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ACN Accenture

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  • 361.290
  • +2.630+0.73%
Close Nov 25 16:00 ET
  • 361.290
  • 0.0000.00%
Post 16:34 ET
225.75BMarket Cap31.58P/E (TTM)

Accenture Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Aug 31, 2024
(Q4)Aug 31, 2024
(Q3)May 31, 2024
(Q2)Feb 29, 2024
(Q1)Nov 30, 2023
(FY)Aug 31, 2023
(Q4)Aug 31, 2023
(Q3)May 31, 2023
(Q2)Feb 28, 2023
(Q1)Nov 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-44.64%5.01B
-44.64%5.01B
-35.10%5.54B
-17.90%5.13B
21.03%7.15B
14.64%9.05B
14.64%9.05B
27.31%8.54B
14.09%6.24B
4.60%5.9B
-Cash and cash equivalents
-44.67%5B
-44.67%5B
-35.13%5.54B
-17.92%5.12B
21.04%7.14B
14.64%9.05B
14.64%9.05B
27.33%8.54B
14.14%6.24B
4.66%5.9B
-Short-term investments
17.95%5.4M
17.95%5.4M
8.84%4.88M
8.38%4.54M
12.26%4.6M
15.15%4.58M
15.15%4.58M
3.70%4.48M
-30.54%4.19M
-41.23%4.1M
Receivables
11.76%13.66B
11.76%13.66B
4.90%13.2B
4.65%13.08B
5.00%13.24B
3.82%12.23B
3.82%12.23B
2.98%12.58B
7.84%12.5B
13.40%12.61B
-Accounts receivable
11.06%11.87B
11.06%11.87B
4.90%13.2B
4.65%13.08B
5.00%13.24B
1.97%10.69B
1.97%10.69B
2.98%12.58B
7.84%12.5B
13.40%12.61B
-Other receivables
16.59%1.79B
16.59%1.79B
----
----
----
18.87%1.54B
18.87%1.54B
----
----
----
Other current assets
3.70%2.18B
3.70%2.18B
3.39%2.33B
-8.46%2.12B
23.65%2.67B
8.50%2.11B
8.50%2.11B
8.49%2.26B
9.27%2.32B
16.22%2.16B
Total current assets
-10.80%20.86B
-10.80%20.86B
-9.86%21.08B
-3.48%20.33B
11.53%23.06B
8.20%23.38B
8.20%23.38B
11.29%23.38B
9.78%21.06B
11.01%20.67B
Non current assets
Net PPE
2.66%4.28B
2.66%4.28B
-5.59%4.04B
-8.35%4.09B
-12.68%4.04B
-10.91%4.17B
-10.91%4.17B
-11.68%4.28B
-8.95%4.47B
-3.74%4.63B
-Gross PPE
3.71%6.99B
3.71%6.99B
-5.59%4.04B
-8.35%4.09B
-12.68%4.04B
-5.94%6.74B
-5.94%6.74B
-11.68%4.28B
-8.95%4.47B
-3.74%4.63B
-Accumulated depreciation
-5.41%-2.71B
-5.41%-2.71B
----
----
----
-3.39%-2.57B
-3.39%-2.57B
----
----
----
Goodwill and other intangible assets
36.15%24.02B
36.15%24.02B
37.76%22.59B
25.95%20.4B
16.91%18.38B
17.14%17.65B
17.14%17.65B
14.52%16.4B
13.49%16.2B
9.62%15.72B
-Goodwill
35.62%21.12B
35.62%21.12B
37.21%19.84B
26.47%17.95B
17.73%16.24B
18.58%15.57B
18.58%15.57B
15.69%14.46B
14.18%14.19B
11.25%13.79B
-Other intangible assets
40.09%2.9B
40.09%2.9B
41.82%2.75B
22.26%2.45B
11.06%2.14B
7.36%2.07B
7.36%2.07B
