US Stock MarketDetailed Quotes

ADI Analog Devices

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  • 227.285
  • +1.035+0.46%
Trading Nov 7 13:59 ET
112.85BMarket Cap68.46P/E (TTM)

Analog Devices Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Aug 3, 2024
(Q2)May 4, 2024
(Q1)Feb 3, 2024
(FY)Oct 28, 2023
(Q4)Oct 28, 2023
(Q3)Jul 29, 2023
(Q2)Apr 29, 2023
(Q1)Jan 28, 2023
(FY)Oct 29, 2022
(Q4)Oct 29, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-25.16%855.03M
-25.31%807.85M
-19.02%1.14B
7.65%4.82B
3.30%1.19B
-8.45%1.14B
-11.48%1.08B
64.21%1.41B
63.63%4.48B
22.18%1.15B
Net income from continuing operations
-55.28%392.23M
-69.09%302.24M
-51.87%462.73M
20.59%3.31B
-46.76%498.43M
17.09%877.02M
24.82%977.66M
243.29%961.47M
97.68%2.75B
1,136.97%936.23M
Depreciation and amortization
-9.76%530.31M
-9.20%528.3M
-10.60%525.25M
-0.19%2.29B
-6.37%536.12M
1.51%587.69M
0.99%581.8M
3.10%587.5M
113.79%2.3B
19.55%572.61M
Deferred tax
30.45%-105.22M
53.50%-62.2M
30.20%-102.15M
-38.62%-452.95M
82.28%-21.55M
-84.19%-151.28M
-51.41%-133.76M
-322.37%-146.35M
19.70%-326.76M
63.62%-121.63M
Other non cash items
-36.10%10.46M
224.73%8.69M
-51.87%4.68M
-96.14%8.67M
52.55%-10.47M
26.81%16.36M
80.75%-6.96M
-96.39%9.73M
-31.24%224.32M
-106.80%-22.06M
Change In working capital
86.39%-36.8M
93.21%-27.57M
320.14%178.5M
26.94%-645.59M
137.25%112.06M
-47.43%-270.31M
-383.33%-406.25M
74.29%-81.09M
-717.79%-883.67M
-808.82%-300.85M
-Change in receivables
----
----
----
196.17%330.73M
----
----
----
----
-200.35%-343.91M
----
-Change in inventory
----
----
----
48.53%-242.3M
----
----
----
----
-622.92%-470.73M
----
-Change in prepaid assets
----
----
----
107.03%4.54M
----
----
----
----
-9.25%-64.58M
----
-Change in payables and accrued expense
----
----
----
-1,054.74%-763.03M
----
----
----
----
-60.37%79.92M
----
-Change in other current assets
----
----
----
-6,603.53%-25.82M
----
----
----
----
101.01%397K
----
-Change in other current liabilities
----
----
----
159.33%50.29M
----
----
----
----
-167.92%-84.77M
----
Cash from discontinued investing activities
Operating cash flow
-25.16%855.03M
-25.31%807.85M
-19.02%1.14B
7.65%4.82B
3.30%1.19B
-8.45%1.14B
-11.48%1.08B
64.21%1.41B
63.63%4.48B
22.18%1.15B
Investing cash flow
Cash flow from continuing investing activities
47.34%-172.07M
-111.61%-602.08M
-24.45%-219.1M
-92.64%-1.27B
-56.39%-479.06M
-143.60%-326.75M
-150.47%-284.52M
-70.42%-176.06M
-130.67%-657.37M
-113.17%-306.33M
Net PPE purchase and sale
52.59%-153.89M
33.82%-188.19M
-26.58%-222.98M
-80.39%-1.26B
-56.44%-476.39M
-96.85%-324.57M
-139.38%-284.34M
-58.51%-176.16M
-103.48%-699.31M
-132.85%-304.51M
Net business purchase and sale
----
----
----
--0
----
----
----
----
--0
----
Net investment purchase and sale
---14.78M
----
----
----
----
--0
----
----
----
----
Net other investing changes
-56.28%-3.4M
5,689.62%10.23M
3,700.98%3.88M
-111.74%-4.92M
-46.51%-2.67M
-107.07%-2.17M
-103.53%-183K
-98.70%102K
14.43%41.94M
-125.90%-1.82M
Cash from discontinued investing activities
Investing cash flow
47.34%-172.07M
-111.61%-602.08M
-24.45%-219.1M
-92.64%-1.27B
-56.39%-479.06M
-143.60%-326.75M
-150.47%-284.52M
-70.42%-176.06M
-130.67%-657.37M
-113.17%-306.33M
Financing cash flow
Cash flow from continuing financing activities
38.79%-516.62M
133.36%430.36M
44.27%-574.23M
5.29%-4.06B
-1.42%-899.42M
35.98%-844.07M
