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Anheuser-Busch Inbev SA

BUD

61.140USD

-0.250-0.41%
Close 08/13, 16:00ETQuotes delayed by 15 min
105.81BMarket Cap
15.31P/E TTM
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2018H2
FY2018H1
FY2017H2
FY2017H1
FY2016H2
FY2016H1
FY2015H2
FY2015H1
FY2014H2
FY2014H1
FY2013H2
FY2013H1
FY2012H2
FY2012H1
Operating cash flows (indirect method)
Cash flow from continuing operating activities
-5.75%10.76B
-14.76%3.42B
49.04%11.41B
63.80%4.02B
-18.60%7.66B
-47.96%2.45B
-0.17%9.41B
-0.15%4.71B
-7.44%9.42B
28.15%4.72B
17.38%10.18B
-19.83%3.68B
--8.67B
--4.59B
Net income from continuing operations
-71.93%1.57B
-0.28%3.59B
187.78%5.58B
334.26%3.60B
-56.95%1.94B
-84.54%829.00M
-28.39%4.51B
7.01%5.36B
2.33%6.29B
-51.68%5.01B
28.48%6.15B
128.44%10.37B
--4.79B
--4.54B
Operating gains losses
4.67%2.33B
10.14%2.40B
--2.23B
35.76%2.18B
----
2.29%1.60B
-12.25%1.65B
-0.88%1.57B
15.57%1.88B
9.10%1.58B
11.99%1.63B
3.50%1.45B
--1.45B
--1.40B
Other non-cash items
2800.00%58.00M
-92.59%-208.00M
-99.99%2.00M
-52.11%-108.00M
19029.75%22.91B
-226.79%-71.00M
-503.33%-121.00M
118.36%56.00M
134.09%30.00M
95.18%-305.00M
-120.00%-88.00M
-11809.26%-6.32B
---40.00M
--54.00M
Change in working capital
14.58%2.57B
2.27%-2.58B
115.73%2.24B
-36.22%-2.64B
-671.15%-14.26B
-67.21%-1.94B
47.87%2.50B
12.92%-1.16B
-17.01%1.69B
26.91%-1.33B
-2.54%2.03B
-13.18%-1.82B
--2.09B
---1.61B
-Change in receivables
199.15%234.00M
-211.88%-339.00M
---236.00M
184.40%303.00M
----
-31.50%-359.00M
-55.30%135.00M
59.44%-273.00M
-5.03%302.00M
-96.21%-673.00M
2550.00%318.00M
-200.88%-343.00M
--12.00M
---114.00M
-Change in inventory
-577.42%-148.00M
-80.33%-440.00M
--31.00M
26.06%-244.00M
----
-2.48%-330.00M
-157.30%-102.00M
39.47%-322.00M
154.29%178.00M
-167.34%-532.00M
-27.84%70.00M
12.33%-199.00M
--97.00M
---227.00M
-Change in payables and accrued expense
-3.13%2.69B
37.00%-1.52B
117.46%2.78B
-145.02%-2.41B
-684.88%-15.90B
-165.95%-984.00M
86.68%2.72B
-540.48%-370.00M
-27.81%1.46B
108.43%84.00M
-6.01%2.02B
-22.33%-997.00M
--2.15B
---815.00M
-Change in other current liabilities
37.50%-205.00M
2.08%-282.00M
-60.00%-328.00M
-8.68%-288.00M
19.61%-205.00M
-36.60%-265.00M
-2.82%-255.00M
7.62%-194.00M
33.15%-248.00M
25.53%-210.00M
-120.83%-371.00M
37.75%-282.00M
---168.00M
---453.00M
Cash from non-recurring investing activities
Cash from operating activities
-5.75%10.76B
-14.76%3.42B
49.04%11.41B
63.80%4.02B
-18.60%7.66B
-47.96%2.45B
-0.17%9.41B
-0.15%4.71B
-7.44%9.42B
28.15%4.72B
17.38%10.18B
-19.83%3.68B
--8.67B
--4.59B
Investing cash flow
Net cash from continuing investing activities
2.00%2.60B
24.89%1.97B
-24.01%2.54B
11.28%1.58B
22.76%3.35B
-11.81%1.42B
7.27%2.73B
1.90%1.61B
11.39%2.54B
18.81%1.58B
17.08%2.28B
16.68%1.33B
--1.95B
--1.14B
Capital expenditures
-4.64%2.88B
23.45%2.13B
-36.70%3.02B
12.76%1.72B
55.11%4.77B
-8.78%1.53B
12.77%3.07B
0.36%1.68B
10.10%2.73B
19.81%1.67B
20.55%2.48B
15.12%1.39B
--2.05B
--1.21B
Net cash flow from disposal of fixed assets
----
----
----
----
--3.35B
----
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----
----
----
----
----
----
----
Net cash flow from business transactions
-53.18%243.00M
83.93%-72.00M
101.07%519.00M
56.71%-448.00M
-6860.03%-48.58B
-370.45%-1.03B
41.88%-698.00M
