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index 0 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 29 30 31 32 33 34 35 36 37 38 39 40 41
Rok finansowy 2014 2015 2015 2015 2015 2016 2016 2016 2016 2017 2017 2017 2017 2018 2018 2018 2018 2019 2019 2019 2019 2020 2020 2020 2020 2021 2021 2021 2021 2022 2022 2022 2022 2023 2023 2023 2023 2024 2024 2024 2024 2025
Kwartał Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1
Aktywa 78 367.0 78 623.0 78 015.0 77 532.0 76 029.0 77 224.0 79 183.0 78 508.0 76 594.0 77 114.0 79 101.0 79 527.0 79 586.0 80 786.0 80 732.0 78 725.0 78 316.0 80 449.0 82 277.0 82 499.0 82 243.0 79 254.0 78 439.0 79 464.0 80 236.0 80 005.0 81 608.0 81 726.0 81 626.0 79 144.0 77 071.0 75 111.0 75 494.0 76 560.0 77 347.0 76 469.0 79 197.0 80 906.0 81 057.0 83 617.0 81 943.0 83 142.0
Aktywa trwałe 78 003.0 78 352.0 77 766.0 77 204.0 75 589.0 76 916.0 78 835.0 78 164.0 76 267.0 76 702.0 78 744.0 79 111.0 79 114.0 80 335.0 78 974.0 76 887.0 76 618.0 78 784.0 80 470.0 77 483.0 77 279.0 15 514.0 61 600.0 62 829.0 64 525.0 61 485.0 63 470.0 63 130.0 63 193.0 60 276.0 57 335.0 55 237.0 56 128.0 10 695.0 57 150.0 11 278.0 59 462.0 64 001.0 64 270.0 59 562.0 0.0 65 612.0
Rzeczowe aktywa trwałe netto 15 611.0 15 376.0 15 917.0 15 902.0 15 477.0 15 351.0 15 126.0 15 200.0 15 230.0 15 160.0 15 447.0 15 475.0 15 427.0 15 461.0 15 471.0 15 467.0 15 511.0 15 407.0 15 513.0 15 561.0 15 568.0 14 751.0 10 475.0 10 468.0 10 451.0 9 921.0 9 847.0 9 878.0 9 888.0 9 896.0 9 962.0 9 949.0 10 027.0 10 098.0 10 328.0 10 674.0 10 718.0 10 723.0 10 710.0 10 689.0 10 738.0 10 674.0
Wartość firmy 374.0 371.0 373.0 352.0 351.0 350.0 348.0 347.0 346.0 346.0 647.0 648.0 659.0 661.0 658.0 657.0 665.0 682.0 768.0 772.0 767.0 763.0 764.0 765.0 785.0 349.0 350.0 349.0 349.0 348.0 346.0 344.0 346.0 346.0 347.0 346.0 347.0 347.0 347.0 349.0 347.0 347.0
Wartości niematerialne i prawne 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 638.0 0.0 0.0 0.0 611.0 0.0 0.0 0.0 647.0 0.0 0.0 0.0 610.0 0.0 0.0 0.0 109.0 0.0 792.0 787.0 111.0 852.0 885.0 880.0 151.0 927.0 948.0 0.0 147.0 0.0
Wartość firmy i wartości niematerialne i prawne 374.0 371.0 373.0 352.0 351.0 350.0 348.0 347.0 346.0 346.0 647.0 648.0 1 297.0 661.0 658.0 657.0 1 276.0 682.0 768.0 772.0 1 414.0 763.0 764.0 765.0 1 395.0 349.0 350.0 349.0 458.0 348.0 346.0 344.0 457.0 346.0 347.0 346.0 498.0 347.0 347.0 349.0 494.0 347.0
Należności netto 0.0 8 157.0 8 097.0 8 079.0 0.0 8 227.0 8 616.0 7 853.0 0.0 7 783.0 7 977.0 7 792.0 0.0 7 893.0 8 217.0 7 836.0 0.0 8 012.0 8 144.0 7 622.0 0.0 8 136.0 8 431.0 7 850.0 0.0 8 539.0 9 162.0 9 187.0 8 896.0 9 259.0 9 701.0 9 458.0 0.0 9 416.0 9 926.0 9 437.0 0.0 9 754.0 10 280.0 10 138.0 10 064.0 10 790.0
