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AMAT Applied Materials

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  • 169.200
  • -15.070-8.18%
Close Feb 14 16:00 ET
  • 169.650
  • +0.450+0.27%
Post 20:01 ET
137.68BMarket Cap22.12P/E (TTM)

Applied Materials Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Jan 26, 2025
(FY)Oct 27, 2024
(Q4)Oct 27, 2024
(Q3)Jul 28, 2024
(Q2)Apr 28, 2024
(Q1)Jan 28, 2024
(FY)Oct 29, 2023
(Q4)Oct 29, 2023
(Q3)Jul 30, 2023
(Q2)Apr 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-60.22%925M
-0.26%8.68B
65.59%2.58B
-7.67%2.39B
-39.27%1.39B
2.42%2.33B
61.14%8.7B
81.45%1.56B
75.83%2.58B
452.29%2.29B
Net income from continuing operations
-41.31%1.19B
4.68%7.18B
-13.62%1.73B
9.29%1.71B
9.33%1.72B
17.59%2.02B
5.07%6.86B
25.96%2B
-2.86%1.56B
2.54%1.58B
Depreciation and amortization
15.38%105M
-23.88%392M
-15.38%110M
-30.15%95M
-25.58%96M
-24.17%91M
15.99%515M
5.69%130M
25.93%136M
16.22%129M
Deferred tax
1,027.78%668M
-2,737.50%-633M
-225.25%-248M
-371.05%-179M
-16.52%-134M
-242.86%-72M
110.76%24M
1,514.29%198M
-180.85%-38M
55.25%-115M
Other non cash items
140.43%95M
17.50%47M
265.10%246M
220.00%48M
-107.19%-12M
-3,457.14%-235M
11.11%40M
-777.27%-149M
-31.82%15M
795.83%167M
Change In working capital
-475.85%-1.32B
44.13%1.12B
180.08%595M
-26.63%584M
-197.87%-414M
17.73%352M
143.25%775M
22.93%-743M
294.62%796M
140.21%423M
-Change in receivables
----
-107.64%-69M
-506.15%-264M
-167.13%-192M
40.46%-78M
-31.92%465M
181.42%903M
105.85%65M
526.87%286M
72.59%-131M
-Change in inventory
----
46.86%304M
75.00%147M
-6.11%123M
-139.47%-45M
164.75%79M
113.02%207M
119.72%84M
128.23%131M
123.60%114M
-Change in payables and accrued expense
----
524.05%670M
345.80%644M
-7.17%298M
2.96%139M
-16.76%-411M
-4.64%-158M
-204.38%-262M
437.89%321M
12.50%135M
-Change in other current assets
----
697.92%287M
12.00%-66M
333.72%201M
2,750.00%114M
-65.14%38M
-200.00%-48M
-2,600.00%-75M
-881.82%-86M
101.06%4M
-Change in other current liabilities
----
34.21%51M
181.82%27M
15.00%23M
-180.00%-8M
-78.05%9M
8.57%38M
-650.00%-33M
500.00%20M
137.04%10M
-Change in other working capital
-869.19%-1.32B
24.55%-126M
120.50%107M
5.65%131M
-284.19%-536M
386.67%172M
-116.07%-167M
-266.24%-522M
-41.23%124M
50.78%291M
Cash from discontinued investing activities
Operating cash flow
-60.22%925M
-0.26%8.68B
65.59%2.58B
-7.67%2.39B
-39.27%1.39B
2.42%2.33B
61.14%8.7B
81.45%1.56B
75.83%2.58B
452.29%2.29B
Investing cash flow
Cash flow from continuing investing activities
-100.67%-897M
-51.60%-2.33B
-119.02%-1.07B
-55.29%-660M
53.73%-149M
-49.50%-447M
-13.12%-1.54B
-157.37%-489M
31.01%-425M
22.03%-322M
Capital expenditure reported
-66.38%-381M
-7.59%-1.19B
-31.72%-407M
-16.47%-297M
-0.78%-257M
20.21%-229M
-40.53%-1.11B
-38.57%-309M
-21.43%-255M
-21.43%-255M
Net business purchase and sale
---28M
--0
--0
--0
--0
--0
94.33%-25M
--0
98.41%-7M
--2M
Net investment purchase and sale
-123.85%-488M
-181.44%-1.14B
-268.89%-664M
-122.70%-363M
256.52%108M
-2,825.00%-218M
-213.18%-404M
-645.45%-180M
-565.71%-163M
66.01%-69M
