Corteva Statements
CT
Corteva Income Statement
B
M
USD (except Earnings per share)
Financial
Revenue
Cost of sales
Gross profit
Research and development
Selling, general and administrative
Total operating expenses
Operating income
Interest expense
Other income
Income before tax
Provision for income taxes
Net income
Diluted earnings per share
Shares outstanding after dilution
6 112
100
2 918
47.7
3 194
52.3
357
5.8
1 054
17.2
1 585
25.9
1 609
26.3
-120
-2
-25
-0.4
1 338
21.9
282
4.6
1 053
17.2
1.508
698.1
4 492
100
2 550
56.8
1 942
43.2
332
7.4
736
16.4
1 245
27.7
697
15.5
-57
-1.3
-87
-1.9
482
10.7
106
2.4
419
9.3
0.59
702.8
3 707
100
2 366
63.8
1 341
36.2
357
9.6
735
19.8
1 267
34.2
74
2
-81
-2.2
-38
-1.03
-323
-8.7
-92
-2.5
-253
-6.8
-0.35
703.9
2 590
100
1 646
63.6
944
36.4
335
12.9
670
25.9
1 179
45.5
-235
-9.07
-103
-4
-114
-4.4
-444
-17.1
-129
-5
-321
-12.4
-0.45
708.4
6 045
100
3 137
51.9
2 908
48.1
329
5.4
1 045
17.3
1 548
25.6
1 360
22.5
-129
-2.1
-89
-1.5
1 084
17.9
204
3.4
714
11.8
1
713.7
4 884
100
2 771
56.7
2 113
43.3
316
6.5
726
14.9
1 202
24.6
911
18.7
-24
-0.5
-77
-1.6
776
15.9
169
3.5
595
12.2
0.84
716.2
3 825
100
2 510
65.6
1 315
34.4
340
8.9
764
20
1 270
33.2
45
1.2
-113
-3
-73
-1.9
-203
-5.3
-162
-4.2
-55
-1.4
-0.06
714.8
2 777
100
1 879
67.7
898
32.3
312
11.2
657
23.7
1 147
41.3
-249
-9
4
0.1
-15
-0.5
-396
-14.3
-74
-2.7
-331
-11.9
-0.45
718.7
6 252
100
3 323
53.2
2 929
46.8
296
4.7
1 017
16.3
1 492
23.9
1 437
23
-24
-0.4
53
0.8
1 327
21.2
325
5.2
969
15.5
1.33
726.7
4 601
100
2 724
59.2
1 877
40.8
268
5.8
735
16
1 182
25.7
695
15.1
-31
-0.7
42
0.9
698
15.2
121
2.6
564
12.3
0.79
730.9
3 479
100
2 232
64.2
1 247
35.8
316
9.1
806
23.2
1 301
37.4
-54
-1.6
14
0.4
294
8.5
245
7
90
2.6
159
4.6
0.21
734.4
2 371
100
1 558
65.7
813
34.3
297
12.5
672
28.3
1 149
48.5
-336
-14.2
12
0.5
357
15.1
8
0.3
-28
-1.2
30
1.3
0.05
739.5
5 627
100
3 010
53.5
2 617
46.5
293
5.2
998
17.7
1 471
26.1
1 146
20.4
-1
-0.02
291
5.2
1 302
23.1
284
5
970
17.2
1.3
743.3
4 178
100
2 420
57.9
1 758
42.1
281
6.7
733
17.5
1 197
28.7
561
13.4
-18
-0.4
348
8.3
791
18.9
178
4.3
600
14.4
0.81
749.6
3 207
100
2 112
65.9
1 095
34.1
305
9.5
724
22.6
1 210
37.7
-115
-3.6
-36
-1.1
91
2.8
-70
-2.2
-169
-5.3
41
1.3
0.05
748.8
1 863
100
1 297
69.6
566
30.4
284
15.2
597
32
1 043
56
-477
-25.6
-67
-3.6
85
4.6
-507
-27.2
-117
-6.3
-392
-21.04
-0.52
749.5
5 191
100
2 829
54.5
2 362
45.5
273
5.3
965
18.6
1 414
27.2
948
18.3
-6
-0.1
65
1.3
844
16.3
78
1.5
760
14.6
1.01
751.6
3 956
100
2 269
57.4
1 687
42.6
280
7.1
757
19.1
1 200
30.3
487
12.3
-54
-1.4
91
2.3
408
10.3
127
3.2
272
6.9
0.36
752.5
2 983
100
1 968
66
1 015
34
290
9.7
747
25
1 198
40.2
-183
-6.1
-41
-1.4
69
2.3
-187
-6.3
-145
-4.9
-21
-0.7
-0.02
749.8
1 911
100
1 349
70.6
562
29.4
289
15.1
646
33.8
1 035
54.2
-473
-24.8
-20
-1.05
58
3
-631
-33.02
-104
-5.4
-494
-25.9
-0.65
749.5
5 556
100
3 047
54.8
2 509
45.2
269
4.8
937
16.9
1 319
23.7
1 190
21.4
-54
-1
18
0.3
753
13.6
270
4.9
-608
-10.9
-0.81
749.4
3 396
100
2 211
65.1
1 185
34.9
299
8.8
735
21.6
1 135
33.4
50
1.5
-70
-2.06
55
1.6
-251
-7.4
-67
-2
164
4.8
0.21
748.8
2 815
100
2 024
71.9
791
28.1
345
12.3
694
24.7
1 146
40.7
-355
-12.6
1
0.04
17
0.6
-914
-32.5
156
5.5
-531
-18.9
-0.7
751.2
1 947
100
1 485
76.3
462
23.7
325
16.7
633
32.5
1 046
53.7
-584
-30
-147
-7.6
71
3.6
-5 650
-290.2
-8
-0.4
-5 121
-263.02
-6.83
748.8
5 731
100
3 687
64.3
2 044
35.7
354
6.2
965
16.8
1 426
24.9
618
10.8
-63
-1.1
71
1.2
308
5.4
-67
-1.2
694
12.1
0.92
748.8
3 794
100
2 752
72.5
1 042
27.5
331
8.7
749
19.7
1 169
30.8
-127
-3.3
-170
-4.5
70
1.8
-550
-14.5
-112
-3
-107
-2.8
-0.14
748.8
2 678
1 804
874
383
615
1 075
-201
14
13
-481
-2 675
2 188
2.92
748.8
1 868
1 332
536
387
668
1 115
-579
50
-132
-633
213
-848
-1.13
748.8