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AAPL Apple

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  • 213.310
  • +3.490+1.66%
Close Aug 8 16:00 ET
  • 213.948
  • +0.638+0.30%
Post 20:01 ET
3.24TMarket Cap32.47P/E (TTM)

Apple Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Jun 29, 2024
(Q2)Mar 30, 2024
(Q1)Dec 30, 2023
(FY)Sep 30, 2023
(Q4)Sep 30, 2023
(Q3)Jul 1, 2023
(Q2)Apr 1, 2023
(Q1)Dec 31, 2022
(FY)Sep 24, 2022
(Q4)Sep 24, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
9.39%28.86B
-20.55%22.69B
17.32%39.9B
-9.50%110.54B
-10.48%21.6B
15.24%26.38B
1.40%28.56B
-27.60%34.01B
17.41%122.15B
19.44%24.13B
Net income from continuing operations
7.88%21.45B
-2.17%23.64B
13.06%33.92B
-2.81%97B
10.79%22.96B
2.26%19.88B
-3.40%24.16B
-13.38%30B
5.41%99.8B
0.83%20.72B
Depreciation and amortization
-6.62%2.85B
-2.14%2.84B
-2.33%2.85B
3.74%11.52B
-7.40%2.65B
8.81%3.05B
5.88%2.9B
8.12%2.92B
-1.60%11.1B
-4.15%2.87B
Other non cash items
-91.36%7M
30.60%-982M
-211.99%-989M
-321.37%-2.23B
65.90%-576M
-95.02%81M
-746.12%-1.42B
-137.34%-317M
120.44%1.01B
60.09%-1.69B
Change In working capital
124.83%1.68B
-2,595.24%-5.76B
175.02%1.12B
-648.08%-6.58B
-12,525.00%-6.06B
123.22%749M
111.26%231M
-122.94%-1.5B
124.43%1.2B
97.32%-48M
-Change in receivables
42.80%-2.09B
-50.71%8.77B
68.67%11.12B
95.54%-417M
-13.07%-21.14B
-215.67%-3.66B
-10.76%17.79B
147.98%6.6B
33.40%-9.34B
-6.19%-18.69B
-Change in inventory
45.45%-12M
125.64%190M
92.42%-137M
-209.03%-1.62B
118.85%952M
-37.50%-22M
-292.97%-741M
-365.35%-1.81B
156.17%1.48B
130.44%435M
-Change in payables and accrued expense
-61.27%1.54B
17.16%-12.17B
25.23%-4.54B
-119.99%-1.89B
-4.21%14.9B
191.19%3.97B
31.88%-14.69B
-130.66%-6.08B
-23.35%9.45B
10.23%15.56B
-Change in other current assets
-54.09%-1.19B
-42,685.71%-2.98B
64.45%-1.46B
12.54%-5.68B
74.42%-821M
-404.74%-771M
-99.49%7M
16.70%-4.1B
19.19%-6.5B
-49.79%-3.21B
-Change in other current liabilities
179.82%3.44B
120.08%428M
-199.38%-3.87B
-50.39%3.03B
-99.23%45M
154.16%1.23B
-23.88%-2.13B
-8.19%3.89B
-18.26%6.11B
-16.37%5.86B
Cash from discontinued investing activities
Operating cash flow
9.39%28.86B
-20.55%22.69B
17.32%39.9B
-9.50%110.54B
-10.48%21.6B
15.24%26.38B
1.40%28.56B
-27.60%34.01B
17.41%122.15B
19.44%24.13B
Investing cash flow
Cash flow from continuing investing activities
-129.06%-127M
-113.37%-310M
233.36%1.93B
116.57%3.71B
296.71%2.39B
-89.68%437M
125.03%2.32B
91.03%-1.45B
-53.69%-22.35B
-245.75%-1.22B
Net PPE purchase and sale
-2.77%-2.15B
31.55%-2B
36.84%-2.39B
-2.34%-10.96B
34.24%-2.16B
0.43%-2.09B
-15.99%-2.92B
-35.11%-3.79B
3.40%-10.71B
-2.05%-3.29B
Net investment purchase and sale
-20.55%2.41B
-60.10%2.13B
85.38%4.6B
267.37%16B
83.21%5.14B
-56.34%3.04B
183.58%5.34B
119.20%2.48B
-210.89%-9.56B
-35.52%2.81B
Net other investing changes
23.32%-388M
-319.81%-445M
-101.42%-284M
35.91%-1.34B
20.44%-584M
17.99%-506M
70.64%-106M
62.30%-141M
-441.82%-2.09B
-139.09%-734M
Cash from discontinued investing activities
Investing cash flow
-129.06%-127M
-113.37%-310M
233.36%1.93B
116.57%3.71B
296.71%2.39B
-89.68%437M
125.03%2.32B
91.03%-1.45B
-53.69%-22.35B
-245.75%-1.22B
Financing cash flow
