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HUN Stock Annual Balance Sheet. Download in Excel

Huntsman Corporation logo

Huntsman Corporation

Sector: Basic Materials   

Industry: Chemicals

18.26
 
USD
  
0.38
  
(2.13%)
Previous close: 17.88  Open: 17.78  Bid: 17.61  Ask: 19.14
52 week range    
17.67   
   27.01
Mkt Cap: 3,211 M  Avg Vol (90 Days): 2,021,729
Peers   
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KRO / 
DD / 
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CYT / 
Last updated: Monday 23rd December 2024

Stock Rankings

52
MarketXLS Rank
90
Value
38
Technical
28
Quality
How are these ranks calculated?
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Financials

HUN Balance Sheet

Annual
Dec-14Dec-15Dec-16Dec-17Dec-18Dec-19Dec-20Dec-21Dec-22Dec-23
Accounts payable1,292 M1,086 M824 M1,016 M865 M908 M878 M1,113 M907 M659 M
Accounts receivable1,665 M1,420 M1,168 M1,255 M1,165 M940 M902 M988 M834 M753 M
Accrued expenses2,028 M1,769 M1,292 M1,582 M1,359 M1,325 M1,333 M1,817 M1,336 M1,054 M
Accumulated depreciation & depletion-4,361 M-4,471 M-3,456 M-3,985 M-3,153 M-3,305 M-3,528 M-3,551 M-3,653 M-3,909 M
Additional paid in capital3,385 M3,407 M3,447 M3,889 M3,984 M4,008 M4,048 M4,102 M4,156 M4,202 M
Cash and equivalents720 M269 M395 M479 M340 M525 M1,591 M1,039 M654 M540 M
CashCashEquivalentsAndShortTermInvestments720 M269 M395 M479 M340 M525 M1,591 M1,039 M654 M540 M
CashEquivalents720 M269 M395 M479 M340 M
Common par3 M3 M3 M3 M3 M3 M3 M3 M3 M3 M
Common stock equity1,123 M897 M756 M2,083 M2,259 M3,671 M3,519 M4,378 M3,624 M3,251 M
CommonStock3 M3 M3 M3 M3 M3 M3 M3 M3 M3 M
Cost in excess122 M116 M121 M140 M275 M276 M533 M650 M641 M644 M
CurrentAccruedExpenses736 M683 M468 M566 M494 M417 M455 M704 M429 M395 M
CurrentCapitalLeaseObligation94 M87 M82 M74 M37 M42 M52 M49 M51 M46 M
CurrentDeferredRevenue5 M
CurrentDeferredTaxesLiabilities114 M4 M118 M56 M187 M263 M-475 M-502 M-546 M-530 M
CurrentProvisions1000000.01000000.01000000.01000000.02 M
Deferred revenues114 M
DeferredFinancingCosts9 M10 M8 M7 M
DefinedPensionBenefit13 M35 M11 M15 M11 M
DividendsPayable121 M121 M120 M120 M156 M150 M-145 M-160 M-170 M-170 M
Finished goods1,494 M1,221 M771 M897 M798 M718 M651 M799 M758 M673 M
Float term debt4,854 M4,625 M4,122 M2,258 M2,224 M2,177 M1,939 M1,884 M2,007 M2,010 M
GoodwillAndOtherIntangibleAssets218 M202 M164 M196 M488 M473 M986 M1,119 M1,066 M1,031 M
Gross fixed assets (Plant Property & Equipment)8,736 M8,881 M6,468 M7,080 M5,506 M6,084 M6,478 M6,375 M6,404 M6,651 M
IncomeTaxPayable35 M18 M28 M62 M86 M59 M73 M135 M68 M67 M
Intangibles96 M86 M43 M56 M213 M197 M453 M469 M425 M387 M
InterestPayable32 M22 M21 M20 M19 M
Inventories2,025 M1,692 M918 M1,073 M1,000 M914 M848 M1,038 M995 M867 M
Invested capital6,633 M6,220 M5,575 M5,083 M4,971 M6,128 M6,986 M7,800 M7,302 M6,937 M
LongTermCapitalLeaseObligation384 M411 M346 M336 M334 M
LongTermDebtAndCapitalLeaseObligation5,510 M5,323 M4,819 M3,000 M2,712 M2,841 M1,939 M1,884 M2,007 M2,010 M
LongTermProvisions3 M3 M4 M4 M3 M
Minority interest173 M187 M180 M751 M229 M137 M154 M181 M216 M227 M
Net fixed assets (net PP&E)4,375 M4,410 M3,012 M3,095 M2,353 M2,779 M2,950 M2,824 M2,751 M2,742 M
NetOtherUnrealizedGainLoss-2 M97 M9 M-21 M280 M30 M
