Schlumberger limited/nv (SLB)
Balance Sheet / Quarterly
Mar'20Dec'19Sep'19Jun'19Mar'19Dec'18Sep'18Jun'18Mar'18Dec'17Sep'17Jun'17Mar'17Dec'16Sep'16Jun'16Mar'16Dec'15Sep'15Jun'15Mar'15Dec'14Sep'14Jun'14Mar'14Dec'13Sep'13Jun'13Mar'13Dec'12Sep'12Jun'12Mar'12Dec'11Sep'11Jun'11Mar'11Dec'10Sep'10Jun'10Mar'10Dec'09Sep'09Jun'09Dec'08
ASSETS
Current Assets
Cash

1,375

1,137

1,183

1,466

1,230

1,433

1,493

1,461

1,865

1,799

1,690

1,903

1,902

2,929

3,441

2,947

2,080

2,793

3,172

3,541

2,121

3,130

3,118

2,267

3,752

3,472

3,149

2,586

2,129

1,905

1,852

1,521

1,346

1,705

1,732

1,378

1,475

1,764

1,114

229

271

617

194

216

189

Short-term investments

1,969

1,030

1,109

882

925

1,344

1,361

1,588

2,300

3,290

3,262

4,315

5,451

6,328

7,315

8,245

12,352

10,241

3,433

3,733

4,682

4,371

3,641

4,432

3,326

4,898

3,286

3,339

3,432

4,369

2,908

1,972

2,739

3,122

4,332

3,555

2,688

3,226

1,511

2,849

3,932

3,999

4,035

4,195

3,503

Receivables less allowance for doubtful accounts (2020 - $249; 2019 - $255)