96.00%-220.00M
-132.30%-1.20B
67.42%-5.50B
-683.33%-517.00M
-1154.09%-16.88B
---66.00M
---1.35B
Net cash flow from investment products
-100.19%-3.00M
-53.41%1.30B
-96.92%1.55B
104.99%2.79B
20867.50%50.32B
-22084.52%-55.91B
231.15%240.00M
-162.50%-252.00M
-315.91%-183.00M
-101.44%-96.00M
99.35%-44.00M
25684.62%6.65B
---6.79B
---26.00M
Net cash flow from other investing activities
-111.32%-251.00M
-109.43%-505.00M
1404.12%2.22B
8821.67%5.35B
-994.74%-170.00M
-56.20%60.00M
-92.15%19.00M
146.76%137.00M
148.02%242.00M
-106.34%-293.00M
-12500.00%-504.00M
19366.67%4.62B
---4.00M
---24.00M
Cash from non-current investing activities
Net cash flow from investing activities
-249.83%-2.61B
-120.44%-1.25B
197.86%1.74B
110.49%6.11B
43.86%-1.78B
-2898.92%-58.30B
14.06%-3.17B
73.97%-1.94B
-10.07%-3.69B
-7.70%-7.47B
61.98%-3.35B
-173.49%-6.93B
---8.81B
---2.54B
Financing cash flow
Cash flow from continuous financing activities
13.22%-9.48B
51.93%-4.84B
-159.23%-10.93B
-118.34%-10.07B
13.22%-4.22B
1395.31%54.95B
4.12%-4.86B
-450.00%-4.24B
-71.30%-5.07B
-63.26%1.21B
-180.49%-2.96B
193.91%3.30B
--3.67B
---3.51B
Net cash flow from debt Issuance/repayment
-44.10%-6.83B
128.27%1.48B
-222.41%-4.74B
-108.91%-5.24B
468.95%3.87B
3801.86%58.80B
57.04%-1.05B
-73.41%1.51B
-32.04%-2.44B
-10.18%5.67B
-146.70%-1.85B
2102.86%6.31B
--3.96B
---315.00M
Net cash flow from common stock issuance/repurchase
----
----
----
----
-100.00%0.00
100.00%0.00
-81.82%2.00M
-1484.72%-997.00M
-65.63%11.00M
75.61%72.00M
357.14%32.00M
-56.84%41.00M
--7.00M
--95.00M
Cash dividend payments
-45.23%2.63B
14.68%5.13B
--4.80B
--4.47B
----
----
----
----
----
----
----
----
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Net cash flow from other financing activities
97.67%-29.00M
12.08%-262.00M
84.64%-1.24B
92.25%-298.00M
-119.22%-8.10B
19.11%-3.84B
-40.28%-3.69B
-4.97%-4.75B
-131.26%-2.63B
-48.38%-4.53B
-284.80%-1.14B
7.35%-3.05B
---296.00M
---3.29B
Net cash from non-recurrent financing activities
Net cash from financing activities
13.22%-9.48B
51.93%-4.84B
-159.23%-10.93B
-118.34%-10.07B
13.22%-4.22B
1395.31%54.95B
4.12%-4.86B
-450.00%-4.24B
-71.30%-5.07B
-63.26%1.21B
-180.49%-2.96B
193.91%3.30B
--3.67B
---3.51B
Net cash flow
Beginning cash balance
10.49%7.90B
23.35%10.36B
--7.15B
21.49%8.39B
----
-16.91%6.91B
-23.75%6.39B
-15.43%8.32B
25.27%8.38B
39.46%9.83B
82.17%6.69B
32.74%7.05B
--3.67B
--5.31B
Current period cash flow changes
-129.28%-939.00M
-97.19%-2.46B
91.01%3.21B
-36.17%-1.25B
223.51%1.68B
52.47%-915.00M
886.36%519.00M
-32.67%-1.93B
-102.10%-66.00M
-303.06%-1.45B
-6.99%3.14B
78.04%-360.00M
--3.38B
---1.64B
Effect of exchange rate changes
-136.48%-359.00M
116.19%211.00M
6050.00%984.00M
-8043.75%-1.30B
101.85%16.00M
96.47%-16.00M
-17.10%-863.00M
-645.78%-453.00M
-0.68%-737.00M
120.24%83.00M
-346.34%-732.00M
-120.43%-410.00M
---164.00M
---186.00M
Ending cash balance
-32.79%6.96B
10.48%7.90B
--10.36B
19.25%7.15B
----
-6.20%6.00B
-16.91%6.91B
-23.75%6.39B
-15.43%8.32B
25.27%8.38B
39.46%9.83B
82.17%6.69B
--7.05B
--3.67B
Free cash flow
-6.15%7.88B
-43.44%1.30B
190.55%8.39B
148.11%2.29B
-54.38%2.89B
-69.56%925.00M
-5.44%6.33B
-0.43%3.04B
-13.07%6.70B
33.22%3.05B
16.39%7.70B
-32.32%2.29B
--6.62B
--3.38B
Currency unit
USD
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