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Noble Energy, Inc. (NBL)

Oct 5, 2020 - NBL was delisted after being acquired by CVX
Stock Price: $8.46 USD 0.00 (0.00%)
Updated Oct 5, 2020 4:00 PM EDT

Balance Sheet (Annual)

Numbers in millions USD. Fiscal year is January-December.
Year2019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995
Cash & Equivalents4847166751,1801,0281,1831,1171,3871,4551,0811,0141,14066015311018062.3715.4473.2423.152.9319.1055.0894.77-
Short-Term Investments---------------28.7348.09--------
Cash & Cash Equivalents4847166751,1801,0281,1831,1171,3871,4551,0811,0141,14066015311020911015.4473.2423.152.9319.1055.0894.770.00
Cash Growth-32.4%6.07%-42.8%14.79%-13.1%5.91%-19.47%-4.67%34.6%6.61%-11.05%72.73%330.23%39.06%-47.1%88.78%615.32%-78.92%216.33%691.52%-84.69%-65.32%-41.88%--
Receivables73061674861545085794796478355646542359458756640730423321623698.79107163206-
Inventory---------------12.1111.0810.6610.834.655.523.012.814.49-
Other Current Assets1484187801607981,03554742018020119959531532849910645.0551.3551.107.6210.6859.6715.3911.400.00
Total Current Assets1,3621,7502,2031,9552,2763,0752,6112,7712,4181,8381,6782,1581,5691,0691,176734470310352271118188236317-
Property, Plant & Equipment17,45118,41917,50218,54821,30018,14315,72513,55112,78210,2648,9169,0047,9457,1716,1992,1812,1002,1401,9531,4851,2421,4301,5461,572-
Long-Term Investments---------------37722823524274.1615.6325.06---
Goodwill and Intangibles--1,310--620627635696696758759761781863----------
Other Long-Term Assets1,83484146150862068067959754848445546355656864114444.8245.1957.3348.7444.4443.0670.4268.370.00
Total Long-Term Assets19,28519,26019,27319,05621,92019,44317,03114,78314,02611,44410,12910,2269,2628,5207,7032,7022,3722,4202,2531,6081,3021,4981,6171,640-
Total Assets20,64721,01021,47621,01124,19622,51819,64217,55416,44413,28211,80712,38410,8319,5898,8783,4362,8432,7302,6041,8791,4201,6861,8531,957-
Accounts Payable1,2501,2071,1617361,1281,5781,3541,5081,343927548579781519520428388352295279104109164143-
Current Debt-------------25544650.3021341.9244.51----50.00-
Other Current Liabilities7195195787426779449881,02492549544259585541127418246.0877.9841.0946.0450.7230.6330.7686.400.00
Total Current Liabilities1,9691,7261,7391,4781,8052,5222,3422,5322,2681,4229901,1741,6361,1841,240661648472381325154139194280-
Long-Term Debt7,4776,5746,7467,0117,9766,0684,5663,7364,1002,2722,0372,2411,8512,1302,788890776977961525445745645798-
Other Long-Term Liabilities2,0402,2262,3722,9224,0453,6033,5503,0282,8112,7402,6232,6602,5352,1611,7604253452722521791371602011590.00
Total Long-Term Liabilities9,5178,8009,1189,93312,0219,6718,1166,7646,9115,0124,6604,9014,3864,2914,5481,3151,1211,2491,213704582905845957-
Total Liabilities11,48610,52610,85711,41113,82612,19310,4589,2969,1796,4345,6506,0756,0225,4755,7881,9761,7691,7211,5941,0307371,0441,0401,237-
Total Debt7,4776,5746,7467,0117,9766,0684,5663,7364,1002,2722,0372,2411,8512,3843,2349409891,0191,006525445745645848-
Debt Growth13.74%-2.55%-3.78%-12.1%31.44%32.9%22.22%-8.88%80.46%11.54%-9.1%21.07%-22.37%-26.27%243.95%-4.97%-2.9%1.33%91.37%18%-40.24%15.53%-23.95%--
Common Stock8,2007,4787,7185,7635,6772,9572,8082,6582,5152,4122,2902,2202,1292,1592,408631558565555------
Retained Earnings2411,9802,2483,5564,7267,4586,4935,7134,8504,5403,9424,1992,9642,0951,466844527458450325143102276185-
Comprehensive Income-31.00-32.00-30.00-31.00-33.00-90.00-117-113-100-104-75.00-110-284-141-783-14.79-10.89-14.605.07------
Shareholders' Equity8,4109,4269,9369,28810,37010,3259,1848,2587,2656,8486,1576,3094,8094,1143,0901,4601,0741,0091,010850684642813720-
Total Liabilities and Equity19,89619,95220,79320,69924,19622,51819,64217,55416,44413,28211,80712,38410,8319,5898,8783,4362,8432,7302,6041,8791,4201,6861,8531,9570.00
Net Cash / Debt-6,993-5,858-6,071-5,831-6,948-4,885-3,449-2,349-2,645-1,191-1,023-1,101-1,191-2,231-3,124-732-879-1,004-932-502-442-726-590-753-
Net Cash / Debt Growth19.38%-3.51%4.12%-16.08%42.23%41.64%46.83%-11.19%122.08%16.42%-7.08%-7.56%-46.61%-28.58%326.90%-16.76%-12.42%7.64%85.61%13.55%-39.07%23.08%-21.69%--
Net Cash Per Share-14.63-12.13-12.94-13.56-17.28-13.53-9.61-6.60-7.49-3.40-2.96-3.18-3.48-6.34-10.16-3.14-3.86-4.39-4.12-2.24-1.94-3.19-2.59-3.660.00
Working Capital-60724.00464477471553269239150416688984-67.00-116-64.6373.01-178-161-29.48-54.16-36.5649.1241.6137.00-
Book Value Per Share17.5919.5221.1921.6025.8028.6025.5823.2020.5819.5717.8018.2314.0611.6910.056.264.714.414.473.793.002.823.573.50-