7,486

7,747

8,332

8,471

8,171

7,881

8,409

8,606

8,472

8,084

9,436

8,925

8,636

9,387

9,565

9,374

8,382

8,780

9,372

9,569

10,443

11,171

12,352

12,251

11,680

11,497

12,057

11,277

11,502

11,351

11,450

10,802

10,401

9,500

9,493

9,356

8,891

8,278

8,600

6,234

5,972

6,088

6,087

6,107

6,258

Inventories

4,148

4,130

4,341

4,389

4,224

4,010

4,108

4,120

4,174

4,046

4,308

4,338

4,288

4,225

4,572

5,001

3,612

3,756

4,228

4,581

4,666

4,628

4,702

4,770

4,731

4,603

4,895

4,955

4,973

4,785

4,921

4,762

5,118

4,700

4,469

4,306

4,092

3,804

3,941

1,865

1,851

1,866

1,967

2,021

1,919

Deferred taxes

-

-

-

-

-

-

-

-

-

-

-

-

-

-

391

391

208

208

150

168

156

144

287

235

301

288

278

294

306

343

345

458

487

456

148

190

14

51

0

148

154

154

158

162

184

Other current assets

1,288

1,486

1,186

1,125

1,223

1,063

1,112

1,125

1,244

1,278

1,218

1,792

1,606

1,058

1,141

1,237

1,066

1,134

1,177

1,269

1,326

1,250

1,373

1,459

1,563

1,467

1,428

1,348

1,385

1,403

1,475

1,525

1,201

1,056

1,086

1,157

1,051

975

1,280

905

885

926

941

954

933

Current assets total

16,266

15,530

16,151

16,333

15,773

15,731

16,483

16,900

18,055

18,497

19,914

21,273

21,883

23,927

26,425

27,195

27,700

26,912

21,532

22,861

23,394

24,694

25,473

25,414

25,353

26,225

25,093

23,799

23,727

24,156

22,951

21,040

21,292

20,539

21,260

19,942

18,211

18,098

16,446

12,230

13,065

13,650

13,382

13,655

12,986

Fixed Income Investments, held to maturity

-

-

-

-

-

-

-

-

-

-

-

13

238

238

354

386

401

418

439

469

436

442

473

480

358

363

363

417

266

245

246

261

281

256

255

318

458

484

600

652

708

738

625

464

470

Investments in Affiliated Companies

1,515

1,565

1,335

1,558

1,544

1,538

1,497

1,487

1,483

1,519

1,481

1,553

1,482

1,243

1,283

1,276

3,341

3,311

3,359

3,362

3,272

3,235

3,223

3,342

3,407

3,317

3,298

3,235

1,620

1,502

1,351

1,264

1,303

1,266

1,222

1,217

1,198

1,071

1,005

2,396

2,360

2,306

2,243

1,985

1,870

Fixed Assets less accumulated depreciation

8,550

9,270

9,605

11,359

11,533

11,679

11,739

11,504

11,556

11,576

12,338

12,358

12,507

12,821

13,004

13,226

13,259

13,415

14,554

14,848

15,135

15,396

15,809

15,743

15,114

15,096

14,828

14,742

14,805

14,780

14,104

13,689

13,314

12,993

12,583

12,315

12,218

12,071

11,900

9,657

9,545

9,660

9,610

9,688

9,690

Multiclient Seismic Data

556

568

593

577

584

601

639

686

707

727

992

1,042

1,089

1,073

1,042

976

1,108

1,026

966

913

850

793

751

727

696

667

650

634

582

518

504

478

454

425

444

425

434

394

378

369

333

288

285

265

287

Goodwill

12,924

16,042

16,112

24,950

24,945

24,931

25,134

25,121

25,120

25,118

25,113

25,058

25,045

24,990

24,957

24,603

15,649

15,605

15,610

15,525

15,512

15,487

15,243

15,220

14,832

14,706

14,623

14,407

14,580

14,585

14,524

14,540

14,199

14,154

14,118

13,935

13,978

13,952

13,671

5,854

5,397

5,305

5,296

5,266

5,189

Intangible Assets

3,673

7,089

7,282

8,485

8,611

8,727

8,930

9,092

9,217

9,354

9,540

9,636

9,743

9,855

9,837

9,921

4,551

4,569

4,524

4,525

4,575

4,654

4,690

4,738

4,713

4,709

4,732

4,673

4,734

4,802

4,858

4,980

4,805

4,882

4,927

4,996

5,079

5,162

5,248

1,360

840

786

813

857

820

Deferred Taxes

155

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

0

199

301

376

317

406

565

Other Assets

4,955

6,248

6,912

7,329

7,331

7,300

5,624

5,366

5,340

5,196

4,191

3,929

4,188

3,809

3,692

3,588

3,132

2,749

2,358

2,250

2,237

2,203

2,658

2,422

2,244

2,017

1,536

1,344

1,114

959

903

761

718

686

772

871

796

535

606

300

334

356

504

374

217

Total Assets

48,594

56,312

57,990

70,591

70,321

70,507

70,046

70,156

71,478

71,987

73,569

74,862

76,175

77,956

80,594

81,171

69,141

68,005

63,342

64,753

65,411

66,904

68,320

68,086

66,717

67,100

65,123

63,251

61,428

61,547

59,441

57,013

56,366

55,201

55,581

54,019

52,372

51,767

49,854

33,017

32,883

33,465

33,075

32,960

32,094

LIABILITIES AND EQUITY
Current Liabilities
Accounts payable and accrued liabilities