-12.34%-1.29B
-9.93%-1.03B
-8.36%-4.29B
67.98%-886.86M
Net issuance payments of debt
-100.27%-792K
480.83%1.09B
---2.78M
315.95%481.54M
-99.15%2.51M
--291.08M
--187.95M
--0
-164.14%-222.99M
-14.82%296.13M
Net common stock issuance
82.81%-117.98M
80.71%-222.38M
72.45%-180.35M
-15.02%-2.96B
42.56%-469.94M
24.22%-686.51M
-48.42%-1.15B
-761.04%-654.56M
17.01%-2.58B
68.48%-818.18M
Cash dividends paid
-6.05%-456.49M
-4.81%-456.14M
-10.54%-426.08M
-8.71%-1.68B
-9.64%-427.99M
-9.25%-430.46M
-9.48%-435.21M
-6.29%-385.45M
-39.23%-1.54B
-5.15%-390.35M
Proceeds from stock option exercised by employees
13.11%52.02M
-43.68%14.52M
20.81%49.82M
250.01%118.61M
44.71%5.61M
361.79%45.99M
122.52%25.77M
386.81%41.24M
-46.30%33.89M
-50.06%3.87M
Net other financing activities
110.31%6.61M
-96.78%2.72M
53.01%-14.84M
-204.50%-20.84M
-144.39%-9.62M
-126.15%-64.17M
478.34%84.53M
-362.34%-31.59M
112.79%19.95M
113.72%21.66M
Cash from discontinued financing activities
Financing cash flow
38.79%-516.62M
133.36%430.36M
44.27%-574.23M
5.29%-4.06B
-1.42%-899.42M
35.98%-844.07M
-12.34%-1.29B
-9.93%-1.03B
-8.36%-4.29B
67.98%-886.86M
Net cash flow
Beginning cash position
64.71%1.94B
-21.96%1.3B
-34.85%958.06M
-25.65%1.47B
-24.64%1.15B
-32.23%1.18B
-6.70%1.67B
-25.65%1.47B
87.33%1.98B
2.99%1.52B
Current changes in cash
686.46%166.34M
229.07%636.14M
72.84%345.5M
-8.43%-512.51M
-335.93%-191.19M
86.14%-28.36M
-1,133.00%-492.85M
208.54%199.89M
-151.44%-472.69M
-108.81%-43.86M
Effect of exchange rate changes
----
----
----
--0
----
----
----
----
-1,193.45%-34.71M
-1,754.05%-10.53M
End cash Position
83.25%2.11B
64.71%1.94B
-21.96%1.3B
-34.85%958.06M
-34.85%958.06M
-24.64%1.15B
-32.23%1.18B
-6.70%1.67B
-25.65%1.47B
-25.65%1.47B
Free cash flow
-14.27%701.14M
-22.27%619.66M
-25.55%915.85M
-5.82%3.56B
-15.85%710.9M
-24.48%817.88M
-27.72%797.24M
65.06%1.23B
57.90%3.78B
4.31%844.82M
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
(Q3)Aug 3, 2024(Q2)May 4, 2024(Q1)Feb 3, 2024(FY)Oct 28, 2023(Q4)Oct 28, 2023(Q3)Jul 29, 2023(Q2)Apr 29, 2023(Q1)Jan 28, 2023(FY)Oct 29, 2022(Q4)Oct 29, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -25.16%855.03M-25.31%807.85M-19.02%1.14B7.65%4.82B3.30%1.19B-8.45%1.14B-11.48%1.08B64.21%1.41B63.63%4.48B22.18%1.15B
Net income from continuing operations -55.28%392.23M-69.09%302.24M-51.87%462.73M20.59%3.31B-46.76%498.43M17.09%877.02M24.82%977.66M243.29%961.47M97.68%2.75B1,136.97%936.23M
Depreciation and amortization -9.76%530.31M-9.20%528.3M-10.60%525.25M-0.19%2.29B-6.37%536.12M1.51%587.69M0.99%581.8M3.10%587.5M113.79%2.3B19.55%572.61M
Deferred tax 30.45%-105.22M53.50%-62.2M30.20%-102.15M-38.62%-452.95M82.28%-21.55M-84.19%-151.28M-51.41%-133.76M-322.37%-146.35M19.70%-326.76M63.62%-121.63M
Other non cash items -36.10%10.46M224.73%8.69M-51.87%4.68M-96.14%8.67M52.55%-10.47M26.81%16.36M80.75%-6.96M-96.39%9.73M-31.24%224.32M-106.80%-22.06M
Change In working capital 86.39%-36.8M93.21%-27.57M320.14%178.5M26.94%-645.59M137.25%112.06M-47.43%-270.31M-383.33%-406.25M74.29%-81.09M-717.79%-883.67M-808.82%-300.85M
-Change in receivables ------------196.17%330.73M-----------------200.35%-343.91M----
-Change in inventory ------------48.53%-242.3M-----------------622.92%-470.73M----
-Change in prepaid assets ------------107.03%4.54M-----------------9.25%-64.58M----
-Change in payables and accrued expense -------------1,054.74%-763.03M-----------------60.37%79.92M----
