Annual long term liabilities:
$578.82M-$26.92M(-4.44%)Summary
- As of today (September 1, 2025), CMC annual total long term liabilities is $578.82 million, with the most recent change of -$26.92 million (-4.44%) on August 31, 2024.
- During the last 3 years, CMC annual long term liabilities has risen by +$324.56 million (+127.65%).
- CMC annual long term liabilities is now -4.44% below its all-time high of $605.75 million, reached on August 31, 2023.
Performance
CMC Long term liabilities Chart
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quarterly long term liabilities:
$417.81M+$4.13M(+1.00%)Summary
- As of today (September 1, 2025), CMC quarterly total long term liabilities is $417.81 million, with the most recent change of +$4.13 million (+1.00%) on May 31, 2025.
- Over the past year, CMC quarterly long term liabilities has dropped by -$130.80 million (-23.84%).
- CMC quarterly long term liabilities is now -31.03% below its all-time high of $605.75 million, reached on August 31, 2023.
Performance
CMC quarterly long term liabilities Chart
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Long term liabilities Formula
Long-Term Liabilities = Long-Term Debt + Deferred Tax Liabilities + Pension Liabilities + Other Long-Term Liabilities
CMC Long term liabilities Trends
PeriodPeriod | AnnualAnnual | QuarterlyQuarterly |
---|---|---|
1 y1 year | -4.4% | -23.8% |
3 y3 years | +127.7% | +19.6% |
5 y5 years | +171.9% | +52.4% |
CMC Long term liabilities Highs & Lows
PeriodPeriod | Annual vs highAnnual vs high | Annual vs lowAnnual vs low | Quarter. vs highQuarter. vs high | Quarter. vs lowQuarter. vs low | |
---|---|---|---|---|---|
3 y | 3-year | -4.4% | +127.7% | -31.0% | +19.6% |
5 y | 5-year | -4.4% | +171.9% | -31.0% | +73.2% |
alltime | all time | -4.4% | +1879.2% | -31.0% | +934.2% |
CMC Long term liabilities History
Date | Annual | Quarterly |
---|---|---|
May 2025 | - | $417.81M(+1.0%) |
Feb 2025 | - | $413.68M(-6.6%) |
Nov 2024 | - | $443.14M(-23.4%) |
Aug 2024 | $578.82M(-4.4%) | $578.82M(+5.5%) |
May 2024 | - | $548.61M(-0.4%) |
Feb 2024 | - | $550.81M(-1.2%) |
Nov 2023 | - | $557.76M(-7.9%) |
Aug 2023 | $605.75M(+20.4%) | $605.75M(+11.9%) |
May 2023 | - | $541.41M(+1.1%) |
Feb 2023 | - | $535.78M(+3.2%) |
Nov 2022 | - | $519.03M(+3.2%) |
Aug 2022 | $502.93M(+97.8%) | $502.93M(+43.9%) |
May 2022 | - | $349.39M(+29.4%) |
Feb 2022 | - | $270.05M(+11.9%) |
Nov 2021 | - | $241.26M(-5.1%) |
Aug 2021 | $254.26M(-11.0%) | $254.26M(-4.0%) |
May 2021 | - | $264.92M(-2.1%) |
Feb 2021 | - | $270.61M(-11.2%) |
Nov 2020 | - | $304.80M(+6.7%) |
Aug 2020 | $285.71M(+34.2%) | $285.71M(+4.2%) |
May 2020 | - | $274.18M(+6.7%) |
Feb 2020 | - | $256.89M(+6.9%) |
Nov 2019 | - | $240.40M(+12.9%) |
Aug 2019 | $212.91M(+38.1%) | $212.91M(+11.1%) |
May 2019 | - | $191.69M(+14.3%) |
Feb 2019 | - | $167.72M(+9.4%) |
Nov 2018 | - | $153.34M(-0.5%) |
Aug 2018 | $154.16M(-3.8%) | $154.16M(+8.9%) |
May 2018 | - | $141.55M(+9.9%) |
Feb 2018 | - | $128.85M(-19.3%) |
Nov 2017 | - | $159.69M(-0.3%) |