Cash from discontinued investing activities
Investing cash flow
-100.67%-897M
-51.60%-2.33B
-119.02%-1.07B
-55.29%-660M
53.73%-149M
-49.50%-447M
-13.12%-1.54B
-157.37%-489M
31.01%-425M
22.03%-322M
Financing cash flow
Cash flow from continuing financing activities
-54.36%-1.79B
-47.43%-4.47B
-83.13%-1.77B
27.50%-522M
-10.13%-1.02B
-176.79%-1.16B
56.95%-3.03B
40.63%-966M
41.37%-720M
52.07%-928M
Net issuance payments of debt
--0
605.95%593M
11.00%-89M
34,850.00%695M
-600.00%-14M
-99.47%1M
--84M
---100M
---2M
---2M
Net common stock issuance
-88.29%-1.32B
-82.47%-3.58B
-125.68%-1.32B
-96.13%-861M
-1.74%-701M
-180.00%-700M
66.77%-1.96B
58.20%-584M
56.10%-439M
59.57%-689M
Cash dividends paid
-22.56%-326M
-22.26%-1.19B
-22.76%-329M
-23.51%-331M
-21.46%-266M
-20.91%-266M
-11.68%-975M
-20.18%-268M
-19.11%-268M
-3.79%-219M
Net other financing activities
26.04%-142M
-62.57%-291M
-135.71%-33M
-127.27%-25M
-127.78%-41M
-41.18%-192M
32.71%-179M
-100.00%-14M
-266.67%-11M
14.29%-18M
Cash from discontinued financing activities
Financing cash flow
-54.36%-1.79B
-47.43%-4.47B
-83.13%-1.77B
27.50%-522M
-10.13%-1.02B
-176.79%-1.16B
56.95%-3.03B
40.63%-966M
41.37%-720M
52.07%-928M
Net cash flow
Beginning cash position
30.16%8.11B
196.81%6.23B
36.61%8.38B
52.82%7.18B
90.36%6.95B
196.81%6.23B
-58.83%2.1B
100.42%6.13B
36.68%4.7B
-31.96%3.65B
Current changes in cash
-343.83%-1.76B
-54.51%1.88B
-365.00%-265M
-16.34%1.2B
-78.79%221M
-53.57%721M
237.72%4.13B
110.42%100M
483.47%1.44B
153.88%1.04B
End cash Position
-8.61%6.36B
30.16%8.11B
30.16%8.11B
36.61%8.38B
52.82%7.18B
90.36%6.95B
196.81%6.23B
196.81%6.23B
100.42%6.13B
36.68%4.7B
Free cash flow
-74.05%544M
-1.41%7.49B
74.00%2.17B
-10.31%2.09B
-44.28%1.14B
5.70%2.1B
64.66%7.59B
96.53%1.25B
84.91%2.33B
893.66%2.04B
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
(Q1)Jan 26, 2025(FY)Oct 27, 2024(Q4)Oct 27, 2024(Q3)Jul 28, 2024(Q2)Apr 28, 2024(Q1)Jan 28, 2024(FY)Oct 29, 2023(Q4)Oct 29, 2023(Q3)Jul 30, 2023(Q2)Apr 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -60.22%925M-0.26%8.68B65.59%2.58B-7.67%2.39B-39.27%1.39B2.42%2.33B61.14%8.7B81.45%1.56B75.83%2.58B452.29%2.29B
Net income from continuing operations -41.31%1.19B4.68%7.18B-13.62%1.73B9.29%1.71B9.33%1.72B17.59%2.02B5.07%6.86B25.96%2B-2.86%1.56B2.54%1.58B
Depreciation and amortization 15.38%105M-23.88%392M-15.38%110M-30.15%95M-25.58%96M-24.17%91M15.99%515M5.69%130M25.93%136M16.22%129M
Deferred tax 1,027.78%668M-2,737.50%-633M-225.25%-248M-371.05%-179M-16.52%-134M-242.86%-72M110.76%24M1,514.29%198M-180.85%-38M55.25%-115M
Other non cash items 140.43%95M17.50%47M265.10%246M220.00%48M-107.19%-12M-3,457.14%-235M11.11%40M-777.27%-149M-31.82%15M795.83%167M
Change In working capital -475.85%-1.32B44.13%1.12B180.08%595M-26.63%584M-197.87%-414M17.73%352M143.25%775M22.93%-743M294.62%796M140.21%423M
-Change in receivables -----107.64%-69M-506.15%-264M-167.13%-192M40.46%-78M-31.92%465M181.42%903M105.85%65M526.87%286M72.59%-131M
-Change in inventory ----46.86%304M75.00%147M-6.11%123M-139.47%-45M164.75%79M113.02%207M119.72%84M128.23%131M123.60%114M
