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CE Celanese Corp

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  • 51.210
  • -0.500-0.97%
Close May 9 16:00 ET
  • 51.210
  • 0.0000.00%
Post 16:31 ET
5.60BMarket Cap-3.36P/E (TTM)

Celanese Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2025
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-69.72%33M
-48.92%971M
-40.39%493M
-81.19%76M
-61.80%293M
212.37%109M
2.92%1.9B
52.02%827M
-14.59%404M
50.39%767M
Net income from continuing operations
-113.71%-17M
-177.09%-1.51B
-372.61%-1.91B
-87.36%120M
-30.77%153M
33.33%124M
3.26%1.96B
-8.84%701M
391.71%949M
-49.31%221M
Operating gains losses
125.93%7M
102.11%8M
-70.79%26M
96.44%-16M
165.79%25M
-242.11%-27M
-641.43%-379M
-54.36%89M
-319.63%-449M
-522.22%-38M
Depreciation and amortization
-15.86%191M
11.37%823M
-3.08%189M
12.97%209M
9.39%198M
27.53%227M
54.60%739M
21.88%195M
76.19%185M
69.16%181M
Deferred tax
433.33%20M
122.34%216M
129.78%204M
102.87%8M
350.00%10M
-700.00%-6M
-15.81%-967M
19.32%-685M
-27,800.00%-279M
-136.36%-4M
Other non cash items
366.67%24M
-7.41%-29M
-137.50%-3M
42.86%-8M
18.18%-9M
10.00%-9M
77.87%-27M
108.33%8M
-141.18%-14M
63.33%-11M
Change In working capital
6.19%-197M
-139.53%-204M
-25.54%379M
-27,300.00%-274M
-124.75%-99M
46.43%-210M
84.29%516M
45.43%509M
-100.45%-1M
1,125.64%400M
-Change in receivables
-80.00%-99M
-12.38%92M
66.12%201M
-1,100.00%-72M
-91.26%18M
74.54%-55M
-51.83%105M
-56.63%121M
-103.87%-6M
758.33%206M
-Change in inventory
173.68%14M
-97.24%11M
652.00%188M
-122.22%-34M
-170.86%-124M
-142.22%-19M
257.31%398M
-63.24%25M
318.57%153M
179.91%175M
-Change in payables and accrued expense
542.86%93M
-1,270.00%-234M
-205.24%-201M
-430.00%-132M
163.49%120M
4.55%-21M
123.81%20M
205.52%191M
155.56%40M
-257.50%-189M
-Change in other current assets
111.76%72M
-103.61%-10M
-203.45%-60M
146.88%79M
-171.59%-63M
-65.66%34M
2,230.77%277M
248.72%58M
700.00%32M
300.00%88M
-Change in other current liabilities
-85.91%-277M
77.82%-63M
120.18%251M
47.73%-115M
-141.67%-50M
50.00%-149M
-168.93%-284M
-48.88%114M
-207.84%-220M
757.14%120M
Cash from discontinued investing activities
150.00%4M
-150.00%-5M
-66.67%1M
400.00%3M
80.00%-1M
-900.00%-8M
92.86%-2M
200.00%3M
83.33%-1M
66.67%-5M
Operating cash flow
-63.37%37M
-49.13%966M
-40.48%494M
-80.40%79M
-61.68%292M
205.21%101M
4.40%1.9B
53.42%830M
-13.70%403M
53.94%762M
Investing cash flow
Cash flow from continuing investing activities
35.10%-98M
-250.75%-470M
23.81%-128M
-126.67%-100M
44.17%-91M
15.17%-151M
98.80%-134M
98.43%-168M
362.24%375M
-19.85%-163M
Capital expenditure reported
25.55%-102M
23.42%-435M
17.97%-105M
32.82%-88M
27.59%-105M
16.46%-137M
-4.60%-568M
10.49%-128M
5.76%-131M
-16.94%-145M
Net business purchase and sale
--6M
--0
--0
-99.24%4M
---4M
--0
105.05%532M
--0
--523M
--0
Net investment purchase and sale
----
--17M
----
----
----
----
--0
----
----
----
Net other investing changes
85.71%-2M
46.94%-52M
0.00%-40M
105.88%1M
105.56%1M
39.13%-14M
-71.93%-98M
-48.15%-40M
-325.00%-17M
-28.57%-18M
Cash from discontinued investing activities
Investing cash flow
35.10%-98M
-250.75%-470M
23.81%-128M
-126.67%-100M
44.17%-91M