10,168

10,663

10,364

9,851

9,702

10,223

9,419

9,367

9,598

10,036

9,715

9,444

9,408

10,016

9,439

9,494

6,725

7,727

7,186

7,479

8,469

9,246

8,916

8,692

8,272

8,837

8,366

7,815

7,842

8,453

7,913

7,422

7,294

7,579

7,023

7,013

6,328

6,488

6,308

4,852

4,705

5,003

4,736

4,710

5,318

Estimated liability for taxes on income

1,157

1,209

1,078

1,123

1,194

1,155

1,265

1,264

1,311

1,223

1,310

1,159

1,215

1,188

1,092

1,043

1,269

1,203

1,425

1,424

1,631

1,647

1,499

1,529

1,731

1,490

1,471

1,361

1,548

1,426

1,459

1,214

1,411

1,245

1,207

1,210

1,544

1,493

1,217

908

865

878

929

924

1,007

Short-term borrowings and current portion of long-term debt

1,233

524

340

98

99

1,407

3,215

3,736

4,586

3,324

1,289

2,224

2,449

3,153

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

Long-term debt - current portion

-

-

-

-

-

-

-

-

-

-

-

-

-

-

1,788

2,385

3,267

3,011

3,250

2,092

3,180

1,244

27

837

628

1,819

1,876

2,083

1,996

1,163

1,232

2,023

1,296

1,041

2,395

2,573

1,739

2,214

1,470

440

456

444

596

831

1,139

Short-term borrowings

-

-

-

-

-

-

-

-

-

-

-

-

-

-

1,951

986

987

1,546

1,511

2,139

648

1,521

1,424

668

741

964

622

775

966

958

560

498

432

336

348

1,244

450

381

446

327

179

360

-

-

459

Dividends payable

704

702

701

701

702

701

701

699

700

699

700

700

704

702

702

701

632

634

638

640

644

518

522

525

527

415

418

420

419

368

368

369

369

337

334

336

338

289

286

249

250

253

250

253

252

Convertible debentures

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

0

-

299

321

321

321

0

Deferred taxes

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

334

-

-

-

-

-

-

Bank & short-term loans

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

283

422

-

Current Liabilities Total

13,262

13,098

12,483

11,773

11,697

13,486

14,600

15,066

16,195

15,282

13,014

13,527

13,776

15,059

14,972

14,609

12,880

14,121

14,010

13,774

14,572

14,176

12,388

12,251

11,899

13,525

12,753

12,454

12,771

12,368

11,532

11,526

10,802

10,538

11,307

12,376

10,399

10,865

10,061

6,776

6,754

7,259

7,115

7,461

8,175

Long-term Debt

15,409

14,770

16,333

16,978

16,449

14,644

14,159

13,865

13,526

14,875

15,871

16,600

16,538

16,463

17,538

18,252

17,233

14,442

7,487

9,110

8,898

10,565

11,626

11,740

11,120

10,393

9,916

9,098

8,138

9,509

9,397

7,953

8,439

8,556

8,740

5,745

6,422

5,517

4,820

3,729

4,052

4,355

4,312

4,291

3,372

Convertible Debentures

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

0

0

321

Postretirement Benefits

936

967

1,101

1,119

1,136

1,153

957

971

1,027

1,082

1,340

1,385

1,457

1,495

1,293

1,341

1,392

1,434

1,282

1,348

1,419

1,501

606

699

663

670

1,833

2,031

2,056

2,169

1,398

1,490

1,717

1,732

1,034

1,244

1,253

1,262

1,192

1,581

1,623

1,660

1,293

1,596

2,369

Deferred Taxes

-

491

591

1,330

1,375

1,441

1,529

1,541

1,579

1,650

1,893

2,000

1,908

1,880

2,622

2,631

923

1,075

1,276

1,333

1,363

1,296

1,733

1,656

1,708

1,708

1,479

1,450

1,506

1,493

1,642

1,800

1,749

1,731

1,662

1,488

1,702

1,636

1,557

-

-

-

-

-

-

Other Liabilities

3,004

2,810

3,155

3,118

3,140

3,197

1,853

1,816

1,825

1,837

1,441

1,398

1,442

1,530

1,595

