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Balance Sheet - ENI SPA (E)

$ (Billion, Million)
Dec-25 Dec-24 Dec-23 Dec-22 Dec-21 Dec-20 Dec-19 Dec-18 Dec-17 Mar-17 Dec-16 Mar-16 Dec-15 Mar-15 Dec-14 Mar-14 Dec-13 Dec-12 Dec-11 Dec-10
Total cash and short-term investments + 15.09 14.98 16.98 18.41 14.56 14.92 12.75 17.39 15.01 0.02 14.69 0.00 10.51 0.00 15.48 0.00 11.84 8.95 3.48 2.77
Accounts receivable, net 16.69 18.68 17.91 22.66 23.35 11.56 13.83 15.15 16.20 0.00 17.96 0.00 22.00 0.00 28.16 0.00 29.48 30.13 25.70 25.04
Inventories 5.14 6.26 6.19 7.71 6.07 3.89 4.73 4.65 4.62 0.00 4.64 3.91 0.00 7.56 7.94 8.63 7.58 6.59
Other current assets 3.94 3.66 5.64 12.82 13.63 2.49 3.59 2.26 0.60 0.00 0.69 3.64 1.94 1.21 1.16 1.44 0.51
Total current assets 40.86 43.58 46.71 61.60 57.61 32.86 34.91 39.45 36.43 0.03 37.97 0.00 57.58 0.00 53.14 0.00 50.46 48.87 38.20 34.91
Total non-current assets + 98.34 106.50 99.66 94.75 85.98 79.85 93.19 82.61 82.76 90.86 76.98 96.98 87.88 91.01 104.75 96.95
Total assets 139.20 150.08 146.37 156.35 143.60 112.71 128.10 122.06 119.20 0.07 128.83 0.00 134.56 0.00 150.12 0.00 138.34 139.88 142.95 131.86
Total current liabilities + 34.27 37.83 36.06 48.72 43.15 23.69 29.64 28.38 24.74 0.00 27.70 0.00 36.50 0.00 37.17 0.00 32.87 33.99 35.63 34.85
Total non-current liabilities + 57.15 61.61 61.74 57.40 60.93 51.52 50.56 42.60 46.38 48.05 44.42 50.74 44.42 43.33 46.92 41.29
Total liabilities 91.41 99.43 97.80 106.12 104.08 75.21 80.20 70.98 71.12 0.03 75.75 0.00 80.92 0.00 87.91 0.00 77.29 77.32 82.55 76.13
Total stockholders' equity + 42.94 47.79 48.11 49.76 39.44 37.42 47.84 51.02 48.03 0.04 53.04 0.00 53.63 0.00 59.75 0.00 58.21 59.06 55.47 51.21
Common shares outstanding 1,544 1,615 1,664 1,745 1,787 1,786 1,797 1,802 1,801 1,801 1,800 1,793 1,817 1,811 1,811 1,811
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Balance Sheet - ENI SPA (E)

$ (Billion, Million)
Mar-26 Dec-25 Sep-25 Jun-25 Mar-25 Dec-24 Sep-24 Jun-24 Mar-24 Dec-23 Sep-23 Jun-23 Mar-23 Dec-22 Sep-22 Jun-22 Mar-22 Dec-21 Sep-21 Jun-21 Mar-21 Dec-20 Sep-20 Jun-20 Mar-20 Dec-19 Sep-19 Jun-19 Mar-19 Dec-18 Sep-18 Jun-18 Mar-18 Dec-17 Sep-17 Jun-17 Mar-17 Dec-16 Sep-16 Jun-16 Mar-16 Dec-15 Sep-15 Jun-15 Mar-15 Dec-14 Sep-14 Jun-14 Mar-14 Dec-13 Sep-13 Jun-13 Mar-13 Dec-12 Sep-12 Jun-12 Mar-12 Dec-11 Sep-11 Jun-11 Mar-11 Dec-10 Sep-10 Jun-10 Mar-10 Dec-09 Sep-09 Jun-09 Mar-09 Dec-08 Sep-08 Jun-08 Mar-08 Dec-07 Sep-07 Jun-07 Mar-07 Dec-06 Sep-06 Jun-06 Mar-06
Total cash and short-term investments + 14.78 15.09 15.75 16.02 16.19 14.98 15.91 17.43 16.19 16.98 17.45 19.70 19.91 18.41 18.23 17.20 19.75 14.56 13.83 16.12 15.17 14.92 12.49 12.57 13.14 12.75 11.22 17.22 17.69 17.69 16.83 13.92 12.13 15.01 12.23 12.30 11.88 14.66 11.12 11.45 11.33 10.51 10.74 10.77 12.57 9.30 10.60 11.78 6.99 10.53 10.75 8.06 10.32 8.00 6.10 4.88 2.24 1.84 1.84 1.83 1.93 2.06 1.84 2.01 1.61 2.11 0.00 2.48 4.97 5.18 0.00 4.28 5.03 5.03 0.00 9.68 4.96 4.96 0.00 5.43 2.70
