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AMD Advanced Micro Devices CDR (CAD Hedged)

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  • 21.330
  • +0.220+1.04%
15min DelayMarket Closed Feb 14 16:00 ET
248.64BMarket Cap106.65P/E (TTM)

Advanced Micro Devices CDR (CAD Hedged) Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 28, 2024
(Q4)Dec 28, 2024
(Q3)Sep 28, 2024
(Q2)Jun 29, 2024
(Q1)Mar 30, 2024
(FY)Dec 30, 2023
(Q4)Dec 30, 2023
(Q3)Sep 30, 2023
(Q2)Jul 1, 2023
(Q1)Apr 1, 2023
Assets
Current assets
Cash, cash equivalents and short term investments
-11.10%5.13B
-11.10%5.13B
-21.45%4.54B
-15.04%5.34B
1.62%6.04B
-1.40%5.77B
-1.40%5.77B
3.47%5.79B
4.89%6.29B
--5.94B
-Cash and cash equivalents
-3.71%3.79B
-3.71%3.79B
9.44%3.9B
7.08%4.11B
9.54%4.19B
-18.66%3.93B
-18.66%3.93B
4.80%3.56B
-22.62%3.84B
--3.83B
-Short term investments
-26.90%1.35B
-26.90%1.35B
-70.91%647M
-49.80%1.23B
-12.72%1.85B
80.39%1.84B
80.39%1.84B
1.41%2.22B
137.74%2.44B
--2.11B
Receivables
28.75%6.93B
28.75%6.93B
43.82%7.27B
33.82%5.77B
25.41%5.07B
30.45%5.39B
30.45%5.39B
16.47%5.06B
6.44%4.31B
--4.04B
-Accounts receivable
43.23%6.19B
43.23%6.19B
43.27%7.24B
33.33%5.75B
24.70%5.04B
4.77%4.32B
4.77%4.32B
16.56%5.05B
6.47%4.31B
--4.04B
-Due from related parties current
1,155.56%113M
1,155.56%113M
2,800.00%29M
1,100.00%24M
1,450.00%31M
350.00%9M
350.00%9M
-75.00%1M
-33.33%2M
--2M
-Other receivables
-40.36%628M
-40.36%628M
----
----
----
--1.05B
--1.05B
----
----
----
Inventory
31.79%5.73B
31.79%5.73B
20.90%5.37B
9.28%4.99B
9.85%4.65B
15.38%4.35B
15.38%4.35B
31.94%4.45B
72.47%4.57B
--4.24B
Prepaid assets
----
----
----
----
----
----
----
26.98%913M
110.50%842M
--867M
Other current assets
-0.71%1.25B
-0.71%1.25B
215.71%1.55B
173.84%1.36B
130.96%1.33B
-0.47%1.26B
-0.47%1.26B
22.19%490M
34.69%497M
--575M
Total current assets
13.60%19.05B
13.60%19.05B
12.27%18.74B
5.82%17.47B
9.11%17.08B
11.65%16.77B
11.65%16.77B
15.73%16.69B
22.60%16.51B
--15.66B
Non current assets
Net PPE
9.14%2.43B
9.14%2.43B
11.72%2.32B
14.94%2.3B
15.87%2.26B
12.62%2.22B
12.62%2.22B
4.91%2.07B
4.11%2B
--1.95B
-Gross PPE
14.69%4.6B
14.69%4.6B
15.38%4.39B
16.42%4.29B
16.95%4.14B
15.20%4.01B
15.20%4.01B
12.78%3.8B
13.91%3.68B
--3.54B
-Accumulated depreciation
-21.60%-2.17B
-21.60%-2.17B
-19.77%-2.07B
-18.19%-1.99B
-18.27%-1.88B
-18.58%-1.79B
-18.58%-1.79B
-23.93%-1.73B
-28.30%-1.68B
---1.59B
Investments and advances
50.51%149M
50.51%149M
47.31%137M
25.56%113M
26.19%106M
19.28%99M
19.28%99M
16.25%93M
18.42%90M
--84M
-Long term equity investment
50.51%149M
50.51%149M
47.31%137M
25.56%113M
26.19%106M
19.28%99M
19.28%99M
16.25%93M
18.42%90M
--84M
Goodwill and other intangible assets
-4.07%43.77B
