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BLK Blackrock

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  • 946.750
  • -19.720-2.04%
Trading Mar 4 09:39 ET
146.99BMarket Cap22.54P/E (TTM)

Blackrock Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
18.99%4.96B
31.03%2.62B
-12.37%1.38B
38.58%1.37B
-3.55%-408M
-15.96%4.17B
1.27%2B
-10.45%1.58B
-40.12%985M
6.64%-394M
Net income from continuing operations
14.73%6.51B
11.55%1.66B
6.02%1.69B
8.01%1.54B
38.84%1.62B
13.66%5.68B
13.93%1.49B
17.19%1.6B
47.77%1.42B
-14.23%1.17B
Operating gains losses
42.48%-436M
140.24%136M
-304.84%-251M
36.96%-145M
-37.50%-176M
-835.92%-758M
-82.70%-338M
60.51%-62M
-172.56%-230M
-200.00%-128M
Depreciation and amortization
23.89%529M
80.18%200M
1.85%110M
5.88%108M
4.72%111M
2.15%427M
0.91%111M
-0.92%108M
3.03%102M
6.00%106M
Deferred tax
-185.48%-106M
-113.25%-11M
11.76%-15M
-880.00%-39M
-177.36%-41M
-79.40%124M
-88.24%83M
85.34%-17M
107.81%5M
-30.26%53M
Other non cash items
-57.54%-2.58B
-11.45%-399M
-93.64%-792M
1.15%-431M
-120.51%-957M
-60.18%-1.64B
-4.99%-358M
-136.42%-409M
-181.29%-436M
-22.95%-434M
Change In working capital
150.87%176M
-7.20%773M
107.46%417M
393.62%138M
13.58%-1.15B
61.43%-346M
360.22%833M
-65.40%201M
-115.51%-47M
32.06%-1.33B
-Change in receivables
24.40%-443M
-257.14%-33M
-129.63%-310M
86.63%-27M
72.96%-73M
-240.87%-586M
-87.04%21M
-455.26%-135M
-183.13%-202M
-900.00%-270M
-Change in payables and accrued expense
1,096.15%259M
-17.07%34M
200.00%129M
-426.32%-100M
315.38%196M
82.78%-26M
114.96%41M
-82.16%43M
88.55%-19M
-289.58%-91M
-Change in other current assets
247.64%375M
-12.14%970M
-47.36%509M
81.67%-299M
-15.99%-805M
-946.67%-254M
-47.08%1.1B
202.11%967M
-178.38%-1.63B
78.24%-694M
-Change in other current liabilities
-201.87%-382M
9.93%-862M
47.48%-562M
-87.96%173M
-9.95%869M
177.96%375M
59.52%-957M
-212.75%-1.07B
167.62%1.44B
-68.45%965M
-Change in other working capital
153.10%367M
6.41%664M
64.39%651M
6.25%391M
-7.72%-1.34B
120.39%145M
9.28%624M
32.00%396M
36.30%368M
32.88%-1.24B
Cash from discontinued investing activities
Operating cash flow
18.99%4.96B
31.03%2.62B
-12.37%1.38B
38.58%1.37B
-3.55%-408M
-15.96%4.17B
1.27%2B
-10.45%1.58B
-40.12%985M
6.64%-394M
Investing cash flow
Cash flow from continuing investing activities
-213.24%-3B
-1,551.08%-3.07B
72.59%-74M
158.01%163M
90.09%-22M
15.13%-959M
55.29%-186M
-26.17%-270M
6.95%-281M
-12.12%-222M
Net PPE purchase and sale
25.87%-255M
27.42%-90M
-20.51%-94M
88.52%-7M
20.99%-64M
35.46%-344M
7.46%-124M
42.65%-78M
47.41%-61M
44.90%-81M
Net business purchase and sale
-1,453.44%-2.94B
---2.86B
--0
----
----
---189M
--0
---189M
----
----
Net investment purchase and sale
62.08%-179M
-71.95%-141M
41.67%-7M
138.86%89M
19.46%-120M
29.24%-472M
72.01%-82M
88.35%-12M
-13.93%-229M
-112.86%-149M
Cash from discontinued investing activities
Investing cash flow
-213.24%-3B
-1,551.08%-3.07B
72.59%-74M
158.01%163M
90.09%-22M
15.13%-959M
55.29%-186M
-26.17%-270M
6.95%-281M
-12.12%-222M
Financing cash flow
Cash flow from continuing financing activities
212.25%2.24B
-14.91%-578M
421.09%2.36B
-245.68%-641M
191.71%1.1B