1,359

1,051

1,028

1,108

1,003

1,293

1,317

1,280

1,038

1,147

1,169

1,111

1,170

1,176

1,150

1,161

1,277

1,171

1,252

1,215

1,104

970

1,043

1,108

1,047

915

962

892

878

923

Total Liabilities

32,611

32,136

33,663

34,318

33,797

33,921

33,098

33,259

34,152

34,726

33,559

34,910

35,121

36,427

38,020

38,192

33,479

32,100

25,163

26,568

27,545

28,855

27,633

27,384

26,537

27,465

27,092

26,203

25,647

26,689

25,130

24,046

23,878

23,809

23,958

21,957

20,746

20,323

18,738

13,133

13,344

14,236

13,612

14,226

15,160

Equity
Common stock

12,963

13,078

13,012

13,037

13,000

13,132

13,058

13,030

12,998

12,975

12,863

12,843

12,780

12,801

12,823

12,835

12,700

12,693

12,642

12,586

12,535

12,495

12,428

12,338

12,246

12,192

12,108

12,025

11,946

11,912

11,840

11,761

11,685

11,639

11,606

12,044

11,983

11,920

11,874

4,920

4,841

4,777

4,746

4,718

4,668

Treasury stock

3,360

3,631

3,641

3,827

3,756

4,006

3,924

4,001

3,937

4,049

3,966

4,049

3,697

3,550

3,571

3,636

13,620

13,372

13,023

12,671

12,263

11,772

10,725

9,514

8,723

8,135

7,208

6,605

6,139

6,160

6,200

6,209

5,767

5,679

5,088

4,417

3,740

3,136

2,803

5,420

5,221

5,002

4,568

4,668

4,796

Retained earnings

10,681

18,751

19,111

31,186

31,386

31,658

31,712

31,760

32,022

32,190

35,136

35,284

36,052

36,470

37,370

37,889

40,745

40,870

42,515

42,158

41,669

41,333

41,543

40,111

39,036

37,966

36,711

35,409

33,729

32,887

31,889

30,830

29,794

28,860

27,780

26,815

25,814

25,210

24,454

23,007

22,440

22,019

21,475

20,940

19,891

Accumulated other comprehensive loss

-4,723

-4,438

-4,569

-4,544

-4,527

-4,622

-4,313

-4,305

-4,159

-4,274

-4,460

-4,558

-4,529

-4,643

-4,388

-4,478

-4,466

-4,558

-4,193

-4,108

-4,285

-4,206

-2,741

-2,399

-2,555

-2,554

-3,726

-3,920

-3,876

-3,888

-3,325

-3,572

-3,365

-3,557

-2,798

-2,594

-2,643

-2,768

-2,627

-2,729

-2,632

-2,674

-2,298

-2,363

-2,901

Schlumberger stockholders' equity

15,561

23,760

23,913

35,852

36,103

36,162

36,533

36,484

36,924

36,842

39,573

39,520

40,606

41,078

42,234

42,610

35,359

35,633

37,941

37,965

37,656

37,850

40,505

40,536

40,004

39,469

37,885

36,909

35,660

34,751

34,204

32,810

32,347

31,263

31,500

31,848

31,414

31,226

30,898

19,778

19,428

19,120

19,355

18,627

16,862

Noncontrolling interests

422

416

414

421

421

424

415

413

402

419

437

432

448

451

340

369

303

272

238

220

210

199

182

166

176

166

146

139

121

107

107

157

141

129

123

214

212

218

218

106

111

109

108

107

72

Total equity

15,983

24,176

24,327

36,273

36,524

36,586

36,948

36,897

37,326

37,261

40,010

39,952

41,054

41,529

42,574

42,979

35,662

35,905

38,179

38,185

37,866

38,049

40,687

40,702

40,180

39,635

38,031

37,048

35,781

34,858

34,311

32,967

32,488

31,392

31,623

32,062

31,626

31,444

31,116

19,884

19,539

19,229

19,463

18,734

16,934

Liabilities and stockholders equity

48,594

56,312

57,990

70,591

70,321

70,507

70,046

70,156

71,478

71,987

73,569

74,862

76,175

77,956

80,594

81,171

69,141

68,005

63,342

64,753

65,411

66,904

68,320

68,086

66,717

67,100

65,123

63,251

61,428

61,547

59,441

57,013

56,366

55,201

55,581

54,019

52,372

51,767

49,854

33,017

32,883

33,465

33,075

32,960

32,094