-4.07%43.77B
-3.74%44.41B
-5.08%44.4B
-5.19%45B
-5.53%45.63B
-5.53%45.63B
-7.54%46.14B
-8.03%46.78B
--47.47B
-Goodwill
2.38%24.84B
2.38%24.84B
2.70%24.84B
0.35%24.26B
0.35%24.26B
0.35%24.26B
0.35%24.26B
-0.00%24.19B
-0.07%24.18B
--24.18B
-Other intangible assets
-11.39%18.93B
-11.39%18.93B
-10.83%19.57B
-10.89%20.14B
-10.95%20.74B
-11.42%21.36B
-11.42%21.36B
-14.64%21.95B
-15.25%22.6B
--23.29B
Non current deferred assets
87.98%688M
87.98%688M
1,456.58%1.18B
807.35%617M
546.27%433M
531.03%366M
531.03%366M
137.50%76M
112.50%68M
--67M
Other non current assets
12.16%3.15B
12.16%3.15B
11.48%2.85B
18.32%2.99B
25.02%3.01B
30.34%2.81B
30.34%2.81B
570.16%2.56B
559.79%2.53B
--2.41B
Total non current assets
-1.84%50.18B
-1.84%50.18B
-0.07%50.9B
-2.02%50.42B
-2.24%50.81B
-2.75%51.12B
-2.75%51.12B
-4.59%50.94B
-4.77%51.46B
--51.98B
Total assets
1.98%69.23B
1.98%69.23B
2.97%69.64B
-0.12%67.89B
0.39%67.9B
0.45%67.89B
0.45%67.89B
-0.27%67.63B
0.69%67.97B
--67.63B
Liabilities
Current liabilities
Current debt and capital lease obligation
----
----
----
----
--750M
--751M
--751M
--752M
141.35%753M
----
-Current debt
----
----
----
----
--750M
--751M
--751M
--752M
141.35%753M
----
Payables
1.99%2.47B
1.99%2.47B
-10.42%2.99B
-43.14%2.12B
-35.35%1.86B
-18.20%2.42B
-18.20%2.42B
22.13%3.34B
98.35%3.73B
--2.87B
-accounts payable
-3.16%1.99B
-3.16%1.99B
12.69%2.53B
-38.86%1.7B
-43.69%1.42B
-17.57%2.06B
-17.57%2.06B
-3.94%2.25B
83.07%2.78B
--2.52B
-Total tax payable
----
----
----
----
----
----
----
--769M
--635M
----
-Due to related parties current
31.13%476M
31.13%476M
41.85%461M
34.19%420M
24.08%438M
-21.60%363M
-21.60%363M
-18.14%325M
-13.30%313M
--353M
Current accrued expenses
40.40%3.09B
40.40%3.09B
22.63%3.07B
23.45%2.87B
6.47%2.62B
-7.49%2.2B
-7.49%2.2B
-12.07%2.51B
-0.21%2.33B
--2.46B
Pension and other retirement benefit plans
32.81%1.17B
32.81%1.17B
20.32%1.05B
17.42%755M
16.67%826M
26.11%884M
26.11%884M
16.29%871M
-13.23%643M
--708M
Other current liabilities
26.71%555M
26.71%555M
143.13%389M
269.42%447M
-21.34%424M
30.36%438M
30.36%438M
-55.43%160M
-53.10%121M
--539M
Current liabilities
8.85%7.28B
8.85%7.28B
-1.67%7.5B
-18.19%6.2B
-1.57%6.47B
5.02%6.69B
5.02%6.69B
13.99%7.63B
37.10%7.57B
--6.58B
Non current liabilities
Long term debt and capital lease obligation
-1.78%2.21B
-1.78%2.21B
6.07%2.24B
6.55%2.25B
-21.07%2.25B
-21.34%2.25B
-21.34%2.25B
-26.99%2.11B
-27.02%2.11B
--2.85B
-Long term debt
0.23%1.72B
0.23%1.72B
0.29%1.72B
0.29%1.72B
-30.36%1.72B
-30.40%1.72B
-30.40%1.72B
-30.45%1.72B
-30.47%1.71B
--2.47B
-Long term capital lease obligation
-8.22%491M
-8.22%491M
31.14%518M
33.84%526M
39.11%530M
35.10%535M
35.10%535M
-6.84%395M
-6.87%393M
--381M
