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Corteva
Corteva
2019–2025 · Materials
2026-08-11
Overview
Earnings
Margins
Cash flow
Balance
Capital
Plot
USD millions
2019
2020
2021
2022
2023
2024
2025
Revenue
13 846
14 217
15 655
17 455
17 226
16 908
17 401
Net income attributable to shareholders
13
9
24
1 205
929
907
1 193
Gross margin
38,1%
40,2%
41,1%
—
—
43,6%
47,3%
Operating cash flow
1 070
2 064
2 727
912
1 809
2 296
3 457
Free cash flow
−93
1 589
2 154
—
—
—
—
Cash
1 764
3 526
4 459
3 191
2 644
3 106
4 521
Interest-bearing debt
123
1 106
1 118
—
2 685
3 203
3 362
0
5 000
10 000
15 000
20 000
2019
2020
2021
2022
2023
2024
2025
13 846
14 217
15 655
17 455
17 226
16 908
17 401