15.17%-151M
98.80%-134M
98.43%-168M
362.24%375M
-19.85%-163M
Financing cash flow
Cash flow from continuing financing activities
117.37%45M
9.82%-1.31B
21.25%-189M
46.29%-376M
-9.40%-489M
-275.36%-259M
-114.15%-1.46B
-112.35%-240M
-108.14%-700M
-181.13%-447M
Net issuance payments of debt
180.25%126M
12.87%-948M
36.81%-103M
50.42%-293M
-8.22%-395M
-606.45%-157M
-110.09%-1.09B
-108.03%-163M
-106.76%-591M
-488.71%-365M
Net common stock issuance
----
--0
----
----
----
----
--0
----
----
----
Cash dividends paid
96.10%-3M
-0.66%-307M
0.00%-77M
0.00%-76M
-1.32%-77M
-1.32%-77M
-2.69%-305M
0.00%-77M
-4.11%-76M
-2.70%-76M
Proceeds from stock option exercised by employees
--0
--1M
--0
--0
--0
--1M
--0
--0
--0
--0
Net other financing activities
-200.00%-78M
6.35%-59M
---9M
78.79%-7M
-183.33%-17M
-8.33%-26M
64.00%-63M
--0
53.52%-33M
73.91%-6M
Cash from discontinued financing activities
Financing cash flow
117.37%45M
9.82%-1.31B
21.25%-189M
46.29%-376M
-9.40%-489M
-275.36%-259M
-114.15%-1.46B
-112.35%-240M
-108.14%-700M
-181.13%-447M
Net cash flow
Beginning cash position
-46.70%962M
19.69%1.81B
-40.09%813M
-8.56%1.19B
27.08%1.48B
19.69%1.81B
181.34%1.51B
-85.97%1.36B
65.52%1.3B
92.89%1.17B
Current changes in cash
94.82%-16M
-364.40%-817M
-58.06%177M
-608.97%-397M
-289.47%-288M
9.91%-309M
-68.08%309M
105.13%422M
-99.13%78M
-24.00%152M
Effect of exchange rate changes
138.46%5M
-116.67%-26M
-207.69%-28M
247.06%25M
56.52%-10M
-750.00%-13M
-400.00%-12M
-60.00%26M
52.78%-17M
-4.55%-23M
End cash Position
-35.87%951M
-46.70%962M
-46.70%962M
-40.09%813M
-8.56%1.19B
27.08%1.48B
19.69%1.81B
19.69%1.81B
-85.97%1.36B
65.52%1.3B
Free cash flow
-80.56%-65M
-60.11%531M
-44.59%389M
-103.31%-9M
-69.69%187M
86.15%-36M
4.31%1.33B
76.38%702M
-17.07%272M
66.31%617M
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
--
--
--
--
--
--
--
--
(Q1)Mar 31, 2025(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -69.72%33M-48.92%971M-40.39%493M-81.19%76M-61.80%293M212.37%109M2.92%1.9B52.02%827M-14.59%404M50.39%767M
Net income from continuing operations -113.71%-17M-177.09%-1.51B-372.61%-1.91B-87.36%120M-30.77%153M33.33%124M3.26%1.96B-8.84%701M391.71%949M-49.31%221M
Operating gains losses 125.93%7M102.11%8M-70.79%26M96.44%-16M165.79%25M-242.11%-27M-641.43%-379M-54.36%89M-319.63%-449M-522.22%-38M
Depreciation and amortization -15.86%191M11.37%823M-3.08%189M12.97%209M9.39%198M27.53%227M54.60%739M21.88%195M76.19%185M69.16%181M
Deferred tax 433.33%20M122.34%216M129.78%204M102.87%8M350.00%10M-700.00%-6M-15.81%-967M19.32%-685M-27,800.00%-279M-136.36%-4M
Other non cash items 366.67%24M-7.41%-29M-137.50%-3M42.86%-8M18.18%-9M10.00%-9M77.87%-27M108.33%8M-141.18%-14M63.33%-11M
Change In working capital 6.19%-197M-139.53%-204M-25.54%379M-27,300.00%-274M-124.75%-99M46.43%-210M84.29%516M45.43%509M-100.45%-1M1,125.64%400M
-Change in receivables -80.00%-99M-12.38%92M66.12%201M-1,100.00%-72M-91.26%18M74.54%-55M-51.83%105M-56.63%121M-103.87%-6M758.33%206M
-Change in inventory 173.68%14M-97.24%11M652.00%188M-122.22%-34M-170.86%-124M-142.22%-19M257.31%398M-63.24%25M318.57%153M179.91%175M
