Cooper Tire & Rubber Company Cash on Hand 2010-2021 | CTB

Cooper Tire & Rubber Company cash on hand from 2010 to 2021. Cash on hand can be defined as cash deposits at financial institutions that can immediately be withdrawn at any time, and investments maturing in one year or less that are highly liquid and therefore regarded as cash equivalents and reported with or near cash line items.
Cooper Tire & Rubber Company Annual Cash on Hand
(Millions of US $)
2020 $626
2019 $391
2018 $356
2017 $372
2016 $504
2015 $505
2014 $552
2013 $398
2012 $352
2011 $234
2010 $413
2009 $427
Cooper Tire & Rubber Company Quarterly Cash on Hand
(Millions of US $)
2021-03-31 $460
2020-12-31 $626
2020-09-30 $496
2020-06-30 $541
2020-03-31 $433
2019-12-31 $391
2019-09-30 $137
2019-06-30 $112
2019-03-31 $212
2018-12-31 $356
2018-09-30 $209
2018-06-30 $180
2018-03-31 $213
2017-12-31 $372
2017-09-30 $258
2017-06-30 $302
2017-03-31 $365
2016-12-31 $504
2016-09-30 $450
2016-06-30 $412
2016-03-31 $434
2015-12-31 $505
2015-09-30 $424
2015-06-30 $408
2015-03-31 $449
2014-12-31 $552
2014-09-30 $336
2014-06-30 $327
2014-03-31 $336
2013-12-31 $398
2013-09-30 $310
2013-06-30 $244
2013-03-31 $272
2012-12-31 $352
2012-09-30 $272
2012-06-30 $241
2012-03-31 $258
2011-12-31 $234
2011-09-30 $91
2011-06-30 $138
2011-03-31 $188
2010-12-31 $413
2010-09-30 $347
2010-06-30 $379
2010-03-31 $338
2009-12-31 $427
2009-09-30 $410
2009-06-30 $302
2009-03-31 $233