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ALLY Ally Financial

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  • 37.680
  • +0.160+0.43%
Close Dec 13 16:00 ET
  • 37.316
  • -0.365-0.97%
Post 20:01 ET
11.48BMarket Cap15.13P/E (TTM)

Ally Financial Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
-40.24%992M
-0.82%1.58B
-6.35%1.34B
-25.36%4.66B
-101.45%-17M
3.62%1.66B
-13.27%1.59B
-12.74%1.43B
54.55%6.25B
22.31%1.17B
Net income from continuing operations
20.61%357M
-10.64%294M
-50.78%157M
-40.49%1.02B
-72.66%76M
-1.00%296M
-31.74%329M
-51.30%319M
-43.99%1.71B
-57.36%278M
Operating gains losses
-15.79%-22M
-350.00%-27M
-71.43%-24M
-335.29%-160M
-165.05%-121M
91.32%-19M
-105.00%-6M
26.32%-14M
128.81%68M
341.56%186M
Depreciation and amortization
1.29%314M
-0.68%294M
1.58%322M
-6.03%1.25B
-0.92%324M
-7.19%310M
-9.48%296M
-6.49%317M
5.23%1.33B
-0.91%327M
Other non cashItems
472.97%212M
166.06%290M
-123.66%-53M
404.51%405M
-75.52%35M
153.62%37M
134.38%109M
103.64%224M
10.14%-133M
172.22%143M
Change in working capital
-196.61%-456M
-47.82%239M
117.16%443M
-98.18%34M
-9,266.67%-1.1B
-15.11%472M
-49.95%458M
-47.56%204M
1,476.47%1.87B
-71.43%12M
-Change in payables and accrued expense
-42.53%277M
-84.69%30M
-25.93%260M
127.27%450M
-661.84%-579M
125.23%482M
712.50%196M
281.52%351M
197.06%198M
64.49%-76M
-Change in deferred charges
-36.52%-157M
-248.28%-43M
-104.17%-1M
-110.49%-58M
-96.23%4M
-199.14%-115M
-80.41%29M
-86.89%24M
360.83%553M
-84.37%106M
-Change in other current assets
-36,400.00%-365M
-42.47%42M
430.23%142M
-143.57%-417M
-173.62%-446M
-100.48%-1M
-89.54%73M
-120.09%-43M
416.89%957M
49.22%-163M
-Change in other current liabilities
-360.64%-245M
-7.83%153M
81.73%-38M
11.65%-91M
-853.33%-143M
236.23%94M
61.17%166M
-70.49%-208M
-128.93%-103M
76.19%-15M
-Change in other working capital
183.33%34M
1,050.00%57M
0.00%80M
-43.82%150M
-60.00%64M
-86.21%12M
-200.00%-6M
263.64%80M
351.89%267M
521.05%160M
Cash from discontinued operating activities
Operating cash flow
-40.24%992M
-0.82%1.58B
-6.35%1.34B
-25.36%4.66B
-101.45%-17M
3.62%1.66B
-13.27%1.59B
-12.74%1.43B
54.55%6.25B
22.31%1.17B
Investing cash flow
Cash flow from continuing investing activities
161.10%1.06B
47.24%-1.11B
1,016.49%3.5B
57.78%-7.29B
8.41%-3.07B
61.21%-1.74B
44.05%-2.1B
93.28%-382M
-55.55%-17.26B
64.77%-3.36B
Net investment purchase and sale
11.47%593M
3.97%419M
-12.08%604M
263.83%1.94B
-42.06%321M
60.73%532M
272.96%403M
137.38%687M
75.24%-1.19B
135.90%554M
Net proceeds payment for loan
131.69%708M
39.16%-1.51B
198.47%903M
40.05%-9.02B
6.92%-3.39B
49.48%-2.23B
26.56%-2.48B
74.55%-917M
-331.60%-15.04B
48.48%-3.64B
Net PPE purchase and sale
-191.60%-120M
57.02%179M
614.29%180M
171.32%363M
229.66%153M
142.53%131M
5,800.00%114M
56.79%-35M
69.74%-509M
-71.01%-118M
Net business purchase and sale
--0
--7M
--1.95B
--0
--0
--0
--0
--0
--0
----
Net other investing changes
26.22%-121M
-48.55%-205M
-15.38%-135M
-9.04%-579M
-5.26%-160M
-121.62%-164M
2.82%-138M
28.22%-117M
-19.86%-531M
-2.01%-152M
Cash from discontinued investing activities
Investing cash flow
161.10%1.06B
47.24%-1.11B
1,016.49%3.5B
57.78%-7.29B
8.41%-3.07B
61.21%-1.74B
44.05%-2.1B
93.28%-382M