-Change in payables and accrued expense 542.86%93M-1,270.00%-234M-205.24%-201M-430.00%-132M163.49%120M4.55%-21M123.81%20M205.52%191M155.56%40M-257.50%-189M
-Change in other current assets 111.76%72M-103.61%-10M-203.45%-60M146.88%79M-171.59%-63M-65.66%34M2,230.77%277M248.72%58M700.00%32M300.00%88M
-Change in other current liabilities -85.91%-277M77.82%-63M120.18%251M47.73%-115M-141.67%-50M50.00%-149M-168.93%-284M-48.88%114M-207.84%-220M757.14%120M
Cash from discontinued investing activities 150.00%4M-150.00%-5M-66.67%1M400.00%3M80.00%-1M-900.00%-8M92.86%-2M200.00%3M83.33%-1M66.67%-5M
Operating cash flow -63.37%37M-49.13%966M-40.48%494M-80.40%79M-61.68%292M205.21%101M4.40%1.9B53.42%830M-13.70%403M53.94%762M
Investing cash flow
Cash flow from continuing investing activities 35.10%-98M-250.75%-470M23.81%-128M-126.67%-100M44.17%-91M15.17%-151M98.80%-134M98.43%-168M362.24%375M-19.85%-163M
Capital expenditure reported 25.55%-102M23.42%-435M17.97%-105M32.82%-88M27.59%-105M16.46%-137M-4.60%-568M10.49%-128M5.76%-131M-16.94%-145M
Net business purchase and sale --6M--0--0-99.24%4M---4M--0105.05%532M--0--523M--0
Net investment purchase and sale ------17M------------------0------------
Net other investing changes 85.71%-2M46.94%-52M0.00%-40M105.88%1M105.56%1M39.13%-14M-71.93%-98M-48.15%-40M-325.00%-17M-28.57%-18M
Cash from discontinued investing activities
Investing cash flow 35.10%-98M-250.75%-470M23.81%-128M-126.67%-100M44.17%-91M15.17%-151M98.80%-134M98.43%-168M362.24%375M-19.85%-163M
Financing cash flow
Cash flow from continuing financing activities 117.37%45M9.82%-1.31B21.25%-189M46.29%-376M-9.40%-489M-275.36%-259M-114.15%-1.46B-112.35%-240M-108.14%-700M-181.13%-447M
Net issuance payments of debt 180.25%126M12.87%-948M36.81%-103M50.42%-293M-8.22%-395M-606.45%-157M-110.09%-1.09B-108.03%-163M-106.76%-591M-488.71%-365M
Net common stock issuance ------0------------------0------------
Cash dividends paid 96.10%-3M-0.66%-307M0.00%-77M0.00%-76M-1.32%-77M-1.32%-77M-2.69%-305M0.00%-77M-4.11%-76M-2.70%-76M
Proceeds from stock option exercised by employees --0--1M--0--0--0--1M--0--0--0--0
Net other financing activities -200.00%-78M6.35%-59M---9M78.79%-7M-183.33%-17M-8.33%-26M64.00%-63M--053.52%-33M73.91%-6M
Cash from discontinued financing activities
Financing cash flow 117.37%45M9.82%-1.31B21.25%-189M46.29%-376M-9.40%-489M-275.36%-259M-114.15%-1.46B-112.35%-240M-108.14%-700M-181.13%-447M
Net cash flow
Beginning cash position -46.70%962M19.69%1.81B-40.09%813M-8.56%1.19B27.08%1.48B19.69%1.81B181.34%1.51B-85.97%1.36B65.52%1.3B92.89%1.17B
Current changes in cash 94.82%-16M-364.40%-817M-58.06%177M-608.97%-397M-289.47%-288M9.91%-309M-68.08%309M105.13%422M-99.13%78M-24.00%152M
Effect of exchange rate changes 138.46%5M-116.67%-26M-207.69%-28M247.06%25M56.52%-10M-750.00%-13M-400.00%-12M-60.00%26M52.78%-17M-4.55%-23M
End cash Position -35.87%951M-46.70%962M-46.70%962M-40.09%813M-8.56%1.19B27.08%1.48B19.69%1.81B19.69%1.81B-85.97%1.36B65.52%1.3B
Free cash flow -80.56%-65M-60.11%531M-44.59%389M-103.31%-9M-69.69%187M86.15%-36M4.31%1.33B76.38%702M-17.07%272M66.31%617M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion----------------

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