Non current deferred liabilities
-70.97%349M
-70.97%349M
0.87%1.16B
-12.67%1.19B
-26.93%1.2B
-37.85%1.2B
-37.85%1.2B
-44.56%1.15B
-51.34%1.37B
--1.64B
Other non current liabilities
-1.84%1.82B
-1.84%1.82B
-0.91%1.75B
-3.97%1.72B
-5.23%1.78B
11.18%1.85B
11.18%1.85B
9.75%1.77B
59.84%1.79B
--1.87B
Total non current liabilities
-17.48%4.38B
-17.48%4.38B
2.43%5.15B
-2.02%5.15B
-17.92%5.22B
-17.91%5.3B
-17.91%5.3B
-23.55%5.03B
-22.78%5.26B
--6.36B
Total liabilities
-2.79%11.66B
-2.79%11.66B
-0.04%12.65B
-11.56%11.35B
-9.61%11.7B
-6.52%11.99B
-6.52%11.99B
-4.62%12.66B
4.04%12.83B
--12.94B
Shareholders'equity
Share capital
0.00%17M
0.00%17M
0.00%17M
6.25%17M
6.25%17M
6.25%17M
6.25%17M
6.25%17M
0.00%16M
--16M
-common stock
0.00%17M
0.00%17M
0.00%17M
6.25%17M
6.25%17M
6.25%17M
6.25%17M
6.25%17M
0.00%16M
--16M
Additional paid-in capital
2.83%61.36B
2.83%61.36B
2.90%60.9B
2.92%60.54B
2.95%60.05B
2.88%59.68B
2.88%59.68B
2.78%59.18B
2.67%58.83B
--58.33B
Retained earnings
226.97%2.36B
226.97%2.36B
3,260.71%1.88B
557.20%1.11B
413.33%846M
651.91%723M
651.91%723M
136.84%56M
-11.47%-243M
---270M
Less: Treasury stock
35.27%6.11B
35.27%6.11B
37.24%5.81B
48.78%5.1B
39.50%4.69B
45.66%4.51B
45.66%4.51B
50.44%4.24B
81.19%3.43B
--3.36B
Gains losses not affecting retained earnings
-590.00%-69M
-590.00%-69M
104.00%2M
9.38%-29M
-33.33%-28M
75.61%-10M
75.61%-10M
43.18%-50M
3.03%-32M
---21M
Total stockholders'equity
3.00%57.57B
3.00%57.57B
3.67%56.99B
2.54%56.54B
2.75%56.2B
2.09%55.89B
2.09%55.89B
0.78%54.97B
-0.06%55.14B
--54.69B
Total equity
3.00%57.57B
3.00%57.57B
3.67%56.99B
2.54%56.54B
2.75%56.2B
2.09%55.89B
2.09%55.89B
0.78%54.97B
-0.06%55.14B
--54.69B
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(FY)Dec 28, 2024(Q4)Dec 28, 2024(Q3)Sep 28, 2024(Q2)Jun 29, 2024(Q1)Mar 30, 2024(FY)Dec 30, 2023(Q4)Dec 30, 2023(Q3)Sep 30, 2023(Q2)Jul 1, 2023(Q1)Apr 1, 2023
Assets
Current assets
Cash, cash equivalents and short term investments -11.10%5.13B-11.10%5.13B-21.45%4.54B-15.04%5.34B1.62%6.04B-1.40%5.77B-1.40%5.77B3.47%5.79B4.89%6.29B--5.94B
-Cash and cash equivalents -3.71%3.79B-3.71%3.79B9.44%3.9B7.08%4.11B9.54%4.19B-18.66%3.93B-18.66%3.93B4.80%3.56B-22.62%3.84B--3.83B
-Short term investments -26.90%1.35B-26.90%1.35B-70.91%647M-49.80%1.23B-12.72%1.85B80.39%1.84B80.39%1.84B1.41%2.22B137.74%2.44B--2.11B
Receivables 28.75%6.93B28.75%6.93B43.82%7.27B33.82%5.77B25.41%5.07B30.45%5.39B30.45%5.39B16.47%5.06B6.44%4.31B--4.04B
-Accounts receivable 43.23%6.19B43.23%6.19B43.27%7.24B33.33%5.75B24.70%5.04B4.77%4.32B4.77%4.32B16.56%5.05B6.47%4.31B--4.04B
-Due from related parties current 1,155.56%113M1,155.56%113M2,800.00%29M1,100.00%24M1,450.00%31M350.00%9M350.00%9M-75.00%1M-33.33%2M--2M