Aug 2017 | $160.18M(-13.1%) | $160.18M(-15.0%) |
May 2017 | - | $188.36M(+6.1%) |
Feb 2017 | - | $177.56M(+0.4%) |
Nov 2016 | - | $176.88M(-4.1%) |
Aug 2016 | $184.37M(+16.9%) | $184.37M(-4.1%) |
May 2016 | - | $192.18M(+12.0%) |
Feb 2016 | - | $171.63M(+17.5%) |
Nov 2015 | - | $146.10M(-7.4%) |
Aug 2015 | $157.72M(-6.0%) | $157.72M(-4.8%) |
May 2015 | - | $165.64M(+3.2%) |
Feb 2015 | - | $160.54M(+2.7%) |
Nov 2014 | - | $156.31M(-6.8%) |
Aug 2014 | $167.73M(+1.8%) | $167.73M(-2.7%) |
May 2014 | - | $172.47M(+4.3%) |
Feb 2014 | - | $165.29M(-5.2%) |
Nov 2013 | - | $174.38M(+5.9%) |
Aug 2013 | $164.72M(+20.6%) | $164.72M(+0.0%) |
May 2013 | - | $164.66M(+18.9%) |
Feb 2013 | - | $138.45M(+1.7%) |
Nov 2012 | - | $136.11M(-0.3%) |
Aug 2012 | $136.53M(-12.6%) | $136.53M(-22.6%) |
May 2012 | - | $176.31M(+62.4%) |
Feb 2012 | - | $108.59M(+4.1%) |
Nov 2011 | - | $104.33M(-33.2%) |
Aug 2011 | $156.13M(+2.4%) | $156.13M(-3.7%) |
May 2011 | - | $162.07M(-1.1%) |
Feb 2011 | - | $163.81M(+6.5%) |
Nov 2010 | - | $153.87M(+0.9%) |
Aug 2010 | $152.54M(-3.7%) | $152.54M(-0.1%) |
May 2010 | - | $152.64M(-4.0%) |
Feb 2010 | - | $159.07M(-1.9%) |
Nov 2009 | - | $162.13M(+2.3%) |
Aug 2009 | $158.41M(-9.1%) | $158.41M(-2.1%) |
May 2009 | - | $161.88M(+13.0%) |
Feb 2009 | - | $143.32M(-14.2%) |
Nov 2008 | - | $166.96M(-4.2%) |
Aug 2008 | $174.33M(+23.0%) | $174.33M(+4.9%) |
May 2008 | - | $166.19M(+4.7%) |
Feb 2008 | - | $158.77M(-4.1%) |
Nov 2007 | - | $165.60M(+16.8%) |
Aug 2007 | $141.79M(+21.1%) | $141.79M(+0.4%) |
May 2007 | - | $141.22M(+7.0%) |
Feb 2007 | - | $132.02M(-0.5%) |
Nov 2006 | - | $132.73M(-69.5%) |
Aug 2006 | $117.04M | $435.43M(-13.8%) |
May 2006 | - | $505.33M(-1.0%) |
Date | Annual | Quarterly |
---|---|---|
Feb 2006 | - | $510.25M(+1.7%) |
Nov 2005 | - | $501.81M(+2.2%) |
Aug 2005 | $104.26M(+15.8%) | $491.00M(-0.8%) |
May 2005 | - | $494.87M(-2.4%) |
Feb 2005 | - | $507.02M(+0.9%) |
Nov 2004 | - | $502.49M(+1.0%) |
Aug 2004 | $90.00M(+31.4%) | $497.60M(+1.6%) |
May 2004 | - | $489.54M(+9.8%) |
Feb 2004 | - | $445.76M(+2.9%) |
Nov 2003 | - | $433.10M(+33.9%) |
Aug 2003 | $68.48M(-78.2%) | $323.48M(+0.6%) |
May 2003 | - | $321.57M(+0.6%) |
Feb 2003 | - | $319.50M(+1.1%) |
Nov 2002 | - | $316.17M(+0.8%) |
Aug 2002 | $313.62M(+4.7%) | $313.62M(+2.0%) |
May 2002 | - | $307.43M(+2.3%) |
Feb 2002 | - | $300.54M(+0.2%) |
Nov 2001 | - | $300.06M(+0.2%) |
Aug 2001 | $299.49M(-4.3%) | $299.49M(-2.4%) |
May 2001 | - | $306.86M(-0.2%) |
Feb 2001 | - | $307.56M(-2.2%) |
Nov 2000 | - | $314.47M(+0.5%) |
Aug 2000 | $313.06M(+8.3%) | $313.06M(+9.8%) |
May 2000 | - | $285.19M(+1.4%) |
Feb 2000 | - | $281.30M(-2.5%) |
Nov 1999 | - | $288.50M(-0.2%) |
Aug 1999 | $289.10M(+48.2%) | $289.10M(+1.0%) |
May 1999 | - | $286.30M(0.0%) |
Feb 1999 | - | $286.30M(+48.0%) |
Nov 1998 | - | $193.40M(-0.9%) |
Aug 1998 | $195.10M(-5.3%) | $195.10M(+0.3%) |
May 1998 | - | $194.60M(-1.1%) |
Feb 1998 | - | $196.80M(-3.5%) |
Nov 1997 | - | $203.90M(-1.1%) |
Aug 1997 | $206.10M(+23.0%) | $206.10M(+31.9%) |
