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CAR Avis Budget

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  • 109.150
  • -2.980-2.66%
Close Jul 18 16:00 ET
3.89BMarket Cap3.50P/E (TTM)

Avis Budget Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-28.08%589M
-18.67%3.83B
-6.15%793M
-15.96%1.25B
-21.26%963M
-28.66%819M
34.83%4.71B
-10.39%845M
15.31%1.49B
33.08%1.22B
Net income from continuing operations
-136.22%-113M
-40.67%1.64B
-38.68%260M
-39.19%627M
-43.67%436M
-40.80%312M
114.81%2.76B
11.29%424M
52.97%1.03B
94.47%774M
Operating gains losses
115.60%39M
36.11%-651M
68.10%-52M
59.89%-144M
-5.67%-205M
17.49%-250M
-352.89%-1.02B
-35.83%-163M
-147.59%-359M
-385.00%-194M
Depreciation and amortization
17.98%925M
22.73%3.45B
7.49%832M
34.33%990M
26.54%844M
23.85%784M
13.35%2.81B
4.88%774M
40.38%737M
1.99%667M
Deferred tax
----
-71.99%191M
----
----
----
----
80.42%682M
----
----
----
Other non cash items
-21.21%26M
6.38%-631M
-11.76%-874M
-1.89%104M
1,425.00%106M
230.00%33M
3.44%-674M
-0.26%-782M
0.00%106M
-200.00%-8M
Change In working capital
-333.82%-295M
-255.56%-196M
547.92%430M
-970.97%-332M
-927.27%-226M
-124.73%-68M
-48.15%126M
-128.15%-96M
-125.41%-31M
80.18%-22M
-Change in receivables
-142.00%-42M
55.67%-43M
61.33%-210M
-67.45%69M
-102.99%-2M
-40.12%100M
32.17%-97M
-223.21%-543M
15.22%212M
165.05%67M
-Change in payables and accrued expense
-43.90%46M
-133.18%-72M
49.49%-100M
-321.05%-80M
-80.15%26M
-72.94%82M
-47.58%217M
-842.86%-198M
-371.43%-19M
-46.96%131M
-Change in other current liabilities
-19.60%-299M
----
----
-43.30%-321M
-13.64%-250M
-28.21%-250M
----
----
-224.64%-224M
13.73%-220M
-Change in other working capital
----
-1,450.00%-81M
----
----
----
----
121.43%6M
----
----
----
Cash from discontinued investing activities
Operating cash flow
-28.08%589M
-18.67%3.83B
-6.15%793M
-15.96%1.25B
-21.26%963M
-28.66%819M
34.83%4.71B
-10.39%845M
15.31%1.49B
33.08%1.22B
Investing cash flow
Cash flow from continuing investing activities
9.54%-1.52B
-70.88%-7.35B
42.46%-416M
-683.67%-1.72B
-30.72%-3.54B
-44.03%-1.68B
31.83%-4.3B
47.42%-723M
132.81%294M
-1.35%-2.71B
Net PPE purchase and sale
7.13%-1.52B
-70.78%-7.06B
44.73%-372M
-671.33%-1.67B
-29.39%-3.37B
-42.94%-1.64B
32.11%-4.13B
48.11%-673M
133.95%293M
-1.68%-2.6B
Net investment purchase and sale
117.65%6M
-75.37%-235M
18.75%-39M
-142.11%-24M
-33.98%-138M
15.00%-34M
23.43%-134M
2.04%-48M
337.50%57M
0.00%-103M
Net other investing changes
----
-64.71%-56M
91.23%-5M
-1,700.00%-18M
-3,100.00%-30M
-113.04%-3M
26.09%-34M
-96.55%-57M
88.89%-1M
116.67%1M
Cash from discontinued investing activities
Investing cash flow
9.54%-1.52B
-70.88%-7.35B
42.46%-416M
-683.67%-1.72B
-30.72%-3.54B
-44.03%-1.68B
31.83%-4.3B
47.42%-723M
132.81%294M
-1.35%-2.71B
Financing cash flow
Cash flow from continuing financing activities
6.66%897M
1,073.89%3.51B
-112.61%-472M
129.77%512M