-Change in other current assets -------------6,603.53%-25.82M----------------101.01%397K----
-Change in other current liabilities ------------159.33%50.29M-----------------167.92%-84.77M----
Cash from discontinued investing activities
Operating cash flow -25.16%855.03M-25.31%807.85M-19.02%1.14B7.65%4.82B3.30%1.19B-8.45%1.14B-11.48%1.08B64.21%1.41B63.63%4.48B22.18%1.15B
Investing cash flow
Cash flow from continuing investing activities 47.34%-172.07M-111.61%-602.08M-24.45%-219.1M-92.64%-1.27B-56.39%-479.06M-143.60%-326.75M-150.47%-284.52M-70.42%-176.06M-130.67%-657.37M-113.17%-306.33M
Net PPE purchase and sale 52.59%-153.89M33.82%-188.19M-26.58%-222.98M-80.39%-1.26B-56.44%-476.39M-96.85%-324.57M-139.38%-284.34M-58.51%-176.16M-103.48%-699.31M-132.85%-304.51M
Net business purchase and sale --------------0------------------0----
Net investment purchase and sale ---14.78M------------------0----------------
Net other investing changes -56.28%-3.4M5,689.62%10.23M3,700.98%3.88M-111.74%-4.92M-46.51%-2.67M-107.07%-2.17M-103.53%-183K-98.70%102K14.43%41.94M-125.90%-1.82M
Cash from discontinued investing activities
Investing cash flow 47.34%-172.07M-111.61%-602.08M-24.45%-219.1M-92.64%-1.27B-56.39%-479.06M-143.60%-326.75M-150.47%-284.52M-70.42%-176.06M-130.67%-657.37M-113.17%-306.33M
Financing cash flow
Cash flow from continuing financing activities 38.79%-516.62M133.36%430.36M44.27%-574.23M5.29%-4.06B-1.42%-899.42M35.98%-844.07M-12.34%-1.29B-9.93%-1.03B-8.36%-4.29B67.98%-886.86M
Net issuance payments of debt -100.27%-792K480.83%1.09B---2.78M315.95%481.54M-99.15%2.51M--291.08M--187.95M--0-164.14%-222.99M-14.82%296.13M
Net common stock issuance 82.81%-117.98M80.71%-222.38M72.45%-180.35M-15.02%-2.96B42.56%-469.94M24.22%-686.51M-48.42%-1.15B-761.04%-654.56M17.01%-2.58B68.48%-818.18M
Cash dividends paid -6.05%-456.49M-4.81%-456.14M-10.54%-426.08M-8.71%-1.68B-9.64%-427.99M-9.25%-430.46M-9.48%-435.21M-6.29%-385.45M-39.23%-1.54B-5.15%-390.35M
Proceeds from stock option exercised by employees 13.11%52.02M-43.68%14.52M20.81%49.82M250.01%118.61M44.71%5.61M361.79%45.99M122.52%25.77M386.81%41.24M-46.30%33.89M-50.06%3.87M
Net other financing activities 110.31%6.61M-96.78%2.72M53.01%-14.84M-204.50%-20.84M-144.39%-9.62M-126.15%-64.17M478.34%84.53M-362.34%-31.59M112.79%19.95M113.72%21.66M
Cash from discontinued financing activities
Financing cash flow 38.79%-516.62M133.36%430.36M44.27%-574.23M5.29%-4.06B-1.42%-899.42M35.98%-844.07M-12.34%-1.29B-9.93%-1.03B-8.36%-4.29B67.98%-886.86M
Net cash flow
Beginning cash position 64.71%1.94B-21.96%1.3B-34.85%958.06M-25.65%1.47B-24.64%1.15B-32.23%1.18B-6.70%1.67B-25.65%1.47B87.33%1.98B2.99%1.52B
Current changes in cash 686.46%166.34M229.07%636.14M72.84%345.5M-8.43%-512.51M-335.93%-191.19M86.14%-28.36M-1,133.00%-492.85M208.54%199.89M-151.44%-472.69M-108.81%-43.86M
Effect of exchange rate changes --------------0-----------------1,193.45%-34.71M-1,754.05%-10.53M
End cash Position 83.25%2.11B64.71%1.94B-21.96%1.3B-34.85%958.06M-34.85%958.06M-24.64%1.15B-32.23%1.18B-6.70%1.67B-25.65%1.47B-25.65%1.47B
Free cash flow -14.27%701.14M-22.27%619.66M-25.55%915.85M-5.82%3.56B-15.85%710.9M-24.48%817.88M-27.72%797.24M65.06%1.23B57.90%3.78B4.31%844.82M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

Analysis

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