Accounts receivable, net 15.27 16.69 13.21 13.99 17.73 18.68 14.26 16.13 17.60 17.91 15.37 15.49 21.16 22.66 21.78 22.58 24.18 23.35 14.81 13.74 11.11 11.56 10.97 10.93 13.07 13.83 14.07 15.22 14.85 14.85 16.27 16.29 17.56 16.20 16.30 16.57 20.31 17.98 19.68 20.97 12.23 22.63 15.84 18.29 21.45 20.02 18.76 29.87 22.74 30.53 27.59 30.48 23.94 30.63 25.35 24.61 27.98 26.53 23.45 22.18 25.04 25.04 21.40 23.40 22.37 22.37 15.23 23.52 16.72 23.52 24.37 20.71 20.71 17.65 18.80 18.80 17.64 18.58
Inventories 5.40 5.14 6.26 5.80 5.63 6.26 6.59 6.68 6.28 6.19 6.88 6.07 7.71 7.71 10.16 8.82 6.95 6.07 5.65 4.59 3.89 3.89 4.03 4.16 4.73 4.73 4.68 4.57 4.65 4.65 5.07 4.72 4.33 4.62 4.64 4.86 4.73 4.64 4.56 4.41 3.39 3.91 7.64 7.39 7.59 1.70 8.79 8.26 7.45 7.88 8.69 8.04 8.28 8.50 9.44 7.90 7.74 7.58 8.16 6.91 6.59 6.59 6.80 6.64 5.50 5.50 5.66 6.08 4.53 6.08 8.71 6.21 5.51 5.51 4.94 4.75 4.75 5.63 4.39 3.56
Other current assets 9.63 3.94 4.26 5.03 3.11 3.66 4.85 5.29 5.41 5.64 5.67 7.03 12.82 12.82 34.52 25.04 24.29 13.63 20.62 8.04 2.69 2.49 2.90 4.23 3.97 3.59 2.33 2.87 2.26 2.26 4.37 3.10 1.85 0.60 1.26 0.37 1.40 0.69 2.12 2.79 15.46 29.10 14.97 13.77 15.86 15.40 15.04 1.98 12.89 12.81 3.50 1.88 12.68 2.05 3.69 3.31 3.45 2.59 3.14 2.45 1.35 1.73 2.36 1.34 1.66 1.66 5.11 2.35 5.59 1.53 2.62 2.62 1.29 1.51 1.51 0.56 0.37
Total current assets 45.09 40.86 39.49 40.84 42.66 43.58 41.60 45.54 45.48 46.71 45.38 48.30 61.86 61.60 84.69 73.64 75.17 57.61 54.90 42.49 32.90 32.86 30.38 31.89 34.93 34.91 32.29 39.88 39.75 39.75 42.55 38.02 35.87 36.43 34.43 34.11 38.32 37.97 37.47 39.62 42.41 57.58 49.19 51.51 57.47 34.82 53.19 53.93 55.08 52.73 50.53 48.46 55.21 49.26 44.58 40.69 41.40 38.20 36.59 33.38 34.91 34.91 32.40 33.39 31.13 31.13 20.89 36.65 24.29 37.13 36.39 33.87 33.87 33.55 30.02 30.02 28.02 25.21
Total non-current assets + 102.62 98.34 95.50 95.37 101.80 106.50 97.76 105.49 101.05 99.66 95.62 92.12 90.30 94.75 93.41 94.02 84.24 85.98 79.99 77.50 76.75 79.85 79.72 83.20 88.51 93.19 90.06 90.22 78.63 78.63 80.64 80.32 78.46 82.76 81.45 83.71 86.88 90.86 82.51 82.72 80.57 76.98 95.40 96.86 99.15 50.40 91.77 86.15 85.38 85.36 87.29 89.13 92.20 90.38 111.02 109.82 103.83 104.75 100.78 97.30 96.95 96.95 93.02 95.42 86.40 86.40 77.71 80.02 44.24 79.46 72.66 67.75 67.75 61.38 58.29 58.29 56.68 58.57
Total assets 147.71 139.20 134.99 136.21 144.46 150.08 139.36 151.03 146.53 146.37 140.99 140.42 152.17 156.35 178.10 167.66 159.40 143.60 134.90 119.99 109.65 112.71 110.10 115.09 123.44 128.10 122.35 130.10 118.37 118.37 123.19 118.34 114.32 119.20 115.88 117.82 125.20 128.83 119.99 122.34 122.98 134.56 144.59 148.37 156.62 85.22 144.96 140.08 140.46 138.09 137.82 137.59 147.42 139.64 155.60 150.52 145.22 142.95 137.37 130.68 131.86 131.86 125.42 128.81 117.53 117.53 98.60 116.67 68.53 116.59 109.04 101.62 101.62 94.93 88.31 88.31 84.70 83.79
