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BKR Baker Hughes

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  • 35.410
  • -5.450-13.34%
Close Apr 4 16:00 ET
  • 35.290
  • -0.120-0.34%
Post 19:52 ET
35.06BMarket Cap11.88P/E (TTM)

Baker Hughes Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
8.82%3.33B
27.68%1.19B
24.69%1.01B
-59.49%348M
70.07%784M
62.18%3.06B
3.79%932M
35.68%810M
167.60%859M
540.28%461M
Net income from continuing operations
52.69%3.01B
164.08%1.19B
47.52%773M
40.34%581M
-20.31%463M
440.83%1.97B
139.89%451M
5,922.22%524M
149.46%414M
626.25%581M
Operating gains losses
38.32%-367M
-545.45%-196M
-1.01%-100M
87.16%-19M
86.73%-52M
-183.10%-595M
-65.08%44M
-290.38%-99M
-126.96%-148M
-3,463.64%-392M
Depreciation and amortization
4.51%1.14B
6.57%292M
3.73%278M
2.54%283M
5.20%283M
2.45%1.09B
7.45%274M
5.10%268M
0.73%276M
-2.89%269M
Deferred tax
-1,037.29%-671M
-455.91%-706M
104.76%2M
9.62%57M
-141.38%-24M
-156.19%-59M
-308.20%-127M
-162.69%-42M
213.04%52M
152.17%58M
Change In working capital
-111.45%-53M
69.82%484M
-95.96%4M
-400.50%-604M
151.64%63M
119.43%463M
14.46%285M
800.00%99M
-33.00%201M
65.04%-122M
-Change in receivables
78.70%-255M
35.65%-296M
210.67%197M
-263.29%-287M
127.29%131M
-70.76%-1.2B
-240.74%-460M
-111.90%-178M
67.08%-79M
-98.35%-480M
-Change in inventory
77.87%-102M
194.12%48M
66.67%-26M
310.45%141M
0.00%-265M
47.91%-461M
80.31%-51M
64.22%-78M
67.00%-67M
-29.27%-265M
-Change in payables and accrued expense
49.18%91M
-51.48%131M
-403.77%-267M
127.14%54M
302.33%173M
-89.92%61M
-21.05%270M
-167.95%-53M
-279.28%-199M
-41.89%43M
-Change in other working capital
-89.66%213M
14.26%601M
-75.49%100M
-193.77%-512M
-95.86%24M
72.82%2.06B
74.75%526M
73.62%408M
-13.61%546M
2,316.67%580M
Cash from discontinued investing activities
Operating cash flow
8.82%3.33B
27.68%1.19B
24.69%1.01B
-59.49%348M
70.07%784M
62.18%3.06B
3.79%932M
35.68%810M
167.60%859M
540.28%461M
Investing cash flow
Cash flow from continuing investing activities
-24.36%-1.02B
30.89%-217M
-202.25%-269M
-41.08%-261M
-17.47%-269M
47.76%-817M
68.09%-314M
40.67%-89M
-12.80%-185M
13.91%-229M
Capital expenditure reported
-4.41%-1.28B
0.84%-353M
-6.76%-300M
-5.42%-292M
-7.42%-333M
-23.76%-1.22B
-32.34%-356M
-24.34%-281M
-22.57%-277M
-15.67%-310M
Net business purchase and sale
--0
--0
--0
----
----
98.96%-8M
--0
---19M
----
----
Net investment purchase and sale
-75.27%92M
--71M
----
----
----
1,330.77%372M
--0
----
----
----
Net other investing changes
295.35%170M
54.76%65M
106.21%10M
-61.73%31M
-20.99%64M
-74.10%43M
223.53%42M
-422.00%-161M
-45.27%81M
3,950.00%81M
Cash from discontinued investing activities
Investing cash flow
-24.36%-1.02B
30.89%-217M
-202.25%-269M
-41.08%-261M
-17.47%-269M
47.76%-817M
68.09%-314M
40.67%-89M
-12.80%-185M
13.91%-229M
Financing cash flow