Inwestycje długoterminowe 51 301.0 51 460.0 50 280.0 49 763.0 48 576.0 49 828.0 51 663.0 51 666.0 50 028.0 50 314.0 50 858.0 51 309.0 51 281.0 50 091.0 49 493.0 47 712.0 47 285.0 48 535.0 49 755.0 50 392.0 50 178.0 46 741.0 50 361.0 51 596.0 52 679.0 51 215.0 53 273.0 52 903.0 52 847.0 50 032.0 47 027.0 44 944.0 45 644.0 46 496.0 46 475.0 45 341.0 48 246.0 49 606.0 49 279.0 47 827.0 50 017.0 0.0
Aktywa obrotowe 364.0 271.0 249.0 328.0 440.0 308.0 348.0 344.0 327.0 412.0 357.0 416.0 472.0 451.0 1 758.0 1 838.0 1 698.0 1 665.0 1 807.0 5 016.0 4 964.0 63 740.0 16 839.0 16 635.0 15 711.0 18 520.0 18 138.0 14 176.0 58 750.0 56 651.0 12 593.0 51 708.0 2 810.0 14 089.0 53 595.0 14 168.0 54 434.0 16 905.0 16 787.0 15 928.0 0.0 17 530.0
Środki pieniężne i Inwestycje 47 143.0 47 213.0 45 955.0 45 622.0 44 831.0 45 838.0 47 529.0 47 556.0 45 985.0 46 385.0 47 015.0 47 493.0 46 602.0 45 070.0 44 668.0 43 992.0 43 816.0 45 428.0 46 768.0 47 470.0 47 151.0 44 727.0 47 982.0 49 333.0 49 756.0 48 526.0 50 280.0 50 027.0 49 854.0 47 392.0 44 627.0 42 250.0 43 013.0 43 766.0 43 669.0 5 827.0 45 220.0 7 151.0 6 879.0 5 790.0 6 900.0 6 740.0
Zapasy 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 (15 417.0) (59 577.0) (54 171.0) (15 839.0) (16 360.0) (10 134.0) (16 905.0) (15 666.0) 0.0 0.0 0.0
Inwestycje krótkoterminowe 46 779.0 46 942.0 45 706.0 45 294.0 44 391.0 45 530.0 47 181.0 47 212.0 45 658.0 45 973.0 46 658.0 47 077.0 46 130.0 44 619.0 44 215.0 43 421.0 43 411.0 45 089.0 46 328.0 47 028.0 46 815.0 43 788.0 47 314.0 48 447.0 49 278.0 47 866.0 49 702.0 49 216.0 49 233.0 46 594.0 43 676.0 41 364.0 42 481.0 43 172.0 43 206.0 5 065.0 44 821.0 6 595.0 6 037.0 5 242.0 6 359.0 6 180.0
Środki pieniężne i inne aktywa pieniężne 364.0 271.0 249.0 328.0 440.0 308.0 348.0 344.0 327.0 412.0 357.0 416.0 472.0 451.0 453.0 571.0 405.0 339.0 440.0 442.0 336.0 939.0 668.0 886.0 478.0 660.0 578.0 811.0 621.0 798.0 951.0 886.0 532.0 594.0 463.0 762.0 399.0 556.0 470.0 548.0 541.0 560.0
Należności krótkoterminowe 673.0 926.0 741.0 733.0 567.0 630.0 1 310.0 451.0 150.0 302.0 478.0 324.0 60.0 280.0 311.0 217.0 42.0 307.0 576.0 242.0 108.0 249.0 985.0 466.0 92.0 310.0 654.0 665.0 90.0 396.0 320.0 359.0 133.0 220.0 191.0 444.0 79.0 202.0 130.0 269.0 110.0 206.0
Dług krótkoterminowy 335.0 687.0 1 061.0 1 278.0 1 040.0 3.0 330.0 185.0 110.0 156.0 192.0 194.0 280.0 213.0 181.0 149.0 17.0 132.0 87.0 87.0 77.0 2 460.0 47.0 35.0 37.0 141.0 122.0 187.0 93.0 393.0 839.0 814.0 854.0 908.0 961.0 1 261.0 1 084.0 1 678.0 1 013.0 713.0 5.0 505.0