63.40%-1.99B
55.33%-503M
29.60%-735M
122.90%440M
11.62%-1.19B
Net issuance payments of debt
274.55%4.42B
-57.14%-33M
16,086.67%2.4B
-93.03%86M
10,442.11%1.97B
251.93%1.18B
19.23%-21M
---15M
264.53%1.23B
---19M
Net common stock issuance
-2.44%-1.93B
-0.52%-386M
1.26%-391M
-35.51%-519M
12.07%-634M
19.21%-1.88B
23.96%-384M
-3.13%-396M
24.46%-383M
22.97%-721M
Cash dividends paid
-2.17%-3.1B
-6.46%-791M
-1.20%-757M
-1.34%-758M
0.13%-795M
-1.51%-3.04B
-1.64%-743M
-1.63%-748M
-1.49%-748M
-1.27%-796M
Proceeds from stock option exercised by employees
388.42%464M
393.18%217M
250.00%84M
--19M
433.33%144M
763.64%95M
300.00%44M
--24M
--0
--27M
Net other financing activities
44.40%2.39B
-30.95%415M
156.50%1.03B
57.57%531M
31.75%415M
156.28%1.65B
380.80%601M
426.32%400M
361.64%337M
-15.09%315M
Cash from discontinued financing activities
Financing cash flow
212.25%2.24B
-14.91%-578M
421.09%2.36B
-245.68%-641M
191.71%1.1B
63.40%-1.99B
55.33%-503M
29.60%-735M
122.90%440M
11.62%-1.19B
Net cash flow
Beginning cash position
17.76%8.75B
91.65%14.05B
49.54%10.25B
65.89%9.39B
17.76%8.75B
-20.42%7.43B
7.62%7.33B
5.43%6.85B
-22.23%5.66B
-20.42%7.43B
Current changes in cash
244.98%4.19B
-178.76%-1.03B
542.21%3.67B
-22.47%887M
136.74%665M
175.12%1.21B
203.71%1.31B
13.75%571M
297.92%1.14B
8.17%-1.81B
Effect of exchange rate changes
-252.83%-162M
-319.82%-244M
259.55%142M
-171.74%-33M
-171.05%-27M
136.43%106M
-40.96%111M
52.15%-89M
122.66%46M
142.22%38M
End cash Position
46.00%12.78B
46.00%12.78B
91.65%14.05B
49.54%10.25B
65.89%9.39B
17.76%8.75B
17.76%8.75B
7.62%7.33B
5.43%6.85B
-22.23%5.66B
Free cash flow
23.03%4.7B
34.90%2.53B
-14.09%1.29B
46.97%1.36B
0.63%-472M
-13.61%3.82B
1.90%1.87B
-7.76%1.5B
-39.57%924M
16.52%-475M
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
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 18.99%4.96B31.03%2.62B-12.37%1.38B38.58%1.37B-3.55%-408M-15.96%4.17B1.27%2B-10.45%1.58B-40.12%985M6.64%-394M
Net income from continuing operations 14.73%6.51B11.55%1.66B6.02%1.69B8.01%1.54B38.84%1.62B13.66%5.68B13.93%1.49B17.19%1.6B47.77%1.42B-14.23%1.17B
Operating gains losses 42.48%-436M140.24%136M-304.84%-251M36.96%-145M-37.50%-176M-835.92%-758M-82.70%-338M60.51%-62M-172.56%-230M-200.00%-128M
Depreciation and amortization 23.89%529M80.18%200M1.85%110M5.88%108M4.72%111M2.15%427M0.91%111M-0.92%108M3.03%102M6.00%106M
Deferred tax -185.48%-106M-113.25%-11M11.76%-15M-880.00%-39M-177.36%-41M-79.40%124M-88.24%83M85.34%-17M107.81%5M-30.26%53M
Other non cash items -57.54%-2.58B-11.45%-399M-93.64%-792M1.15%-431M-120.51%-957M-60.18%-1.64B-4.99%-358M-136.42%-409M-181.29%-436M-22.95%-434M
Change In working capital 150.87%176M-7.20%773M107.46%417M393.62%138M13.58%-1.15B61.43%-346M360.22%833M-65.40%201M-115.51%-47M32.06%-1.33B
-Change in receivables 24.40%-443M-257.14%-33M-129.63%-310M86.63%-27M72.96%-73M-240.87%-586M-87.04%21M-455.26%-135M-183.13%-202M-900.00%-270M
-Change in payables and accrued expense 1,096.15%259M-17.07%34M200.00%129M-426.32%-100M315.38%196M82.78%-26M114.96%41M-82.16%43M88.55%-19M-289.58%-91M