69.14%2.63B
2,703.33%841M
-113.40%-360M
-303.67%-222M
-101.88%-1.72B
-38.31%1.55B
Net issuance payments of debt
5.85%959M
64.63%4.88B
-69.83%162M
210.39%1.02B
38.60%2.79B
-32.24%906M
-28.74%2.96B
-8.36%537M
-1,093.55%-924M
-20.56%2.01B
Net common stock issuance
70.59%-15M
71.43%-951M
65.43%-261M
40.68%-490M
66.82%-149M
96.07%-51M
-128.01%-3.33B
-63.07%-755M
15.28%-826M
-14,866.67%-449M
Cash dividends paid
----
---355M
----
----
----
----
--0
----
----
----
Net other financing activities
-235.71%-47M
-1,200.00%-66M
-350.00%-18M
-160.00%-18M
-33.33%-16M
-75.00%-14M
154.55%6M
71.43%-4M
0.00%30M
20.00%-12M
Cash from discontinued financing activities
Financing cash flow
6.66%897M
1,073.89%3.51B
-112.61%-472M
129.77%512M
69.14%2.63B
2,703.33%841M
-113.40%-360M
-303.67%-222M
-101.88%-1.72B
-38.31%1.55B
Net cash flow
Beginning cash position
0.31%644M
2.56%642M
0.00%721M
-0.29%682M
-1.26%629M
2.56%642M
-18.17%626M
-23.70%721M
-51.52%684M
-0.31%637M
Current changes in cash
-77.78%-32M
-125.00%-12M
5.00%-95M
-24.62%49M
-25.71%52M
-238.46%-18M
137.50%48M
69.04%-100M
114.29%65M
-90.86%70M
Effect of exchange rate changes
-360.00%-13M
143.75%14M
-14.29%18M
64.29%-10M
104.35%1M
350.00%5M
-190.91%-32M
425.00%21M
-154.55%-28M
-483.33%-23M
End cash Position
-4.77%599M
0.31%644M
0.31%644M
0.00%721M
-0.29%682M
-1.26%629M
2.56%642M
2.56%642M
-23.70%721M
-51.52%684M
Free cash flow
-14.17%-3.55B
-92.87%-11.63B
-2.74%-1.88B
-1,008.70%-2.55B
-73.83%-4.1B
-92.14%-3.11B
9.61%-6.03B
-62.89%-1.83B
59.79%-230M
-3.88%-2.36B
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
--
--
--
(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(Q3)Sep 30, 2022(Q2)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -28.08%589M-18.67%3.83B-6.15%793M-15.96%1.25B-21.26%963M-28.66%819M34.83%4.71B-10.39%845M15.31%1.49B33.08%1.22B
Net income from continuing operations -136.22%-113M-40.67%1.64B-38.68%260M-39.19%627M-43.67%436M-40.80%312M114.81%2.76B11.29%424M52.97%1.03B94.47%774M
Operating gains losses 115.60%39M36.11%-651M68.10%-52M59.89%-144M-5.67%-205M17.49%-250M-352.89%-1.02B-35.83%-163M-147.59%-359M-385.00%-194M
Depreciation and amortization 17.98%925M22.73%3.45B7.49%832M34.33%990M26.54%844M23.85%784M13.35%2.81B4.88%774M40.38%737M1.99%667M
Deferred tax -----71.99%191M----------------80.42%682M------------
Other non cash items -21.21%26M6.38%-631M-11.76%-874M-1.89%104M1,425.00%106M230.00%33M3.44%-674M-0.26%-782M0.00%106M-200.00%-8M
Change In working capital -333.82%-295M-255.56%-196M547.92%430M-970.97%-332M-927.27%-226M-124.73%-68M-48.15%126M-128.15%-96M-125.41%-31M80.18%-22M
-Change in receivables -142.00%-42M55.67%-43M61.33%-210M-67.45%69M-102.99%-2M-40.12%100M32.17%-97M-223.21%-543M15.22%212M165.05%67M
-Change in payables and accrued expense -43.90%46M-133.18%-72M49.49%-100M-321.05%-80M-80.15%26M-72.94%82M-47.58%217M-842.86%-198M-371.43%-19M-46.96%131M