-55.55%-17.26B
64.77%-3.36B
Financing cash flow
Cash flow from continuing financing activities
39.39%-874M
-278.55%-982M
-209.48%-3.64B
-66.83%3.84B
-47.46%1.41B
-137.53%-1.44B
-73.38%550M
11.25%3.32B
400.81%11.58B
-0.56%2.68B
Increase decrease in deposit
85.66%-212M
-1,118.75%-2.93B
-77.32%389M
-78.12%2.34B
-72.20%1.82B
-127.76%-1.48B
113.88%288M
87.23%1.72B
137.26%10.7B
209.37%6.54B
Net issuance payments of debt
-454.25%-542M
440.99%2.07B
-320.18%-3.87B
-33.42%2.01B
92.23%-287M
116.17%153M
-92.13%383M
-36.89%1.76B
153.88%3.02B
-348.19%-3.69B
Net commonstock issuance
---1M
50.00%-1M
-7.41%-29M
98.00%-33M
92.16%-4M
--0
99.67%-2M
95.38%-27M
17.25%-1.65B
91.41%-51M
Net preferred stock issuance
----
----
----
--0
----
----
----
----
--0
----
Cash dividends paid
-1.71%-119M
0.00%-119M
-0.81%-125M
3.24%-478M
-4.42%-118M
4.10%-117M
6.30%-119M
6.06%-124M
-29.66%-494M
1.74%-113M
Cash from discontinued financing activities
Financing cash flow
39.39%-874M
-278.55%-982M
-209.48%-3.64B
-66.83%3.84B
-47.46%1.41B
-137.53%-1.44B
-73.38%550M
11.25%3.32B
400.81%11.58B
-0.56%2.68B
Net cash flow
Beginning cash position
-23.63%8.12B
-18.45%8.64B
19.56%7.44B
9.74%6.22B
59.35%9.12B
123.53%10.64B
129.58%10.6B
9.74%6.22B
-65.79%5.67B
-50.41%5.72B
Current changes in cash
177.65%1.18B
-1,385.00%-514M
-72.47%1.2B
117.17%1.21B
-437.75%-1.68B
-256.23%-1.52B
-72.79%40M
513.72%4.37B
105.13%559M
108.49%498M
Effect of exchange rate changes
166.67%2M
-166.67%-2M
---3M
142.86%3M
50.00%3M
62.50%-3M
200.00%3M
--0
---7M
--2M
End cash position
2.04%9.3B
-23.63%8.12B
-18.45%8.64B
19.56%7.44B
19.56%7.44B
59.35%9.12B
123.53%10.64B
129.58%10.6B
9.74%6.22B
9.74%6.22B
Free cash flow
-94.12%58M
-18.48%675M
-8.54%632M
-29.87%1.9B
-225.16%-602M
75.94%987M
-15.34%828M
-0.58%691M
351.86%2.72B
587.14%481M
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
--
(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities -40.24%992M-0.82%1.58B-6.35%1.34B-25.36%4.66B-101.45%-17M3.62%1.66B-13.27%1.59B-12.74%1.43B54.55%6.25B22.31%1.17B
Net income from continuing operations 20.61%357M-10.64%294M-50.78%157M-40.49%1.02B-72.66%76M-1.00%296M-31.74%329M-51.30%319M-43.99%1.71B-57.36%278M
Operating gains losses -15.79%-22M-350.00%-27M-71.43%-24M-335.29%-160M-165.05%-121M91.32%-19M-105.00%-6M26.32%-14M128.81%68M341.56%186M
Depreciation and amortization 1.29%314M-0.68%294M1.58%322M-6.03%1.25B-0.92%324M-7.19%310M-9.48%296M-6.49%317M5.23%1.33B-0.91%327M
Other non cashItems 472.97%212M166.06%290M-123.66%-53M404.51%405M-75.52%35M153.62%37M134.38%109M103.64%224M10.14%-133M172.22%143M
Change in working capital -196.61%-456M-47.82%239M117.16%443M-98.18%34M-9,266.67%-1.1B-15.11%472M-49.95%458M-47.56%204M1,476.47%1.87B-71.43%12M
-Change in payables and accrued expense -42.53%277M-84.69%30M-25.93%260M127.27%450M-661.84%-579M125.23%482M712.50%196M281.52%351M197.06%198M64.49%-76M
-Change in deferred charges -36.52%-157M-248.28%-43M-104.17%-1M-110.49%-58M-96.23%4M-199.14%-115M-80.41%29M-86.89%24M360.83%553M-84.37%106M
-Change in other current assets -36,400.00%-365M-42.47%42M430.23%142M-143.57%-417M-173.62%-446M-100.48%-1M-89.54%73M-120.09%-43M416.89%957M49.22%-163M
