Icl Group Ltd.
ICL
Revenue
7.54B
▼-2.48B▼-24.75%
12 Months ChangeAssets
11.63B
▼-123.00M▼-1.05%
12 Months ChangeLiabilities
5.59B
▼-447.00M▼-7.40%
12 Months ChangeFree Cash Flow
0.00
0.000.00%
-Revenue/Cost Of Revenue
Revenue
Cost Of Revenue
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Net Profit/Loss
Net Profit/Loss
Baseline
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Assets/Liabilities
Assets
Liabilities
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Cash Flows
Operating (Cash Flow)
Investing (Cash Flow)
Financing (Cash Flow)
Free Cash Flow
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Date | Operating (Cash Flow) | Investing (Cash Flow) | Financing (Cash Flow) | Free Cash Flow |
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EPS
EPS (Diluted)
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Date | EPS | EPS (Diluted) |
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Outstanding Shares
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Date | Outstanding Shares |
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