May 1997 | - | $156.30M(-1.3%) |
Feb 1997 | - | $158.40M(-4.2%) |
Nov 1996 | - | $165.40M(-1.3%) |
Aug 1996 | $167.60M(-5.0%) | $167.60M(-0.2%) |
May 1996 | - | $167.90M(-1.3%) |
Feb 1996 | - | $170.10M(-4.1%) |
Nov 1995 | - | $177.30M(+0.5%) |
Aug 1995 | $176.50M(+93.7%) | $176.50M(+28.7%) |
May 1995 | - | $137.10M(-1.6%) |
Feb 1995 | - | $139.30M(-6.5%) |
Nov 1994 | - | $149.00M(+63.6%) |
Aug 1994 | $91.10M(-0.5%) | $91.10M(+4.7%) |
May 1994 | - | $87.00M(-2.5%) |
Feb 1994 | - | $89.20M(-0.1%) |
Nov 1993 | - | $89.30M(-2.5%) |
Aug 1993 | $91.60M(-8.1%) | $91.60M(+2.5%) |
May 1993 | - | $89.40M(-7.4%) |
Feb 1993 | - | $96.50M(-2.4%) |
Nov 1992 | - | $98.90M(-0.8%) |
Aug 1992 | $99.70M(+71.0%) | $99.70M(-0.9%) |
May 1992 | - | $100.60M(-3.5%) |
Feb 1992 | - | $104.20M(+85.4%) |
Nov 1991 | - | $56.20M(-3.6%) |
Aug 1991 | $58.30M(-12.2%) | $58.30M(-4.1%) |
May 1991 | - | $60.80M(-2.9%) |
Feb 1991 | - | $62.60M(-3.5%) |
Nov 1990 | - | $64.90M(-2.3%) |
Aug 1990 | $66.40M(-8.9%) | $66.40M(-2.2%) |
May 1990 | - | $67.90M(-2.4%) |
Feb 1990 | - | $69.60M(-3.2%) |
Nov 1989 | - | $71.90M(-1.4%) |
Aug 1989 | $72.90M(+65.3%) | $72.90M(+80.4%) |
May 1989 | - | $40.40M(-8.4%) |
Aug 1988 | $44.10M(-12.5%) | $44.10M(-12.5%) |
Aug 1987 | $50.40M(-4.7%) | $50.40M(-4.7%) |
Aug 1986 | $52.90M(+13.8%) | $52.90M(+13.8%) |
Aug 1985 | $46.50M(-1.9%) | $46.50M(-1.9%) |
Aug 1984 | $47.40M(+13.3%) | $47.40M |
Aug 1983 | $41.83M(+31.1%) | - |
Aug 1982 | $31.90M(+9.1%) | - |
Aug 1981 | $29.24M(-8.1%) | - |
Aug 1980 | $31.83M | - |
FAQ
- What is Commercial Metals Company annual total long term liabilities?
- What is the all time high annual long term liabilities for Commercial Metals Company?
- What is Commercial Metals Company annual long term liabilities year-on-year change?
- What is Commercial Metals Company quarterly total long term liabilities?
- What is the all time high quarterly long term liabilities for Commercial Metals Company?
- What is Commercial Metals Company quarterly long term liabilities year-on-year change?
What is Commercial Metals Company annual total long term liabilities?
The current annual long term liabilities of CMC is $578.82M
What is the all time high annual long term liabilities for Commercial Metals Company?
Commercial Metals Company all-time high annual total long term liabilities is $605.75M
What is Commercial Metals Company annual long term liabilities year-on-year change?
Over the past year, CMC annual total long term liabilities has changed by -$26.92M (-4.44%)
What is Commercial Metals Company quarterly total long term liabilities?
The current quarterly long term liabilities of CMC is $417.81M
What is the all time high quarterly long term liabilities for Commercial Metals Company?
Commercial Metals Company all-time high quarterly total long term liabilities is $605.75M
What is Commercial Metals Company quarterly long term liabilities year-on-year change?
Over the past year, CMC quarterly total long term liabilities has changed by -$130.80M (-23.84%)