-Change in other current assets 247.64%375M-12.14%970M-47.36%509M81.67%-299M-15.99%-805M-946.67%-254M-47.08%1.1B202.11%967M-178.38%-1.63B78.24%-694M
-Change in other current liabilities -201.87%-382M9.93%-862M47.48%-562M-87.96%173M-9.95%869M177.96%375M59.52%-957M-212.75%-1.07B167.62%1.44B-68.45%965M
-Change in other working capital 153.10%367M6.41%664M64.39%651M6.25%391M-7.72%-1.34B120.39%145M9.28%624M32.00%396M36.30%368M32.88%-1.24B
Cash from discontinued investing activities
Operating cash flow 18.99%4.96B31.03%2.62B-12.37%1.38B38.58%1.37B-3.55%-408M-15.96%4.17B1.27%2B-10.45%1.58B-40.12%985M6.64%-394M
Investing cash flow
Cash flow from continuing investing activities -213.24%-3B-1,551.08%-3.07B72.59%-74M158.01%163M90.09%-22M15.13%-959M55.29%-186M-26.17%-270M6.95%-281M-12.12%-222M
Net PPE purchase and sale 25.87%-255M27.42%-90M-20.51%-94M88.52%-7M20.99%-64M35.46%-344M7.46%-124M42.65%-78M47.41%-61M44.90%-81M
Net business purchase and sale -1,453.44%-2.94B---2.86B--0-----------189M--0---189M--------
Net investment purchase and sale 62.08%-179M-71.95%-141M41.67%-7M138.86%89M19.46%-120M29.24%-472M72.01%-82M88.35%-12M-13.93%-229M-112.86%-149M
Cash from discontinued investing activities
Investing cash flow -213.24%-3B-1,551.08%-3.07B72.59%-74M158.01%163M90.09%-22M15.13%-959M55.29%-186M-26.17%-270M6.95%-281M-12.12%-222M
Financing cash flow
Cash flow from continuing financing activities 212.25%2.24B-14.91%-578M421.09%2.36B-245.68%-641M191.71%1.1B63.40%-1.99B55.33%-503M29.60%-735M122.90%440M11.62%-1.19B
Net issuance payments of debt 274.55%4.42B-57.14%-33M16,086.67%2.4B-93.03%86M10,442.11%1.97B251.93%1.18B19.23%-21M---15M264.53%1.23B---19M
Net common stock issuance -2.44%-1.93B-0.52%-386M1.26%-391M-35.51%-519M12.07%-634M19.21%-1.88B23.96%-384M-3.13%-396M24.46%-383M22.97%-721M
Cash dividends paid -2.17%-3.1B-6.46%-791M-1.20%-757M-1.34%-758M0.13%-795M-1.51%-3.04B-1.64%-743M-1.63%-748M-1.49%-748M-1.27%-796M
Proceeds from stock option exercised by employees 388.42%464M393.18%217M250.00%84M--19M433.33%144M763.64%95M300.00%44M--24M--0--27M
Net other financing activities 44.40%2.39B-30.95%415M156.50%1.03B57.57%531M31.75%415M156.28%1.65B380.80%601M426.32%400M361.64%337M-15.09%315M
Cash from discontinued financing activities
Financing cash flow 212.25%2.24B-14.91%-578M421.09%2.36B-245.68%-641M191.71%1.1B63.40%-1.99B55.33%-503M29.60%-735M122.90%440M11.62%-1.19B
Net cash flow
Beginning cash position 17.76%8.75B91.65%14.05B49.54%10.25B65.89%9.39B17.76%8.75B-20.42%7.43B7.62%7.33B5.43%6.85B-22.23%5.66B-20.42%7.43B
Current changes in cash 244.98%4.19B-178.76%-1.03B542.21%3.67B-22.47%887M136.74%665M175.12%1.21B203.71%1.31B13.75%571M297.92%1.14B8.17%-1.81B
Effect of exchange rate changes -252.83%-162M-319.82%-244M259.55%142M-171.74%-33M-171.05%-27M136.43%106M-40.96%111M52.15%-89M122.66%46M142.22%38M
End cash Position 46.00%12.78B46.00%12.78B91.65%14.05B49.54%10.25B65.89%9.39B17.76%8.75B17.76%8.75B7.62%7.33B5.43%6.85B-22.23%5.66B
Free cash flow 23.03%4.7B34.90%2.53B-14.09%1.29B46.97%1.36B0.63%-472M-13.61%3.82B1.90%1.87B-7.76%1.5B-39.57%924M16.52%-475M
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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