Total current liabilities + 38.88 34.27 33.91 34.50 36.85 37.83 32.82 35.56 36.54 36.06 31.52 33.59 48.83 48.72 72.25 59.56 61.28 43.15 44.73 31.26 23.69 23.69 23.54 25.60 29.64 29.64 27.18 30.57 28.44 28.44 30.33 27.05 24.76 24.74 27.08 25.92 28.57 27.70 23.59 25.27 27.34 36.50 36.93 38.16 42.07 20.70 34.77 33.83 32.40 33.09 33.02 33.60 40.38 34.35 34.43 33.52 35.54 35.63 34.95 31.70 34.85 34.85 32.58 33.16 30.49 30.49 45.13 34.90 28.01 35.35 36.68 30.29 30.29 28.78 23.75 23.75 22.86 22.47
Total non-current liabilities + 54.54 57.15 48.11 48.31 50.34 61.61 53.07 65.34 54.88 61.74 52.19 51.30 48.11 57.40 48.00 61.09 50.66 60.93 49.89 48.15 48.46 51.52 50.03 50.64 45.90 50.56 43.69 48.53 38.86 38.86 41.99 40.83 41.33 46.38 42.23 42.97 43.50 48.05 46.26 44.77 43.05 44.42 46.48 46.34 46.35 23.99 46.16 44.99 45.66 43.83 42.19 42.14 41.78 42.58 56.93 53.43 46.36 46.92 44.76 43.28 41.29 41.29 38.72 38.28 36.99 36.99 4.44 33.27 -11.48 32.73 28.48 28.39 28.39 23.86 23.36 23.36 21.95 22.13
Total liabilities 93.42 91.41 82.02 82.81 87.19 99.43 85.89 100.89 91.42 97.80 83.71 84.89 96.94 106.12 120.25 120.64 111.94 104.08 94.62 79.41 72.16 75.21 73.57 76.25 75.54 80.20 70.88 79.10 67.30 67.30 72.32 67.87 66.09 71.12 69.31 68.89 72.07 75.75 69.84 70.04 70.39 80.92 83.41 84.50 88.42 44.69 80.94 78.82 78.06 76.91 75.21 75.74 82.16 76.93 91.36 86.94 81.89 82.55 79.72 74.98 76.13 76.13 71.30 71.44 67.48 67.48 49.57 68.16 16.53 68.08 65.16 58.69 58.69 52.64 47.11 47.11 44.81 44.60
Total stockholders' equity + 49.19 42.94 49.24 49.74 53.55 47.79 51.04 49.28 54.24 48.11 56.85 55.11 54.76 49.76 57.36 46.92 47.37 39.44 40.19 40.50 37.42 37.42 36.46 38.77 47.84 47.84 51.41 50.95 51.02 51.02 50.81 50.42 48.18 48.03 46.53 48.88 53.08 53.04 50.10 52.26 52.54 51.72 59.16 61.89 65.77 40.53 61.35 58.50 59.57 58.21 59.68 58.98 61.77 59.20 58.83 58.55 58.12 55.47 52.95 50.94 51.21 51.21 49.87 53.38 46.07 46.07 45.33 48.51 48.92 44.44 67.46 41.21 40.49 40.49 78.29 40.23 39.03 39.03 53.75 37.86 36.84
Common shares outstanding 1,504 1,520 1,556 1,556 1,563 1,590 1,612 1,625 1,632 1,653 1,650 1,672 3,372 1,686 1,747 1,772 1,774 1,778 1,788 1,789 1,788 1,788 1,788 1,786 1,790 1,790 1,797 1,802 1,814 1,814 1,801 1,789 1,819 1,796 1,720 1,814 1,787 1,801 1,756 1,858 1,809 1,800 1,795 1,617 1,805 1,802 1,804 1,828 1,811 1,811 1,813 1,811 1,811 1,811 1,801 1,811 1,809 1,819 1,811 1,811 1,819 1,811 1,811 1,811 1,811 1,823 1,824 1,811 1,811 1,778 1,825 1,822 1,827 1,823 1,834 1,838 1,838 1,850 1,842 1,857 1,864
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