6.47%1.94B
8.78%2.01B
-0.75%1.93B
Investments and advances
69.50%334.66M
69.50%334.66M
31.22%231.28M
-26.54%238.93M
-38.94%198.07M
-37.91%197.44M
-37.91%197.44M
-46.83%176.26M
-3.45%325.25M
-0.41%324.38M
Non current accounts receivable
12.40%120.26M
12.40%120.26M
79.55%119.28M
67.53%126.36M
76.87%121.56M
128.40%106.99M
128.40%106.99M
86.01%66.43M
91.23%75.42M
65.17%68.73M
Non current deferred assets
0.06%5.01B
0.06%5.01B
-1.00%4.91B
0.28%4.91B
2.69%4.99B
4.11%5.01B
4.11%5.01B
2.46%4.96B
1.84%4.9B
1.54%4.86B
Other non current assets
76.99%1.31B
76.99%1.31B
35.23%1.18B
71.77%1.21B
-11.61%738.09M
0.25%738.64M
0.25%738.64M
21.32%868.97M
-8.52%701.52M
12.12%835.06M
Total non current assets
25.88%35.07B
25.88%35.07B
23.62%33.07B
16.17%30.98B
7.69%28.48B
8.62%27.86B
8.62%27.86B
6.62%26.75B
6.10%26.67B
5.55%26.44B
Total assets
9.15%55.93B
9.15%55.93B
8.01%54.14B
7.50%51.31B
9.37%51.53B
8.42%51.25B
8.42%51.25B
8.75%50.13B
7.69%47.73B
7.88%47.12B
Liabilities
Current liabilities
Payables
7.81%3.46B
7.81%3.46B
-8.71%2.81B
-11.88%2.65B
7.02%3.33B
0.19%3.21B
0.19%3.21B
-15.48%3.08B
-10.73%3.01B
-7.66%3.11B
-accounts payable
10.14%2.74B
10.14%2.74B
-5.74%2.25B
-9.81%2.23B
6.49%2.57B
-2.67%2.49B
-2.67%2.49B
0.17%2.39B
10.84%2.47B
9.39%2.42B
-Total tax payable
-0.24%719.08M
-0.24%719.08M
-19.02%557.56M
-21.41%420.45M
8.87%755.93M
11.49%720.78M
11.49%720.78M
-45.19%688.53M
-52.98%535M
-40.14%694.35M
Current accrued expenses
-4.72%8.67B
-4.72%8.67B
-4.92%7.81B
-2.53%7.33B
4.79%8.7B
-0.31%9.09B
-0.31%9.09B
7.80%8.21B
11.03%7.52B
16.82%8.3B
Current debt and capital lease obligation
110.31%1.67B
110.31%1.67B
226.76%2.29B
11.57%793.69M
9.92%788.45M
10.95%795.23M
10.95%795.23M
-5.60%700.97M
-3.54%711.39M
-4.02%717.29M
-Current debt
802.80%946.23M
802.80%946.23M
15,397.40%1.61B
927.66%111.14M
1,011.55%104.82M
1,042.34%104.81M
1,042.34%104.81M
18.49%10.39M
18.95%10.82M
3.75%9.43M
-Current capital lease obligation
5.18%726.2M
5.18%726.2M
-1.46%680.48M
-2.57%682.55M
-3.42%683.63M
-2.43%690.42M
-2.43%690.42M
-5.89%690.58M
-3.82%700.57M
-4.12%707.86M
Current deferred liabilities
5.46%5.17B
5.46%5.17B
3.87%5.3B
4.92%5.36B
3.07%4.46B
9.58%4.91B
9.58%4.91B
11.85%5.1B
9.64%5.11B
8.00%4.33B
Current liabilities
5.37%18.98B
5.37%18.98B
6.52%18.21B
-1.31%16.14B
4.98%17.28B
2.77%18.01B
2.77%18.01B
3.20%17.09B
5.21%16.35B
8.06%16.46B
Non current liabilities