Zobowiązania krótkoterminowe 48 754.0 49 452.0 49 242.0 49 296.0 48 925.0 48 807.0 50 503.0 49 501.0 47 763.0 48 092.0 49 191.0 49 267.0 49 129.0 50 999.0 50 531.0 48 462.0 48 439.0 50 183.0 51 307.0 51 684.0 51 668.0 52 780.0 1 032.0 501.0 129.0 451.0 776.0 852.0 183.0 789.0 1 159.0 1 173.0 5 568.0 5 618.0 1 152.0 5 997.0 1 163.0 25 468.0 25 117.0 25 540.0 0.0 711.0
Rozliczenia międzyokresowe 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 3 472.0 3 595.0 3 707.0 0.0 3 848.0 3 852.0 3 951.0 (63.0) 4 119.0 4 309.0 4 443.0 (92.0) 4 528.0 4 638.0 245.0 4 714.0 4 710.0 0.0 4 736.0 0.0 4 645.0 4 623.0 0.0 0.0 0.0
Zobowiązania długoterminowe 10 333.0 9 863.0 9 791.0 9 492.0 9 520.0 10 584.0 10 735.0 10 737.0 10 668.0 10 534.0 11 094.0 11 239.0 11 253.0 11 255.0 11 290.0 11 311.0 11 359.0 11 229.0 11 456.0 11 395.0 11 456.0 9 508.0 14 685.0 15 237.0 15 160.0 14 039.0 14 380.0 14 457.0 14 568.0 14 126.0 13 431.0 1 173.0 1 921.0 55 628.0 13 086.0 55 314.0 13 011.0 38 440.0 38 739.0 39 829.0 0.0 64 397.0
Rezerwy z tytułu odroczonego podatku 893.0 930.0 773.0 796.0 382.0 540.0 604.0 735.0 636.0 785.0 852.0 905.0 749.0 734.0 879.0 911.0 841.0 1 084.0 1 227.0 1 141.0 1 168.0 858.0 875.0 913.0 1 065.0 924.0 1 083.0 1 089.0 1 079.0 715.0 350.0 245.0 243.0 251.0 257.0 258.0 398.0 500.0 502.0 697.0 550.0 613.0
Zobowiązania długoterminowe 10 333.0 9 863.0 9 791.0 9 492.0 9 520.0 10 584.0 10 735.0 10 737.0 10 668.0 10 534.0 11 094.0 11 239.0 11 253.0 11 255.0 11 290.0 11 311.0 11 359.0 11 229.0 11 456.0 11 395.0 11 456.0 9 508.0 14 685.0 15 237.0 15 160.0 14 039.0 14 380.0 14 457.0 14 568.0 14 126.0 13 431.0 1 173.0 1 921.0 55 628.0 13 086.0 55 314.0 13 011.0 38 440.0 38 739.0 39 829.0 0.0 64 397.0
Zobowiązania z tytułu leasingu 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 40 613.0 22 980.0 23 094.0 22 619.0 0.0 0.0 27 202.0 27 035.0 45 670.0 27 707.0 24 632.0 25 052.0 47 733.0 25 137.0 26 124.0 0.0 47 103.0 (5 618.0) 0.0 (5 997.0) 0.0 0.0 0.0 (4 121.0) 0.0 0.0
Zobowiązania ogółem 53 717.0 53 993.0 53 683.0 53 379.0 53 219.0 54 099.0 56 152.0 55 102.0 53 233.0 53 380.0 54 995.0 55 166.0 55 020.0 56 938.0 58 874.0 56 839.0 56 930.0 58 547.0 59 883.0 60 241.0 60 313.0 60 076.0 60 026.0 60 844.0 61 055.0 61 468.0 62 210.0 62 596.0 62 451.0 61 449.0 60 850.0 60 458.0 60 016.0 61 246.0 61 877.0 61 311.0 62 672.0 63 908.0 63 856.0 65 369.0 64 006.0 65 108.0
Kapitał (fundusz) podstawowy 4.0 4.0 4.0 4.0 3.0 3.0 3.0 3.0 3.0 3.0 3.0 3.0 3.0 3.0 3.0 3.0 3.0 3.0 3.0 3.0 3.0 3.0 3.0 3.0 3.0 3.0 3.0 3.0 2.0 2.0 2.0 2.0 2.0 2.0 2.0 2.0 2.0 2.0 2.0 2.0 2.0 2.0
