Celanese Corporation
(CE)
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- Income Statement
- Blance Sheet
- Cash Flow Statement
Financial Statements
- Key Metrics
- Profitability
- Growth
- Valuation Multiples
- Operating Efficiency
- Liquidity & Solvency
- Cash
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Growth Rates
2022 | 2021 | 2020 | |||
---|---|---|---|---|---|
1-Year Growth: | |||||
Revenue | 13.31% | 50.96% | -10.2% | ||
Net Income | 0.21% | -4.79% | 132.98% | ||
Operating Income | -31.9% | 198.83% | -14.99% | ||
Total Assets | 119.39% | 9.77% | 15.12% | ||
Stockholders Equity | 34.57% | 18.8% | 40.65% | ||
Intangibles & Goodwill | 423.85% | 44.58% | 7.14% | ||
Capex | 600.63% | - | -346.09% | ||
Free Cash Flows (Unlevered) | -5,394.29% | -92.93% | 148.99% | ||
Free Cash Flows (Levered) | 279.36% | -83.71% | 65.94% | ||
R&D Expense | 30.23% | 16.22% | 10.45% | ||
Dividends | -2.3% | 3.75% | -2.33% | ||
3-Year Growth: | |||||
Revenue | 53.61% | 19.32% | -7.9% | ||
Net Income | 122.3% | 56.59% | 135.47% | ||
Operating Income | 72.99% | 61.16% | -23.95% | ||
Total Assets | 177.25% | 28.58% | 14.37% | ||
Stockholders Equity | 124.85% | 40.38% | 22.13% | ||
Intangibles & Goodwill | 711.47% | 57.06% | 13.88% | ||
Capex | 2,309.57% | 238.03% | -311.59% | ||
Free Cash Flows (Unlevered) | -1,032.09% | -83.94% | 823.51% | ||
Free Cash Flows (Levered) | 2.54% | -65.37% | 250.69% | ||
R&D Expense | 67.16% | 19.44% | 2.78% | ||
Dividends | -1% | 8.57% | 21.58% | ||
5-Year Growth: | |||||
Revenue | 57.54% | 58.42% | -0.33% | ||
Net Income | 124.67% | 110% | 552.96% | ||
Operating Income | 54.77% | 129.31% | 113.04% | ||
Total Assets | 175.45% | 43.29% | 27.06% | ||
Stockholders Equity | 95.25% | 61.86% | 48.28% | ||
Intangibles & Goodwill | 762.5% | 116.87% | 78.92% | ||
Capex | 1,971.78% | 283.98% | -583.76% | ||
Free Cash Flows (Unlevered) | -3,557.09% | -63.62% | 294.11% | ||
Free Cash Flows (Levered) | 116.69% | -27.01% | 140.04% | ||
R&D Expense | 55.56% | 10.26% | -37.82% | ||
Dividends | 23.24% | 51.24% | 68.39% |