Long term debt and capital lease obligation
4.01%2.45B
4.01%2.45B
-3.52%2.31B
-5.30%2.36B
-11.27%2.29B
-9.78%2.35B
-9.78%2.35B
-12.77%2.4B
-11.31%2.5B
-5.39%2.58B
-Long term debt
82.46%78.63M
82.46%78.63M
57.02%68.88M
58.64%71.64M
-6.23%42.31M
-6.10%43.09M
-6.10%43.09M
-14.90%43.87M
-13.42%45.16M
-19.26%45.12M
-Long term capital lease obligation
2.54%2.37B
2.54%2.37B
-4.64%2.24B
-6.47%2.29B
-11.36%2.25B
-9.85%2.31B
-9.85%2.31B
-12.73%2.35B
-11.27%2.45B
-5.10%2.54B
Non current deferred liabilities
1.97%1.07B
1.97%1.07B
4.40%1.14B
1.00%1.1B
-3.02%1.05B
1.74%1.05B
1.74%1.05B
-0.81%1.09B
0.78%1.09B
5.99%1.08B
Employee benefits
13.80%1.82B
13.80%1.82B
-2.89%1.63B
-2.09%1.61B
-0.92%1.59B
-5.70%1.6B
-5.70%1.6B
-17.16%1.68B
-19.90%1.64B
-21.70%1.6B
Other non current liabilities
101.97%939.2M
101.97%939.2M
56.79%845.65M
89.78%836.89M
3.14%462.53M
0.60%465.02M
0.60%465.02M
19.12%539.36M
0.14%440.97M
-20.34%448.44M
Total non current liabilities
14.91%7.79B
14.91%7.79B
4.88%7.31B
4.26%7.22B
-3.20%6.77B
-3.08%6.78B
-3.08%6.78B
-7.27%6.97B
-9.19%6.92B
-6.86%6.99B
Total liabilities
7.98%26.76B
7.98%26.76B
6.05%25.52B
0.35%23.35B
2.54%24.05B
1.10%24.79B
1.10%24.79B
-0.07%24.07B
0.47%23.27B
3.14%23.45B
Shareholders'equity
Share capital
0.00%72K
0.00%72K
0.00%72K
0.00%72K
0.00%72K
0.00%72K
0.00%72K
0.00%72K
0.00%72K
0.00%72K
-common stock
0.00%72K
0.00%72K
0.00%72K
0.00%72K
0.00%72K
0.00%72K
0.00%72K
0.00%72K
0.00%72K
0.00%72K
Retained earnings
19.50%23.08B
19.50%23.08B
18.99%22.24B
20.87%21.15B
20.30%20.43B
6.11%19.32B
6.11%19.32B
8.82%18.69B
9.18%17.5B
12.38%16.98B
Paid-in capital
15.12%14.71B
15.12%14.71B
18.80%15.01B
19.67%14.56B
20.83%13.35B
19.66%12.78B
19.66%12.78B
19.97%12.64B
20.84%12.16B
21.47%11.05B
Less: Treasury stock
49.59%10.56B
49.59%10.56B
63.17%10B
57.17%8.79B
55.36%8.03B
5.76%7.06B
5.76%7.06B
0.08%6.13B
5.58%5.59B
26.73%5.17B
Gains losses not affecting retained earnings
10.81%-1.55B
10.81%-1.55B
7.66%-1.76B
14.77%-1.66B
20.84%-1.63B
20.42%-1.74B
20.42%-1.74B
2.72%-1.9B
-16.04%-1.94B
-20.41%-2.06B
Other equity interest
8.79%2.61B
8.79%2.61B
10.42%2.24B
13.89%1.86B
17.79%2.55B
14.92%2.4B
14.92%2.4B
15.77%2.03B
13.73%1.64B
12.22%2.17B
Total stockholders'equity
10.10%28.29B
10.10%28.29B
9.52%27.74B
14.14%27.12B
16.11%26.68B
16.23%25.69B
16.23%25.69B
18.44%25.33B
15.58%23.76B
12.88%22.97B
Noncontrolling interests
14.87%879.6M
14.87%879.6M
19.98%875.25M