Non-current deferred income taxes326 M418 M367 M265 M135 M29 M214 M163 M250 M243 M
NonCurrentDeferredAssets435 M418 M253 M208 M324 M292 M288 M180 M147 M112 M
NonCurrentDeferredLiabilities326 M418 M367 M265 M135 M29 M214 M163 M250 M243 M
NonCurrentDeferredTaxesAssets435 M418 M253 M208 M324 M292 M288 M180 M147 M112 M
NonCurrentPensionAndOtherPostretirementBenefitPlans134 M84 M85 M73 M54 M55 M680 M320 M183 M177 M
Notes payable100 M100 M100 M100 M100 M100 M
NotesReceivable796 M842 M588 M380 M380 M
Other current assets306 M306 M1,004 M3,084 M379 M1,369 M223 M499 M662 M154 M
Other equity adjustments-14 M-17 M-17 M-15 M-16 M-17 M-19 M-25 M-35 M-41 M
Other fixed assets2,779 M2,950 M2,824 M2,751 M2,742 M
Other non-current assets459 M573 M1,935 M497 M1,270 M452 M548 M1,205 M686 M611 M
Other non-current liabilities1,443 M4,420 M4,277 M1,072 M937 M890 M4,601 M573 M422 M572 M
Other receivable346 M340 M329 M373 M399 M410 M47 M269 M8,023 M6,111 M
OtherCurrentBorrowings267 M170 M50 M40 M96 M
OtherCurrentLiabilities3,166 M165 M647 M6,059 M4,112 M4,324 M154 M4,076 M4,169 M3,785 M
OtherEquityAdjustments-14 M-17 M-17 M-15 M-16 M-17 M-19 M-25 M-35 M-41 M
OtherInventories2,098 M1,735 M973 M1,134 M1,040 M942 M848 M1,038 M995 M867 M
OtherPayable960 M663 M318 M282 M251 M274 M650 M326 M272 M8,747 M
Payables1,292 M1,086 M824 M1,016 M865 M908 M878 M1,113 M907 M659 M
Prepaid expenses61 M111 M49 M59 M57 M83 M
Raw materials508 M389 M157 M189 M191 M175 M180 M248 M241 M191 M
RecievablesAdjustmentsAllowances-25 M-21 M-19 M-26 M-12 M-14 M-13 M
Restricted cash1,593 M1,041 M654 M540 M
Retained earnings-956 M-983 M-779 M-270 M-91 M312 M-130 M906 M1,437 M1,377 M
SecuritySoldNotYetRepurchased100 M277 M208 M-96 M-200 M-1,005 M-349 M
Short term debt367 M270 M150 M140 M196 M312 M593 M12 M66 M12 M
Total assets11,002 M9,820 M9,189 M10,244 M7,953 M8,723 M8,756 M9,631 M8,220 M7,248 M
Total current assets5,039 M3,834 M3,555 M5,979 M2,958 M4,158 M3,611 M4,166 M3,145 M2,314 M
Total current liabilities2,332 M1,917 M1,778 M3,265 M1,611 M6,003 M1,978 M2,041 M1,701 M1,172 M
Total equity1,123 M897 M756 M2,083 M2,259 M3,671 M3,519 M4,378 M3,624 M3,251 M
Total liabilities9,051 M8,191 M7,722 M6,873 M5,204 M9,763 M5,031 M4,812 M4,380 M3,770 M
Total non-current assets5,837 M5,950 M5,612 M4,262 M4,995 M4,565 M5,145 M5,798 M5,075 M4,934 M
Total non-current liabilities7,279 M10,161 M9,856 M4,337 M4,067 M3,760 M6,754 M2,771 M2,679 M2,825 M
TotalEquityGrossMinority1,296 M1,084 M936 M2,834 M2,488 M3,808 M3,725 M4,819 M3,840 M3,478 M
TotalEquityGrossMinorityInterest1,296 M1,084 M936 M2,834 M2,488 M3,808 M3,725 M4,819 M3,840 M3,478 M
TotalLiabilitiesAndTotalEquityGrossMinorityInterest11,002 M9,820 M9,189 M10,244 M7,953 M8,723 M8,756 M9,631 M8,220 M7,248 M
TotalNonCurrentLiabilitiesNetMinorityInteres7,279 M10,161 M9,856 M4,337 M4,067 M3,760 M6,754 M2,771 M2,679 M2,825 M
Treasury stock-50 M-135 M-150 M-150 M-427 M-635 M-731 M-934 M-1,937 M-2,290 M
Work in progress96 M125 M45 M48 M51 M49 M44 M33 M40 M39 M
Working capital2,707 M1,917 M1,777 M2,714 M1,347 M-1,845 M1,633 M2,125 M1,444 M1,142 M
debtc367 M270 M150 M140 M196 M354 M645 M61 M117 M58 M
ltinv350 M347 M248 M266 M526 M535 M373 M470 M425 M438 M
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