Cash flow from continuing financing activities
24.70%-1.53B
79.95%-234M
-17.04%-364M
-67.33%-502M
-70.80%-427M
-27.39%-2.03B
-295.59%-1.17B
27.51%-311M
24.81%-300M
46.70%-250M
Net issuance payments of debt
78.03%-143M
98.62%-9M
---9M
----
----
---651M
---651M
--0
----
----
Net common stock issuance
10.04%-484M
97.49%-8M
-26.67%-152M
-67.68%-166M
---158M
35.02%-538M
-215.84%-319M
54.72%-120M
56.19%-99M
--0
Cash dividends paid
-6.36%-836M
-4.00%-208M
-3.47%-209M
-8.85%-209M
-9.38%-210M
-8.26%-786M
-5.26%-200M
-10.99%-202M
-13.61%-192M
-3.78%-192M
Net other financing activities
-20.75%-64M
-400.00%-9M
-45.45%6M
77.78%-2M
-1.72%-59M
-39.47%-53M
175.00%3M
-38.89%11M
40.00%-9M
-56.76%-58M
Cash from discontinued financing activities
Financing cash flow
24.70%-1.53B
79.95%-234M
-17.04%-364M
-67.33%-502M
-70.80%-427M
-27.39%-2.03B
-295.59%-1.17B
27.51%-311M
24.81%-300M
46.70%-250M
Net cash flow
Beginning cash position
6.35%2.65B
-16.78%2.66B
-18.57%2.28B
12.51%2.72B
6.35%2.65B
-35.43%2.49B
12.28%3.2B
-4.20%2.81B
-24.32%2.42B
-35.43%2.49B
Current changes in cash
263.59%789M
234.61%739M
-8.05%377M
-210.96%-415M
588.89%88M
117.11%217M
-44.09%-549M
2,177.78%410M
254.55%374M
97.29%-18M
Effect of exchange rate changes
-20.34%-71M
-550.00%-39M
121.43%3M
-212.50%-18M
69.09%-17M
39.18%-59M
-133.33%-6M
85.26%-14M
176.19%16M
-5,600.00%-55M
End cash Position
27.14%3.36B
27.14%3.36B
-16.78%2.66B
-18.57%2.28B
12.51%2.72B
6.35%2.65B
6.35%2.65B
12.28%3.2B
-4.20%2.81B
-24.32%2.42B
Free cash flow
11.75%2.05B
45.31%837M
34.22%710M
-90.38%56M
198.68%451M
104.45%1.84B
-8.43%576M
42.59%529M
512.63%582M
177.04%151M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 8.82%3.33B27.68%1.19B24.69%1.01B-59.49%348M70.07%784M62.18%3.06B3.79%932M35.68%810M167.60%859M540.28%461M
Net income from continuing operations 52.69%3.01B164.08%1.19B47.52%773M40.34%581M-20.31%463M440.83%1.97B139.89%451M5,922.22%524M149.46%414M626.25%581M
Operating gains losses 38.32%-367M-545.45%-196M-1.01%-100M87.16%-19M86.73%-52M-183.10%-595M-65.08%44M-290.38%-99M-126.96%-148M-3,463.64%-392M
Depreciation and amortization 4.51%1.14B6.57%292M3.73%278M2.54%283M5.20%283M2.45%1.09B7.45%274M5.10%268M0.73%276M-2.89%269M
Deferred tax -1,037.29%-671M-455.91%-706M104.76%2M9.62%57M-141.38%-24M-156.19%-59M-308.20%-127M-162.69%-42M213.04%52M152.17%58M
Change In working capital -111.45%-53M69.82%484M-95.96%4M-400.50%-604M151.64%63M119.43%463M14.46%285M800.00%99M-33.00%201M65.04%-122M
-Change in receivables 78.70%-255M35.65%-296M210.67%197M-263.29%-287M127.29%131M-70.76%-1.2B-240.74%-460M-111.90%-178M67.08%-79M-98.35%-480M
-Change in inventory 77.87%-102M194.12%48M66.67%-26M310.45%141M0.00%-265M47.91%-461M80.31%-51M64.22%-78M67.00%-67M-29.27%-265M
-Change in payables and accrued expense 49.18%91M-51.48%131M-403.77%-267M127.14%54M302.33%173M-89.92%61M-21.05%270M-167.95%-53M-279.28%-199M-41.89%43M