Cash flow from continuing financing activities
-49.77%-36.02B
-18.31%-30.43B
14.00%-30.59B
2.04%-108.49B
13.59%-23.15B
12.38%-24.05B
9.27%-25.72B
-26.29%-35.56B
-18.63%-110.75B
-31.46%-26.79B
Net issuance payments of debt
-1,049.47%-3.25B
-57.72%-3.15B
58.56%-3.98B
-7,949.59%-9.9B
20.28%1.99B
-129.15%-283M
-13.99%-2B
-861.50%-9.62B
-100.97%-123M
-48.54%1.66B
Net common stock issuance
-51.75%-26.52B
-18.43%-23.21B
-3.41%-20.14B
13.26%-77.55B
14.02%-21B
20.06%-17.48B
13.42%-19.59B
4.90%-19.48B
-3.99%-89.4B
-23.70%-24.43B
Cash dividends paid
-1.20%-3.9B
-1.64%-3.71B
-1.51%-3.83B
-1.24%-15.03B
-1.49%-3.76B
-1.00%-3.85B
-1.53%-3.65B
-0.96%-3.77B
-2.59%-14.84B
-1.73%-3.7B
Net other financing activities
3.73%-2.35B
23.55%-370M
2.51%-2.64B
5.81%-6.01B
-20.31%-385M
11.02%-2.44B
-29.41%-484M
8.27%-2.71B
-14.39%-6.38B
-49.53%-320M
Cash from discontinued financing activities
Financing cash flow
-49.77%-36.02B
-18.31%-30.43B
14.00%-30.59B
2.04%-108.49B
13.59%-23.15B
12.38%-24.05B
9.27%-25.72B
-26.29%-35.56B
-18.63%-110.75B
-31.46%-26.79B
Net cash flow
Beginning cash position
25.04%33.92B
91.02%41.97B
23.06%30.74B
-30.48%24.98B
3.59%29.9B
-7.03%27.13B
-43.12%21.97B
-30.48%24.98B
-9.70%35.93B
-18.19%28.86B
Current changes in cash
-363.13%-7.29B
-256.22%-8.05B
474.19%11.24B
152.59%5.76B
121.60%839M
968.03%2.77B
154.55%5.16B
-211.18%-3B
-183.73%-10.95B
-694.79%-3.88B
End cash Position
-10.91%26.64B
25.04%33.92B
91.02%41.97B
23.06%30.74B
23.06%30.74B
3.59%29.9B
-7.03%27.13B
-43.12%21.97B
-30.48%24.98B
-30.48%24.98B
Free cash flow
9.96%26.71B
-19.30%20.69B
24.11%37.5B
-10.64%99.58B
-6.73%19.44B
16.82%24.29B
-0.03%25.64B
-31.58%30.22B
19.89%111.44B
22.74%20.84B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
Unqualified Opinion
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--
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(Q3)Jun 29, 2024(Q2)Mar 30, 2024(Q1)Dec 30, 2023(FY)Sep 30, 2023(Q4)Sep 30, 2023(Q3)Jul 1, 2023(Q2)Apr 1, 2023(Q1)Dec 31, 2022(FY)Sep 24, 2022(Q4)Sep 24, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 9.39%28.86B-20.55%22.69B17.32%39.9B-9.50%110.54B-10.48%21.6B15.24%26.38B1.40%28.56B-27.60%34.01B17.41%122.15B19.44%24.13B
Net income from continuing operations 7.88%21.45B-2.17%23.64B13.06%33.92B-2.81%97B10.79%22.96B2.26%19.88B-3.40%24.16B-13.38%30B5.41%99.8B0.83%20.72B
Depreciation and amortization -6.62%2.85B-2.14%2.84B-2.33%2.85B3.74%11.52B-7.40%2.65B8.81%3.05B5.88%2.9B8.12%2.92B-1.60%11.1B-4.15%2.87B
Other non cash items -91.36%7M30.60%-982M-211.99%-989M-321.37%-2.23B65.90%-576M-95.02%81M-746.12%-1.42B-137.34%-317M120.44%1.01B60.09%-1.69B
Change In working capital 124.83%1.68B-2,595.24%-5.76B175.02%1.12B-648.08%-6.58B-12,525.00%-6.06B123.22%749M111.26%231M-122.94%-1.5B124.43%1.2B97.32%-48M
-Change in receivables 42.80%-2.09B-50.71%8.77B68.67%11.12B95.54%-417M-13.07%-21.14B-215.67%-3.66B-10.76%17.79B147.98%6.6B33.40%-9.34B-6.19%-18.69B
-Change in inventory 45.45%-12M125.64%190M92.42%-137M-209.03%-1.62B118.85%952M-37.50%-22M-292.97%-741M-365.35%-1.81B156.17%1.48B130.44%435M
-Change in payables and accrued expense -61.27%1.54B17.16%-12.17B25.23%-4.54B-119.99%-1.89B-4.21%14.9B191.19%3.97B31.88%-14.69B-130.66%-6.08B-23.35%9.45B10.23%15.56B
