TotalEnergies SE
NYSE:TTE

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TotalEnergies SE
NYSE:TTE
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Price: 59.87 USD 0.5% Market Closed
Market Cap: 141.4B USD
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Balance Sheet

Balance Sheet Decomposition
TotalEnergies SE

Current Assets 91.8B
Cash & Short-Term Investments 30B
Receivables 20.6B
Other Current Assets 41.1B
Non-Current Assets 187.7B
Long-Term Investments 37B
PP&E 109.4B
Intangibles 33.5B
Other Non-Current Assets 7.8B
Current Liabilities 82.4B
Accounts Payable 69.9B
Other Current Liabilities 12.5B
Non-Current Liabilities 79.7B
Long-Term Debt 42.5B
Other Non-Current Liabilities 37.2B

Balance Sheet
TotalEnergies SE

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Balance Sheet
Currency: USD
Dec-2014 Dec-2015 Dec-2016 Dec-2017 Dec-2018 Dec-2019 Dec-2020 Dec-2021 Dec-2022 Dec-2023
Assets
Cash & Cash Equivalents
25 181
23 269
24 597
33 185
26 065
25 576
29 128
18 245
30 674
27 263
Cash
13 874
12 291
12 129
13 427
15 186
16 456
14 518
13 544
14 873
0
Cash Equivalents
11 307
10 978
12 468
19 758
10 879
9 120
14 610
4 701
15 801
27 263
Short-Term Investments
1 293
6 190
4 507
3 221
3 609
3 992
4 612
12 273
8 744
6 585
Total Receivables
29 738
24 866
25 611
28 258
31 093
34 108
25 642
55 195
58 930
23 442
Accounts Receivables
15 704
10 629
12 213
14 893
17 270
18 488
14 068
21 983
24 378
23 442
Other Receivables
14 034
14 237
13 398
13 365
13 823
15 620
11 574
33 212
34 552
0
Inventory
15 196
13 116
15 247
16 520
14 880
17 132
14 730
19 952
22 936
19 317
Other Current Assets
6 569
2 795
2 555
3 764
4 152
4 457
5 567
5 471
4 440
22 922
Total Current Assets
77 977
70 236
72 517
84 948
79 799
85 265
79 679
111 136
125 724
99 529
PP&E Net
106 876
109 518
111 971
109 397
113 324
116 408
108 335
106 559
107 101
108 916
PP&E Gross
106 876
109 518
111 971
109 397
113 324
116 408
108 335
106 559
107 101
0
Accumulated Depreciation
125 099
131 497
136 996
153 544
160 088
170 609
192 143
192 320
188 977
0
Intangible Assets
14 063
13 923
14 205
13 160
20 748
24 832
24 721
23 655
23 281
33 083
Goodwill
619
626
1 157
1 427
8 174
8 346
8 807
8 829
8 650
0
Note Receivable
3 326
3 407
3 048
2 878
1 877
1 982
2 458
2 107
1 837
0
Long-Term Investments
21 992
21 844
21 772
23 903
24 932
29 300
31 543
34 295
30 858
34 395
Other Long-Term Assets
4 945
4 930
6 308
6 918
7 908
7 161
10 589
6 877
6 413
7 731
Other Assets
619
626
1 157
1 427
8 174
8 346
8 807
8 829
8 650
0
Total Assets
229 798
N/A
224 484
-2%
230 978
+3%
242 631
+5%
256 762
+6%
273 294
+6%
266 132
-3%
293 458
+10%
303 864
+4%
283 654
-7%
Liabilities
Accounts Payable
24 150
20 928
23 227
26 479
26 134
28 394
23 574
36 837
41 346
78 062
Accrued Liabilities
8 706
6 970
7 104
7 644
8 960
9 487
8 163
15 506
17 089
0
Short-Term Debt
6 164
7 836
9 469
6 396
8 316
8 710
11 305
8 846
8 997
0
Current Portion of Long-Term Debt
4 778
4 652
4 451
4 700
4 990
6 109
5 794
6 189
6 505
9 590
Other Current Liabilities
9 875
10 589
10 434
11 486
13 834
17 544
15 840
27 724
35 841
1 133
Total Current Liabilities
53 673
50 975
54 685
56 705
62 234
70 244
64 676
95 102
109 778
88 785
Long-Term Debt
44 537
41 573
39 416
40 258
38 249
46 079
58 588
48 014
41 518
40 478
Deferred Income Tax
14 810
12 360
11 060
10 828
11 490
11 858
10 326
10 904
11 021
11 688
Minority Interest
3 201
2 915
2 894
2 481
2 474
2 527
2 383
3 263
2 846
2 700
Other Liabilities
23 247
24 167
24 243
20 803
26 675
25 808
26 457
24 439
26 977
23 250
Total Liabilities
139 468
N/A
131 990
-5%
132 298
+0%
131 075
-1%
141 122
+8%
156 516
+11%
162 430
+4%
181 722
+12%
192 140
+6%
166 901
-13%
Equity
Common Stock
7 518
7 670
7 604
7 882
8 227
8 123
8 267
8 224
8 163
7 616
Additional Paid In Capital
94 646
101 528
105 547
112 040
120 569
121 170
107 078
117 849
123 951
126 857
Treasury Stock
4 354
4 585
600
458
1 843
1 012
1 387
1 666
7 554
4 019
Other Equity
7 480
12 119
13 871
7 908
11 313
11 503
10 256
12 671
12 836
13 701
Total Equity
90 330
N/A
92 494
+2%
98 680
+7%
111 556
+13%
115 640
+4%
116 778
+1%
103 702
-11%
111 736
+8%
111 724
0%
116 753
+5%
Total Liabilities & Equity
229 798
N/A
224 484
-2%
230 978
+3%
242 631
+5%
256 762
+6%
273 294
+6%
266 132
-3%
293 458
+10%
303 864
+4%
283 654
-7%
Shares Outstanding
Common Shares Outstanding
2 276
2 326
2 420
2 521
2 608
2 586
2 629
2 607
2 482
2 352

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