-Change in other working capital -89.66%213M14.26%601M-75.49%100M-193.77%-512M-95.86%24M72.82%2.06B74.75%526M73.62%408M-13.61%546M2,316.67%580M
Cash from discontinued investing activities
Operating cash flow 8.82%3.33B27.68%1.19B24.69%1.01B-59.49%348M70.07%784M62.18%3.06B3.79%932M35.68%810M167.60%859M540.28%461M
Investing cash flow
Cash flow from continuing investing activities -24.36%-1.02B30.89%-217M-202.25%-269M-41.08%-261M-17.47%-269M47.76%-817M68.09%-314M40.67%-89M-12.80%-185M13.91%-229M
Capital expenditure reported -4.41%-1.28B0.84%-353M-6.76%-300M-5.42%-292M-7.42%-333M-23.76%-1.22B-32.34%-356M-24.34%-281M-22.57%-277M-15.67%-310M
Net business purchase and sale --0--0--0--------98.96%-8M--0---19M--------
Net investment purchase and sale -75.27%92M--71M------------1,330.77%372M--0------------
Net other investing changes 295.35%170M54.76%65M106.21%10M-61.73%31M-20.99%64M-74.10%43M223.53%42M-422.00%-161M-45.27%81M3,950.00%81M
Cash from discontinued investing activities
Investing cash flow -24.36%-1.02B30.89%-217M-202.25%-269M-41.08%-261M-17.47%-269M47.76%-817M68.09%-314M40.67%-89M-12.80%-185M13.91%-229M
Financing cash flow
Cash flow from continuing financing activities 24.70%-1.53B79.95%-234M-17.04%-364M-67.33%-502M-70.80%-427M-27.39%-2.03B-295.59%-1.17B27.51%-311M24.81%-300M46.70%-250M
Net issuance payments of debt 78.03%-143M98.62%-9M---9M-----------651M---651M--0--------
Net common stock issuance 10.04%-484M97.49%-8M-26.67%-152M-67.68%-166M---158M35.02%-538M-215.84%-319M54.72%-120M56.19%-99M--0
Cash dividends paid -6.36%-836M-4.00%-208M-3.47%-209M-8.85%-209M-9.38%-210M-8.26%-786M-5.26%-200M-10.99%-202M-13.61%-192M-3.78%-192M
Net other financing activities -20.75%-64M-400.00%-9M-45.45%6M77.78%-2M-1.72%-59M-39.47%-53M175.00%3M-38.89%11M40.00%-9M-56.76%-58M
Cash from discontinued financing activities
Financing cash flow 24.70%-1.53B79.95%-234M-17.04%-364M-67.33%-502M-70.80%-427M-27.39%-2.03B-295.59%-1.17B27.51%-311M24.81%-300M46.70%-250M
Net cash flow
Beginning cash position 6.35%2.65B-16.78%2.66B-18.57%2.28B12.51%2.72B6.35%2.65B-35.43%2.49B12.28%3.2B-4.20%2.81B-24.32%2.42B-35.43%2.49B
Current changes in cash 263.59%789M234.61%739M-8.05%377M-210.96%-415M588.89%88M117.11%217M-44.09%-549M2,177.78%410M254.55%374M97.29%-18M
Effect of exchange rate changes -20.34%-71M-550.00%-39M121.43%3M-212.50%-18M69.09%-17M39.18%-59M-133.33%-6M85.26%-14M176.19%16M-5,600.00%-55M
End cash Position 27.14%3.36B27.14%3.36B-16.78%2.66B-18.57%2.28B12.51%2.72B6.35%2.65B6.35%2.65B12.28%3.2B-4.20%2.81B-24.32%2.42B
Free cash flow 11.75%2.05B45.31%837M34.22%710M-90.38%56M198.68%451M104.45%1.84B-8.43%576M42.59%529M512.63%582M177.04%151M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------

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