabilities 96,437,000,000
- total Revenue 48,842,000,000
- treasury Stock --51,854,000,000
- id FINANCIALS
- key CVX
- subkey quarterly
- date 2023-03-31
- updated 2023-05-12
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