Zyski zatrzymane 15 515.0 15 600.0 15 747.0 15 906.0 14 731.0 14 812.0 14 724.0 15 031.0 15 196.0 15 466.0 15 677.0 15 811.0 16 096.0 16 321.0 16 532.0 16 790.0 15 773.0 16 144.0 16 374.0 16 427.0 15 823.0 15 167.0 14 316.0 14 437.0 14 150.0 14 394.0 15 132.0 15 336.0 14 776.0 15 097.0 15 261.0 15 377.0 15 144.0 15 293.0 15 637.0 15 877.0 15 617.0 16 060.0 16 415.0 16 802.0 16 459.0 16 821.0
Kapitał własny 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 17 695.0 16 221.0 14 653.0 15 478.0 15 314.0 15 470.0 15 158.0 16 525.0 16 998.0 17 201.0 18 248.0 17 937.0 18 034.0
Udziały mniejszościowe 5 370.0 5 322.0 5 350.0 5 409.0 5 249.0 5 292.0 5 086.0 5 136.0 5 198.0 5 246.0 5 290.0 5 340.0 5 362.0 5 316.0 2 947.0 2 934.0 2 868.0 2 865.0 2 880.0 2 838.0 2 811.0 2 212.0 1 209.0 1 248.0 1 321.0 1 267.0 1 315.0 1 313.0 1 329.0 1 120.0 985.0 807.0 880.0 863.0 867.0 710.0 821.0 814.0 817.0 891.0 871.0 843.0
Pasywa 78 367.0 78 623.0 78 015.0 77 532.0 76 029.0 77 224.0 79 183.0 78 508.0 76 594.0 77 114.0 79 101.0 79 527.0 79 586.0 80 786.0 80 732.0 78 725.0 78 316.0 80 449.0 82 277.0 82 499.0 82 243.0 79 254.0 78 439.0 79 464.0 80 236.0 80 005.0 81 608.0 81 726.0 81 626.0 79 144.0 77 071.0 75 111.0 75 494.0 76 560.0 77 347.0 76 469.0 79 197.0 80 906.0 81 057.0 83 617.0 81 943.0 83 142.0
Inwestycje 52 032.0 52 192.0 51 048.0 50 550.0 49 400.0 50 650.0 52 359.0 52 385.0 50 711.0 51 022.0 51 606.0 52 134.0 52 226.0 51 065.0 50 469.0 48 695.0 48 186.0 49 468.0 50 740.0 51 387.0 51 250.0 47 842.0 51 486.0 52 772.0 53 844.0 52 359.0 54 374.0 54 043.0 53 938.0 51 102.0 48 075.0 45 997.0 46 768.0 47 589.0 47 563.0 46 413.0 49 369.0 6 595.0 6 037.0 53 069.0 51 130.0 2 572.0
Dług 10 668.0 10 550.0 10 852.0 10 770.0 10 583.0 10 587.0 11 065.0 10 922.0 10 778.0 10 690.0 11 286.0 11 433.0 11 533.0 11 468.0 11 471.0 11 460.0 11 376.0 11 361.0 11 543.0 11 482.0 11 533.0 11 968.0 10 005.0 10 408.0 10 109.0 9 137.0 9 110.0 9 112.0 9 079.0 9 276.0 9 282.0 9 289.0 9 019.0 9 058.0 9 055.0 9 186.0 9 003.0 10 103.0 9 571.0 9 534.0 8 944.0 8 946.0
Środki pieniężne i inne aktywa pieniężne 364.0 271.0 249.0 328.0 440.0 308.0 348.0 344.0 327.0 412.0 357.0 416.0 472.0 451.0 453.0 571.0 405.0 339.0 440.0 442.0 336.0 939.0 668.0 886.0 478.0 660.0 578.0 811.0 621.0 798.0 951.0 886.0 532.0 594.0 463.0 762.0 399.0 556.0 470.0 548.0 541.0 560.0
Dług netto 10 304.0 10 279.0 10 603.0 10 442.0 10 143.0 10 279.0 10 717.0 10 578.0 10 451.0 10 278.0 10 929.0 11 017.0 11 061.0 11 017.0 11 018.0 10 889.0 10 971.0 11 022.0 11 103.0 11 040.0 11 197.0 11 029.0 9 337.0 9 522.0 9 631.0 8 477.0 8 532.0 8 301.0 8 458.0 8 478.0 8 331.0 8 403.0 8 487.0 8 464.0 8 592.0 8 424.0 8 604.0 9 547.0 9 101.0 8 986.0 8 403.0 8 386.0
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