Churchill Capital: stocks, financial statements

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Clarivate Analytics Plc provides trusted insights and analytics to accelerate the pace of innovation. The company brands include Web of Science, Cortellis, Derwent, CompuMark, MarkMonitor and Techstreet. It helps clients reduce the time from new ideas to life changing innovations. The company is headquartered in St. Helier, Jersey.

  • CCC Ticker
  • NYSE Exchange
  • Employees
2 rated
  • $28.94, $0.00 (0.00%) Previous Close
  • 2,475,763 Previous Volume
  • $16.59 / $33.39 52 week low / high
  • -13.33% Percent off 52 week high
  • 2021-01-30 Updated
  • 0.00% Dividend Yield (trailing)
  • Dividend Yield (forward)
  • 0 Public float
  • 605,956,711 Outstanding shares
  • -83.12 P/E
  • 17.54 B Market Cap
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Financial statements — Churchill Capital

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19 ← 18 2019 2018
Total Revenue
970M 970M
Cost Of Revenue
350M 400M
Gross Profit
630M 570M
Research and Development
0 0
Selling General and Admin
370M 370M
Operating Expense
970M 1B
Operating Income
7.2M -48M
Other Income Expense Net
0 0
7.2M -48M
Interest Income
160M 130M
Pretax Income
-200M -240M
Income Tax
10M 5.6M
Minority Interest
0 0
Net Income
-210M -240M
Net Income Basic
-210M -240M
19 ← 18 2019 2018
Current cash
76M 26M
Short term investments
52M 52M
330M 330M
0 0
Other current assets
52M 52M
Current assets
490M 410M
Long term investments
3.3B 3.3B
Property plant equipment
18M 21M
1.3B 1.3B
Intangible assets
1.8B 2B
Other assets
19M 27M
Total assets
3.8B 3.7B
Accounts payable
26M 38M
Current long term debt
9M 60M
Other current liabilities
620M 540M
Total current liabilities
650M 640M
Long term debt
1.6B 1.9B
Other liabilities
39M 42M
Minority Interest
0 0
Total Liabilities
2.4B 2.7B
Common stock
2.2B 1.7B
Retained earning
-840M -630M
Treasury stock
0 0
Capital surplus
Shareholder equity
1.4B 1.1B
Net tangible assets
-1.8B -2.2B
19 ← 18 2019 2018
Net Income
-210M -240M
200M 240M
Changes in receivables
2.6M 330M
Changes in inventories
0 0
Cash change
51M 26M
Cash flow
120M -26M
Capital expenditures
-70M -45M
Investing activity other
Total investing cash flows
-140M 12M
Dividends paid
Net borrowings
1.5B 1.9B
Other financing cash flows
Cash flow financing
75M -33M
Exchange rate effect