-Other receivables -40.36%628M-40.36%628M--------------1.05B--1.05B------------
Inventory 31.79%5.73B31.79%5.73B20.90%5.37B9.28%4.99B9.85%4.65B15.38%4.35B15.38%4.35B31.94%4.45B72.47%4.57B--4.24B
Prepaid assets ----------------------------26.98%913M110.50%842M--867M
Other current assets -0.71%1.25B-0.71%1.25B215.71%1.55B173.84%1.36B130.96%1.33B-0.47%1.26B-0.47%1.26B22.19%490M34.69%497M--575M
Total current assets 13.60%19.05B13.60%19.05B12.27%18.74B5.82%17.47B9.11%17.08B11.65%16.77B11.65%16.77B15.73%16.69B22.60%16.51B--15.66B
Non current assets
Net PPE 9.14%2.43B9.14%2.43B11.72%2.32B14.94%2.3B15.87%2.26B12.62%2.22B12.62%2.22B4.91%2.07B4.11%2B--1.95B
-Gross PPE 14.69%4.6B14.69%4.6B15.38%4.39B16.42%4.29B16.95%4.14B15.20%4.01B15.20%4.01B12.78%3.8B13.91%3.68B--3.54B
-Accumulated depreciation -21.60%-2.17B-21.60%-2.17B-19.77%-2.07B-18.19%-1.99B-18.27%-1.88B-18.58%-1.79B-18.58%-1.79B-23.93%-1.73B-28.30%-1.68B---1.59B
Investments and advances 50.51%149M50.51%149M47.31%137M25.56%113M26.19%106M19.28%99M19.28%99M16.25%93M18.42%90M--84M
-Long term equity investment 50.51%149M50.51%149M47.31%137M25.56%113M26.19%106M19.28%99M19.28%99M16.25%93M18.42%90M--84M
Goodwill and other intangible assets -4.07%43.77B-4.07%43.77B-3.74%44.41B-5.08%44.4B-5.19%45B-5.53%45.63B-5.53%45.63B-7.54%46.14B-8.03%46.78B--47.47B
-Goodwill 2.38%24.84B2.38%24.84B2.70%24.84B0.35%24.26B0.35%24.26B0.35%24.26B0.35%24.26B-0.00%24.19B-0.07%24.18B--24.18B
-Other intangible assets -11.39%18.93B-11.39%18.93B-10.83%19.57B-10.89%20.14B-10.95%20.74B-11.42%21.36B-11.42%21.36B-14.64%21.95B-15.25%22.6B--23.29B
Non current deferred assets 87.98%688M87.98%688M1,456.58%1.18B807.35%617M546.27%433M531.03%366M531.03%366M137.50%76M112.50%68M--67M
Other non current assets 12.16%3.15B12.16%3.15B11.48%2.85B18.32%2.99B25.02%3.01B30.34%2.81B30.34%2.81B570.16%2.56B559.79%2.53B--2.41B
Total non current assets -1.84%50.18B-1.84%50.18B-0.07%50.9B-2.02%50.42B-2.24%50.81B-2.75%51.12B-2.75%51.12B-4.59%50.94B-4.77%51.46B--51.98B
Total assets 1.98%69.23B1.98%69.23B2.97%69.64B-0.12%67.89B0.39%67.9B0.45%67.89B0.45%67.89B-0.27%67.63B0.69%67.97B--67.63B
Liabilities
Current liabilities
Current debt and capital lease obligation ------------------750M--751M--751M--752M141.35%753M----
-Current debt ------------------750M--751M--751M--752M141.35%753M----
Payables 1.99%2.47B1.99%2.47B-10.42%2.99B-43.14%2.12B-35.35%1.86B-18.20%2.42B-18.20%2.42B22.13%3.34B98.35%3.73B--2.87B
-accounts payable -3.16%1.99B-3.16%1.99B12.69%2.53B-38.86%1.7B-43.69%1.42B-17.57%2.06B-17.57%2.06B-3.94%2.25B83.07%2.78B--2.52B
-Total tax payable ------------------------------769M--635M----