20.00%833.57M
16.97%808.69M
19.46%765.75M
19.46%765.75M
17.16%729.5M
16.37%694.66M
18.08%691.34M
Total equity
10.24%29.17B
10.24%29.17B
9.81%28.62B
14.31%27.96B
16.14%27.49B
16.32%26.46B
16.32%26.46B
18.40%26.06B
15.60%24.46B
13.03%23.67B
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
--
--
--
--
Unqualified Opinion
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(FY)Aug 31, 2024(Q4)Aug 31, 2024(Q3)May 31, 2024(Q2)Feb 29, 2024(Q1)Nov 30, 2023(FY)Aug 31, 2023(Q4)Aug 31, 2023(Q3)May 31, 2023(Q2)Feb 28, 2023(Q1)Nov 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -44.64%5.01B-44.64%5.01B-35.10%5.54B-17.90%5.13B21.03%7.15B14.64%9.05B14.64%9.05B27.31%8.54B14.09%6.24B4.60%5.9B
-Cash and cash equivalents -44.67%5B-44.67%5B-35.13%5.54B-17.92%5.12B21.04%7.14B14.64%9.05B14.64%9.05B27.33%8.54B14.14%6.24B4.66%5.9B
-Short-term investments 17.95%5.4M17.95%5.4M8.84%4.88M8.38%4.54M12.26%4.6M15.15%4.58M15.15%4.58M3.70%4.48M-30.54%4.19M-41.23%4.1M
Receivables 11.76%13.66B11.76%13.66B4.90%13.2B4.65%13.08B5.00%13.24B3.82%12.23B3.82%12.23B2.98%12.58B7.84%12.5B13.40%12.61B
-Accounts receivable 11.06%11.87B11.06%11.87B4.90%13.2B4.65%13.08B5.00%13.24B1.97%10.69B1.97%10.69B2.98%12.58B7.84%12.5B13.40%12.61B
-Other receivables 16.59%1.79B16.59%1.79B------------18.87%1.54B18.87%1.54B------------
Other current assets 3.70%2.18B3.70%2.18B3.39%2.33B-8.46%2.12B23.65%2.67B8.50%2.11B8.50%2.11B8.49%2.26B9.27%2.32B16.22%2.16B
Total current assets -10.80%20.86B-10.80%20.86B-9.86%21.08B-3.48%20.33B11.53%23.06B8.20%23.38B8.20%23.38B11.29%23.38B9.78%21.06B11.01%20.67B
Non current assets
Net PPE 2.66%4.28B2.66%4.28B-5.59%4.04B-8.35%4.09B-12.68%4.04B-10.91%4.17B-10.91%4.17B-11.68%4.28B-8.95%4.47B-3.74%4.63B
-Gross PPE 3.71%6.99B3.71%6.99B-5.59%4.04B-8.35%4.09B-12.68%4.04B-5.94%6.74B-5.94%6.74B-11.68%4.28B-8.95%4.47B-3.74%4.63B
-Accumulated depreciation -5.41%-2.71B-5.41%-2.71B-------------3.39%-2.57B-3.39%-2.57B------------
Goodwill and other intangible assets 36.15%24.02B36.15%24.02B37.76%22.59B25.95%20.4B16.91%18.38B17.14%17.65B17.14%17.65B14.52%16.4B13.49%16.2B9.62%15.72B
-Goodwill 35.62%21.12B35.62%21.12B37.21%19.84B26.47%17.95B17.73%16.24B18.58%15.57B18.58%15.57B15.69%14.46B14.18%14.19B11.25%13.79B
-Other intangible assets 40.09%2.9B40.09%2.9B41.82%2.75B22.26%2.45B11.06%2.14B7.36%2.07B7.36%2.07B6.47%1.94B8.78%2.01B-0.75%1.93B