-Change in other current liabilities -360.64%-245M-7.83%153M81.73%-38M11.65%-91M-853.33%-143M236.23%94M61.17%166M-70.49%-208M-128.93%-103M76.19%-15M
-Change in other working capital 183.33%34M1,050.00%57M0.00%80M-43.82%150M-60.00%64M-86.21%12M-200.00%-6M263.64%80M351.89%267M521.05%160M
Cash from discontinued operating activities
Operating cash flow -40.24%992M-0.82%1.58B-6.35%1.34B-25.36%4.66B-101.45%-17M3.62%1.66B-13.27%1.59B-12.74%1.43B54.55%6.25B22.31%1.17B
Investing cash flow
Cash flow from continuing investing activities 161.10%1.06B47.24%-1.11B1,016.49%3.5B57.78%-7.29B8.41%-3.07B61.21%-1.74B44.05%-2.1B93.28%-382M-55.55%-17.26B64.77%-3.36B
Net investment purchase and sale 11.47%593M3.97%419M-12.08%604M263.83%1.94B-42.06%321M60.73%532M272.96%403M137.38%687M75.24%-1.19B135.90%554M
Net proceeds payment for loan 131.69%708M39.16%-1.51B198.47%903M40.05%-9.02B6.92%-3.39B49.48%-2.23B26.56%-2.48B74.55%-917M-331.60%-15.04B48.48%-3.64B
Net PPE purchase and sale -191.60%-120M57.02%179M614.29%180M171.32%363M229.66%153M142.53%131M5,800.00%114M56.79%-35M69.74%-509M-71.01%-118M
Net business purchase and sale --0--7M--1.95B--0--0--0--0--0--0----
Net other investing changes 26.22%-121M-48.55%-205M-15.38%-135M-9.04%-579M-5.26%-160M-121.62%-164M2.82%-138M28.22%-117M-19.86%-531M-2.01%-152M
Cash from discontinued investing activities
Investing cash flow 161.10%1.06B47.24%-1.11B1,016.49%3.5B57.78%-7.29B8.41%-3.07B61.21%-1.74B44.05%-2.1B93.28%-382M-55.55%-17.26B64.77%-3.36B
Financing cash flow
Cash flow from continuing financing activities 39.39%-874M-278.55%-982M-209.48%-3.64B-66.83%3.84B-47.46%1.41B-137.53%-1.44B-73.38%550M11.25%3.32B400.81%11.58B-0.56%2.68B
Increase decrease in deposit 85.66%-212M-1,118.75%-2.93B-77.32%389M-78.12%2.34B-72.20%1.82B-127.76%-1.48B113.88%288M87.23%1.72B137.26%10.7B209.37%6.54B
Net issuance payments of debt -454.25%-542M440.99%2.07B-320.18%-3.87B-33.42%2.01B92.23%-287M116.17%153M-92.13%383M-36.89%1.76B153.88%3.02B-348.19%-3.69B
Net commonstock issuance ---1M50.00%-1M-7.41%-29M98.00%-33M92.16%-4M--099.67%-2M95.38%-27M17.25%-1.65B91.41%-51M
Net preferred stock issuance --------------0------------------0----
Cash dividends paid -1.71%-119M0.00%-119M-0.81%-125M3.24%-478M-4.42%-118M4.10%-117M6.30%-119M6.06%-124M-29.66%-494M1.74%-113M
Cash from discontinued financing activities
Financing cash flow 39.39%-874M-278.55%-982M-209.48%-3.64B-66.83%3.84B-47.46%1.41B-137.53%-1.44B-73.38%550M11.25%3.32B400.81%11.58B-0.56%2.68B
Net cash flow
Beginning cash position -23.63%8.12B-18.45%8.64B19.56%7.44B9.74%6.22B59.35%9.12B123.53%10.64B129.58%10.6B9.74%6.22B-65.79%5.67B-50.41%5.72B
Current changes in cash 177.65%1.18B-1,385.00%-514M-72.47%1.2B117.17%1.21B-437.75%-1.68B-256.23%-1.52B-72.79%40M513.72%4.37B105.13%559M108.49%498M
Effect of exchange rate changes 166.67%2M-166.67%-2M---3M142.86%3M50.00%3M62.50%-3M200.00%3M--0---7M--2M
End cash position 2.04%9.3B-23.63%8.12B-18.45%8.64B19.56%7.44B19.56%7.44B59.35%9.12B123.53%10.64B129.58%10.6B9.74%6.22B9.74%6.22B
Free cash flow -94.12%58M-18.48%675M-8.54%632M-29.87%1.9B-225.16%-602M75.94%987M-15.34%828M-0.58%691M351.86%2.72B587.14%481M
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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