-Due to related parties current 31.13%476M31.13%476M41.85%461M34.19%420M24.08%438M-21.60%363M-21.60%363M-18.14%325M-13.30%313M--353M
Current accrued expenses 40.40%3.09B40.40%3.09B22.63%3.07B23.45%2.87B6.47%2.62B-7.49%2.2B-7.49%2.2B-12.07%2.51B-0.21%2.33B--2.46B
Pension and other retirement benefit plans 32.81%1.17B32.81%1.17B20.32%1.05B17.42%755M16.67%826M26.11%884M26.11%884M16.29%871M-13.23%643M--708M
Other current liabilities 26.71%555M26.71%555M143.13%389M269.42%447M-21.34%424M30.36%438M30.36%438M-55.43%160M-53.10%121M--539M
Current liabilities 8.85%7.28B8.85%7.28B-1.67%7.5B-18.19%6.2B-1.57%6.47B5.02%6.69B5.02%6.69B13.99%7.63B37.10%7.57B--6.58B
Non current liabilities
Long term debt and capital lease obligation -1.78%2.21B-1.78%2.21B6.07%2.24B6.55%2.25B-21.07%2.25B-21.34%2.25B-21.34%2.25B-26.99%2.11B-27.02%2.11B--2.85B
-Long term debt 0.23%1.72B0.23%1.72B0.29%1.72B0.29%1.72B-30.36%1.72B-30.40%1.72B-30.40%1.72B-30.45%1.72B-30.47%1.71B--2.47B
-Long term capital lease obligation -8.22%491M-8.22%491M31.14%518M33.84%526M39.11%530M35.10%535M35.10%535M-6.84%395M-6.87%393M--381M
Non current deferred liabilities -70.97%349M-70.97%349M0.87%1.16B-12.67%1.19B-26.93%1.2B-37.85%1.2B-37.85%1.2B-44.56%1.15B-51.34%1.37B--1.64B
Other non current liabilities -1.84%1.82B-1.84%1.82B-0.91%1.75B-3.97%1.72B-5.23%1.78B11.18%1.85B11.18%1.85B9.75%1.77B59.84%1.79B--1.87B
Total non current liabilities -17.48%4.38B-17.48%4.38B2.43%5.15B-2.02%5.15B-17.92%5.22B-17.91%5.3B-17.91%5.3B-23.55%5.03B-22.78%5.26B--6.36B
Total liabilities -2.79%11.66B-2.79%11.66B-0.04%12.65B-11.56%11.35B-9.61%11.7B-6.52%11.99B-6.52%11.99B-4.62%12.66B4.04%12.83B--12.94B
Shareholders'equity
Share capital 0.00%17M0.00%17M0.00%17M6.25%17M6.25%17M6.25%17M6.25%17M6.25%17M0.00%16M--16M
-common stock 0.00%17M0.00%17M0.00%17M6.25%17M6.25%17M6.25%17M6.25%17M6.25%17M0.00%16M--16M
Additional paid-in capital 2.83%61.36B2.83%61.36B2.90%60.9B2.92%60.54B2.95%60.05B2.88%59.68B2.88%59.68B2.78%59.18B2.67%58.83B--58.33B
Retained earnings 226.97%2.36B226.97%2.36B3,260.71%1.88B557.20%1.11B413.33%846M651.91%723M651.91%723M136.84%56M-11.47%-243M---270M
Less: Treasury stock 35.27%6.11B35.27%6.11B37.24%5.81B48.78%5.1B39.50%4.69B45.66%4.51B45.66%4.51B50.44%4.24B81.19%3.43B--3.36B
Gains losses not affecting retained earnings -590.00%-69M-590.00%-69M104.00%2M9.38%-29M-33.33%-28M75.61%-10M75.61%-10M43.18%-50M3.03%-32M---21M
Total stockholders'equity 3.00%57.57B3.00%57.57B3.67%56.99B2.54%56.54B2.75%56.2B2.09%55.89B2.09%55.89B0.78%54.97B-0.06%55.14B--54.69B
Total equity 3.00%57.57B3.00%57.57B3.67%56.99B2.54%56.54B2.75%56.2B2.09%55.89B2.09%55.89B0.78%54.97B-0.06%55.14B--54.69B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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