-Change in other current liabilities -19.60%-299M---------43.30%-321M-13.64%-250M-28.21%-250M---------224.64%-224M13.73%-220M
-Change in other working capital -----1,450.00%-81M----------------121.43%6M------------
Cash from discontinued investing activities
Operating cash flow -28.08%589M-18.67%3.83B-6.15%793M-15.96%1.25B-21.26%963M-28.66%819M34.83%4.71B-10.39%845M15.31%1.49B33.08%1.22B
Investing cash flow
Cash flow from continuing investing activities 9.54%-1.52B-70.88%-7.35B42.46%-416M-683.67%-1.72B-30.72%-3.54B-44.03%-1.68B31.83%-4.3B47.42%-723M132.81%294M-1.35%-2.71B
Net PPE purchase and sale 7.13%-1.52B-70.78%-7.06B44.73%-372M-671.33%-1.67B-29.39%-3.37B-42.94%-1.64B32.11%-4.13B48.11%-673M133.95%293M-1.68%-2.6B
Net investment purchase and sale 117.65%6M-75.37%-235M18.75%-39M-142.11%-24M-33.98%-138M15.00%-34M23.43%-134M2.04%-48M337.50%57M0.00%-103M
Net other investing changes -----64.71%-56M91.23%-5M-1,700.00%-18M-3,100.00%-30M-113.04%-3M26.09%-34M-96.55%-57M88.89%-1M116.67%1M
Cash from discontinued investing activities
Investing cash flow 9.54%-1.52B-70.88%-7.35B42.46%-416M-683.67%-1.72B-30.72%-3.54B-44.03%-1.68B31.83%-4.3B47.42%-723M132.81%294M-1.35%-2.71B
Financing cash flow
Cash flow from continuing financing activities 6.66%897M1,073.89%3.51B-112.61%-472M129.77%512M69.14%2.63B2,703.33%841M-113.40%-360M-303.67%-222M-101.88%-1.72B-38.31%1.55B
Net issuance payments of debt 5.85%959M64.63%4.88B-69.83%162M210.39%1.02B38.60%2.79B-32.24%906M-28.74%2.96B-8.36%537M-1,093.55%-924M-20.56%2.01B
Net common stock issuance 70.59%-15M71.43%-951M65.43%-261M40.68%-490M66.82%-149M96.07%-51M-128.01%-3.33B-63.07%-755M15.28%-826M-14,866.67%-449M
Cash dividends paid -------355M------------------0------------
Net other financing activities -235.71%-47M-1,200.00%-66M-350.00%-18M-160.00%-18M-33.33%-16M-75.00%-14M154.55%6M71.43%-4M0.00%30M20.00%-12M
Cash from discontinued financing activities
Financing cash flow 6.66%897M1,073.89%3.51B-112.61%-472M129.77%512M69.14%2.63B2,703.33%841M-113.40%-360M-303.67%-222M-101.88%-1.72B-38.31%1.55B
Net cash flow
Beginning cash position 0.31%644M2.56%642M0.00%721M-0.29%682M-1.26%629M2.56%642M-18.17%626M-23.70%721M-51.52%684M-0.31%637M
Current changes in cash -77.78%-32M-125.00%-12M5.00%-95M-24.62%49M-25.71%52M-238.46%-18M137.50%48M69.04%-100M114.29%65M-90.86%70M
Effect of exchange rate changes -360.00%-13M143.75%14M-14.29%18M64.29%-10M104.35%1M350.00%5M-190.91%-32M425.00%21M-154.55%-28M-483.33%-23M
End cash Position -4.77%599M0.31%644M0.31%644M0.00%721M-0.29%682M-1.26%629M2.56%642M2.56%642M-23.70%721M-51.52%684M
Free cash flow -14.17%-3.55B-92.87%-11.63B-2.74%-1.88B-1,008.70%-2.55B-73.83%-4.1B-92.14%-3.11B9.61%-6.03B-62.89%-1.83B59.79%-230M-3.88%-2.36B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

Analysis

Analyst Rating

No Data

Price Target

No Data

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