-Change in other current assets -54.09%-1.19B-42,685.71%-2.98B64.45%-1.46B12.54%-5.68B74.42%-821M-404.74%-771M-99.49%7M16.70%-4.1B19.19%-6.5B-49.79%-3.21B
-Change in other current liabilities 179.82%3.44B120.08%428M-199.38%-3.87B-50.39%3.03B-99.23%45M154.16%1.23B-23.88%-2.13B-8.19%3.89B-18.26%6.11B-16.37%5.86B
Cash from discontinued investing activities
Operating cash flow 9.39%28.86B-20.55%22.69B17.32%39.9B-9.50%110.54B-10.48%21.6B15.24%26.38B1.40%28.56B-27.60%34.01B17.41%122.15B19.44%24.13B
Investing cash flow
Cash flow from continuing investing activities -129.06%-127M-113.37%-310M233.36%1.93B116.57%3.71B296.71%2.39B-89.68%437M125.03%2.32B91.03%-1.45B-53.69%-22.35B-245.75%-1.22B
Net PPE purchase and sale -2.77%-2.15B31.55%-2B36.84%-2.39B-2.34%-10.96B34.24%-2.16B0.43%-2.09B-15.99%-2.92B-35.11%-3.79B3.40%-10.71B-2.05%-3.29B
Net investment purchase and sale -20.55%2.41B-60.10%2.13B85.38%4.6B267.37%16B83.21%5.14B-56.34%3.04B183.58%5.34B119.20%2.48B-210.89%-9.56B-35.52%2.81B
Net other investing changes 23.32%-388M-319.81%-445M-101.42%-284M35.91%-1.34B20.44%-584M17.99%-506M70.64%-106M62.30%-141M-441.82%-2.09B-139.09%-734M
Cash from discontinued investing activities
Investing cash flow -129.06%-127M-113.37%-310M233.36%1.93B116.57%3.71B296.71%2.39B-89.68%437M125.03%2.32B91.03%-1.45B-53.69%-22.35B-245.75%-1.22B
Financing cash flow
Cash flow from continuing financing activities -49.77%-36.02B-18.31%-30.43B14.00%-30.59B2.04%-108.49B13.59%-23.15B12.38%-24.05B9.27%-25.72B-26.29%-35.56B-18.63%-110.75B-31.46%-26.79B
Net issuance payments of debt -1,049.47%-3.25B-57.72%-3.15B58.56%-3.98B-7,949.59%-9.9B20.28%1.99B-129.15%-283M-13.99%-2B-861.50%-9.62B-100.97%-123M-48.54%1.66B
Net common stock issuance -51.75%-26.52B-18.43%-23.21B-3.41%-20.14B13.26%-77.55B14.02%-21B20.06%-17.48B13.42%-19.59B4.90%-19.48B-3.99%-89.4B-23.70%-24.43B
Cash dividends paid -1.20%-3.9B-1.64%-3.71B-1.51%-3.83B-1.24%-15.03B-1.49%-3.76B-1.00%-3.85B-1.53%-3.65B-0.96%-3.77B-2.59%-14.84B-1.73%-3.7B
Net other financing activities 3.73%-2.35B23.55%-370M2.51%-2.64B5.81%-6.01B-20.31%-385M11.02%-2.44B-29.41%-484M8.27%-2.71B-14.39%-6.38B-49.53%-320M
Cash from discontinued financing activities
Financing cash flow -49.77%-36.02B-18.31%-30.43B14.00%-30.59B2.04%-108.49B13.59%-23.15B12.38%-24.05B9.27%-25.72B-26.29%-35.56B-18.63%-110.75B-31.46%-26.79B
Net cash flow
Beginning cash position 25.04%33.92B91.02%41.97B23.06%30.74B-30.48%24.98B3.59%29.9B-7.03%27.13B-43.12%21.97B-30.48%24.98B-9.70%35.93B-18.19%28.86B
Current changes in cash -363.13%-7.29B-256.22%-8.05B474.19%11.24B152.59%5.76B121.60%839M968.03%2.77B154.55%5.16B-211.18%-3B-183.73%-10.95B-694.79%-3.88B
End cash Position -10.91%26.64B25.04%33.92B91.02%41.97B23.06%30.74B23.06%30.74B3.59%29.9B-7.03%27.13B-43.12%21.97B-30.48%24.98B-30.48%24.98B
Free cash flow 9.96%26.71B-19.30%20.69B24.11%37.5B-10.64%99.58B-6.73%19.44B16.82%24.29B-0.03%25.64B-31.58%30.22B19.89%111.44B22.74%20.84B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion------------

Analysis

Analyst Rating

No Data

Price Target

No Data

Business Data

Smartphone shipments

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