Investments and advances 69.50%334.66M69.50%334.66M31.22%231.28M-26.54%238.93M-38.94%198.07M-37.91%197.44M-37.91%197.44M-46.83%176.26M-3.45%325.25M-0.41%324.38M
Non current accounts receivable 12.40%120.26M12.40%120.26M79.55%119.28M67.53%126.36M76.87%121.56M128.40%106.99M128.40%106.99M86.01%66.43M91.23%75.42M65.17%68.73M
Non current deferred assets 0.06%5.01B0.06%5.01B-1.00%4.91B0.28%4.91B2.69%4.99B4.11%5.01B4.11%5.01B2.46%4.96B1.84%4.9B1.54%4.86B
Other non current assets 76.99%1.31B76.99%1.31B35.23%1.18B71.77%1.21B-11.61%738.09M0.25%738.64M0.25%738.64M21.32%868.97M-8.52%701.52M12.12%835.06M
Total non current assets 25.88%35.07B25.88%35.07B23.62%33.07B16.17%30.98B7.69%28.48B8.62%27.86B8.62%27.86B6.62%26.75B6.10%26.67B5.55%26.44B
Total assets 9.15%55.93B9.15%55.93B8.01%54.14B7.50%51.31B9.37%51.53B8.42%51.25B8.42%51.25B8.75%50.13B7.69%47.73B7.88%47.12B
Liabilities
Current liabilities
Payables 7.81%3.46B7.81%3.46B-8.71%2.81B-11.88%2.65B7.02%3.33B0.19%3.21B0.19%3.21B-15.48%3.08B-10.73%3.01B-7.66%3.11B
-accounts payable 10.14%2.74B10.14%2.74B-5.74%2.25B-9.81%2.23B6.49%2.57B-2.67%2.49B-2.67%2.49B0.17%2.39B10.84%2.47B9.39%2.42B
-Total tax payable -0.24%719.08M-0.24%719.08M-19.02%557.56M-21.41%420.45M8.87%755.93M11.49%720.78M11.49%720.78M-45.19%688.53M-52.98%535M-40.14%694.35M
Current accrued expenses -4.72%8.67B-4.72%8.67B-4.92%7.81B-2.53%7.33B4.79%8.7B-0.31%9.09B-0.31%9.09B7.80%8.21B11.03%7.52B16.82%8.3B
Current debt and capital lease obligation 110.31%1.67B110.31%1.67B226.76%2.29B11.57%793.69M9.92%788.45M10.95%795.23M10.95%795.23M-5.60%700.97M-3.54%711.39M-4.02%717.29M
-Current debt 802.80%946.23M802.80%946.23M15,397.40%1.61B927.66%111.14M1,011.55%104.82M1,042.34%104.81M1,042.34%104.81M18.49%10.39M18.95%10.82M3.75%9.43M
-Current capital lease obligation 5.18%726.2M5.18%726.2M-1.46%680.48M-2.57%682.55M-3.42%683.63M-2.43%690.42M-2.43%690.42M-5.89%690.58M-3.82%700.57M-4.12%707.86M
Current deferred liabilities 5.46%5.17B5.46%5.17B3.87%5.3B4.92%5.36B3.07%4.46B9.58%4.91B9.58%4.91B11.85%5.1B9.64%5.11B8.00%4.33B
Current liabilities 5.37%18.98B5.37%18.98B6.52%18.21B-1.31%16.14B4.98%17.28B2.77%18.01B2.77%18.01B3.20%17.09B5.21%16.35B8.06%16.46B
Non current liabilities
Long term debt and capital lease obligation 4.01%2.45B4.01%2.45B-3.52%2.31B-5.30%2.36B-11.27%2.29B-9.78%2.35B-9.78%2.35B-12.77%2.4B-11.31%2.5B-5.39%2.58B