-Change in payables and accrued expense ----524.05%670M345.80%644M-7.17%298M2.96%139M-16.76%-411M-4.64%-158M-204.38%-262M437.89%321M12.50%135M
-Change in other current assets ----697.92%287M12.00%-66M333.72%201M2,750.00%114M-65.14%38M-200.00%-48M-2,600.00%-75M-881.82%-86M101.06%4M
-Change in other current liabilities ----34.21%51M181.82%27M15.00%23M-180.00%-8M-78.05%9M8.57%38M-650.00%-33M500.00%20M137.04%10M
-Change in other working capital -869.19%-1.32B24.55%-126M120.50%107M5.65%131M-284.19%-536M386.67%172M-116.07%-167M-266.24%-522M-41.23%124M50.78%291M
Cash from discontinued investing activities
Operating cash flow -60.22%925M-0.26%8.68B65.59%2.58B-7.67%2.39B-39.27%1.39B2.42%2.33B61.14%8.7B81.45%1.56B75.83%2.58B452.29%2.29B
Investing cash flow
Cash flow from continuing investing activities -100.67%-897M-51.60%-2.33B-119.02%-1.07B-55.29%-660M53.73%-149M-49.50%-447M-13.12%-1.54B-157.37%-489M31.01%-425M22.03%-322M
Capital expenditure reported -66.38%-381M-7.59%-1.19B-31.72%-407M-16.47%-297M-0.78%-257M20.21%-229M-40.53%-1.11B-38.57%-309M-21.43%-255M-21.43%-255M
Net business purchase and sale ---28M--0--0--0--0--094.33%-25M--098.41%-7M--2M
Net investment purchase and sale -123.85%-488M-181.44%-1.14B-268.89%-664M-122.70%-363M256.52%108M-2,825.00%-218M-213.18%-404M-645.45%-180M-565.71%-163M66.01%-69M
Cash from discontinued investing activities
Investing cash flow -100.67%-897M-51.60%-2.33B-119.02%-1.07B-55.29%-660M53.73%-149M-49.50%-447M-13.12%-1.54B-157.37%-489M31.01%-425M22.03%-322M
Financing cash flow
Cash flow from continuing financing activities -54.36%-1.79B-47.43%-4.47B-83.13%-1.77B27.50%-522M-10.13%-1.02B-176.79%-1.16B56.95%-3.03B40.63%-966M41.37%-720M52.07%-928M
Net issuance payments of debt --0605.95%593M11.00%-89M34,850.00%695M-600.00%-14M-99.47%1M--84M---100M---2M---2M
Net common stock issuance -88.29%-1.32B-82.47%-3.58B-125.68%-1.32B-96.13%-861M-1.74%-701M-180.00%-700M66.77%-1.96B58.20%-584M56.10%-439M59.57%-689M
Cash dividends paid -22.56%-326M-22.26%-1.19B-22.76%-329M-23.51%-331M-21.46%-266M-20.91%-266M-11.68%-975M-20.18%-268M-19.11%-268M-3.79%-219M
Net other financing activities 26.04%-142M-62.57%-291M-135.71%-33M-127.27%-25M-127.78%-41M-41.18%-192M32.71%-179M-100.00%-14M-266.67%-11M14.29%-18M
Cash from discontinued financing activities
Financing cash flow -54.36%-1.79B-47.43%-4.47B-83.13%-1.77B27.50%-522M-10.13%-1.02B-176.79%-1.16B56.95%-3.03B40.63%-966M41.37%-720M52.07%-928M
Net cash flow
Beginning cash position 30.16%8.11B196.81%6.23B36.61%8.38B52.82%7.18B90.36%6.95B196.81%6.23B-58.83%2.1B100.42%6.13B36.68%4.7B-31.96%3.65B
Current changes in cash -343.83%-1.76B-54.51%1.88B-365.00%-265M-16.34%1.2B-78.79%221M-53.57%721M237.72%4.13B110.42%100M483.47%1.44B153.88%1.04B
End cash Position -8.61%6.36B30.16%8.11B30.16%8.11B36.61%8.38B52.82%7.18B90.36%6.95B196.81%6.23B196.81%6.23B100.42%6.13B36.68%4.7B
Free cash flow -74.05%544M-1.41%7.49B74.00%2.17B-10.31%2.09B-44.28%1.14B5.70%2.1B64.66%7.59B96.53%1.25B84.91%2.33B893.66%2.04B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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