-Long term debt 82.46%78.63M82.46%78.63M57.02%68.88M58.64%71.64M-6.23%42.31M-6.10%43.09M-6.10%43.09M-14.90%43.87M-13.42%45.16M-19.26%45.12M
-Long term capital lease obligation 2.54%2.37B2.54%2.37B-4.64%2.24B-6.47%2.29B-11.36%2.25B-9.85%2.31B-9.85%2.31B-12.73%2.35B-11.27%2.45B-5.10%2.54B
Non current deferred liabilities 1.97%1.07B1.97%1.07B4.40%1.14B1.00%1.1B-3.02%1.05B1.74%1.05B1.74%1.05B-0.81%1.09B0.78%1.09B5.99%1.08B
Employee benefits 13.80%1.82B13.80%1.82B-2.89%1.63B-2.09%1.61B-0.92%1.59B-5.70%1.6B-5.70%1.6B-17.16%1.68B-19.90%1.64B-21.70%1.6B
Other non current liabilities 101.97%939.2M101.97%939.2M56.79%845.65M89.78%836.89M3.14%462.53M0.60%465.02M0.60%465.02M19.12%539.36M0.14%440.97M-20.34%448.44M
Total non current liabilities 14.91%7.79B14.91%7.79B4.88%7.31B4.26%7.22B-3.20%6.77B-3.08%6.78B-3.08%6.78B-7.27%6.97B-9.19%6.92B-6.86%6.99B
Total liabilities 7.98%26.76B7.98%26.76B6.05%25.52B0.35%23.35B2.54%24.05B1.10%24.79B1.10%24.79B-0.07%24.07B0.47%23.27B3.14%23.45B
Shareholders'equity
Share capital 0.00%72K0.00%72K0.00%72K0.00%72K0.00%72K0.00%72K0.00%72K0.00%72K0.00%72K0.00%72K
-common stock 0.00%72K0.00%72K0.00%72K0.00%72K0.00%72K0.00%72K0.00%72K0.00%72K0.00%72K0.00%72K
Retained earnings 19.50%23.08B19.50%23.08B18.99%22.24B20.87%21.15B20.30%20.43B6.11%19.32B6.11%19.32B8.82%18.69B9.18%17.5B12.38%16.98B
Paid-in capital 15.12%14.71B15.12%14.71B18.80%15.01B19.67%14.56B20.83%13.35B19.66%12.78B19.66%12.78B19.97%12.64B20.84%12.16B21.47%11.05B
Less: Treasury stock 49.59%10.56B49.59%10.56B63.17%10B57.17%8.79B55.36%8.03B5.76%7.06B5.76%7.06B0.08%6.13B5.58%5.59B26.73%5.17B
Gains losses not affecting retained earnings 10.81%-1.55B10.81%-1.55B7.66%-1.76B14.77%-1.66B20.84%-1.63B20.42%-1.74B20.42%-1.74B2.72%-1.9B-16.04%-1.94B-20.41%-2.06B
Other equity interest 8.79%2.61B8.79%2.61B10.42%2.24B13.89%1.86B17.79%2.55B14.92%2.4B14.92%2.4B15.77%2.03B13.73%1.64B12.22%2.17B
Total stockholders'equity 10.10%28.29B10.10%28.29B9.52%27.74B14.14%27.12B16.11%26.68B16.23%25.69B16.23%25.69B18.44%25.33B15.58%23.76B12.88%22.97B
Noncontrolling interests 14.87%879.6M14.87%879.6M19.98%875.25M20.00%833.57M16.97%808.69M19.46%765.75M19.46%765.75M17.16%729.5M16.37%694.66M18.08%691.34M
Total equity 10.24%29.17B10.24%29.17B9.81%28.62B14.31%27.96B16.14%27.49B16.32%26.46B16.32%26.46B18.40%26.06B15.60%24.46B13.03%23.67B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------

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