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(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 | |
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Operating Cash Flow (Indirect Method) | ||||||||||
Cash flow from continuing operating activities | 6.11%139M | -1,025.37%-620M | -133.87%-290M | -26.36%556M | 199.38%482M | -56.48%131M | -76.98%67M | -6,300.00%-124M | -7.25%755M | -22.60%161M |
Net income from continuing operations | -345.45%-27M | 118.35%69M | -64.14%52M | -141.00%-237M | 82.47%-17M | -95.44%11M | -288.00%-376M | -38.03%145M | -4.93%578M | -141.63%-97M |
Operating gains losses | 90.18%-11M | 20.00%-8M | -85.71%-13M | -117.07%-89M | 73.91%40M | -522.22%-112M | 75.00%-10M | -16.67%-7M | 58.59%-41M | 129.11%23M |
Depreciation and amortization | 2.63%78M | -5.13%74M | -10.13%71M | 5.50%307M | 0.00%74M | 7.04%76M | 8.33%78M | 6.76%79M | -8.20%291M | -1.33%74M |
Deferred tax | 66.67%-22M | 84.72%-11M | -200.00%-1M | -890.00%-158M | -250.00%-21M | -540.00%-66M | -157.14%-72M | -94.74%1M | 125.97%20M | 163.64%14M |
Other non cash items | -48.53%35M | -600.00%-7M | -400.00%-12M | 658.82%95M | 500.00%24M | 553.33%68M | 92.86%-1M | -50.00%4M | -270.00%-17M | 123.53%4M |
Change In working capital | -83.11%25M | -266.97%-743M | -10.86%-388M | 701.94%620M | 169.29%377M | --148M | 373.40%445M | -3.86%-350M | -590.48%-103M | 1,650.00%140M |
-Change in receivables | -220.41%-59M | -100.00%-112M | 13.66%-177M | -110.99%-10M | -41.79%202M | -40.96%49M | -24.44%-56M | 30.27%-205M | 140.44%91M | 194.07%347M |
-Change in inventory | -186.36%-76M | -45.71%19M | 34.62%-34M | 119.73%58M | 62.86%-13M | 150.87%88M | 145.45%35M | -477.78%-52M | -40.00%-294M | 73.48%-35M |
-Change in payables and accrued expense | 166.94%83M | 87.27%-21M | -256.82%-157M | -168.57%-72M | 256.29%261M | -237.78%-124M | -176.39%-165M | -29.41%-44M | -62.63%105M | -9.15%-167M |
-Change in other current assets | -125.00%-4M | -8.70%21M | 55.00%31M | --0 | ---59M | --16M | --23M | --20M | -1,300.00%-96M | ---- |
-Change in other current liabilities | -31.93%81M | -206.91%-650M | 26.09%-51M | 607.69%644M | ---14M | --119M | --608M | ---69M | -45.51%91M | ---- |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | 6.11%139M | -1,025.37%-620M | -133.87%-290M | -26.36%556M | 199.38%482M | -56.48%131M | -76.98%67M | -6,300.00%-124M | -7.25%755M | -22.60%161M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | -229.31%-75M | -16.67%-70M | -4.12%-101M | 19.37%-229M | -100.00%-130M | 178.38%58M | -71.43%-60M | 11.82%-97M | -229.09%-284M | -115.40%-65M |
Net PPE purchase and sale | 11.63%-76M | -25.86%-73M | -12.09%-102M | -20.52%-370M | -101.49%-135M | -19.44%-86M | 6.45%-58M | 14.15%-91M | -10.83%-307M | 19.28%-67M |
Net investment purchase and sale | 112.50%1M | -83.33%1M | 66.67%-2M | -366.67%-8M | --0 | -500.00%-8M | 50.00%6M | -20.00%-6M | 125.00%3M | 166.67%2M |
Net other investing changes | --0 | --2M | --3M | 645.00%149M | --5M | 3,900.00%152M | ---- | ---- | -96.07%20M | --0 |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | -229.31%-75M | -16.67%-70M | -4.12%-101M | 19.37%-229M | -100.00%-130M | 178.38%58M | -71.43%-60M | 11.82%-97M | -229.09%-284M | -115.40%-65M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | -108.31%-27M | 50.00%-40M | 20.59%-54M | 125.07%172M | 97.38%-5M | 285.71%325M | 38.93%-80M | 64.02%-68M | -23.83%-686M | 2.05%-191M |
Net issuance payments of debt | -106.42%-24M | 190.91%32M | -79.17%-43M | 591.25%393M | 557.14%32M | 723.33%374M | 283.33%11M | -242.86%-24M | 61.54%-80M | 89.39%-7M |
Net common stock issuance | 27.69%-47M | 253.85%20M | 200.00%27M | 86.06%-69M | --0 | 17.72%-65M | 89.84%-13M | 106.25%9M | -186.13%-495M | -54.84%-144M |
Cash dividends paid | -2.70%-38M | 2.63%-37M | 0.00%-37M | 3.25%-149M | 0.00%-37M | 5.13%-37M | 0.00%-38M | 7.50%-37M | 6.10%-154M | 9.76%-37M |
Proceeds from stock option exercised by employees | --0 | 0.00%7M | -50.00%1M | -62.75%19M | --1M | 200.00%9M | -83.33%7M | -66.67%2M | 121.74%51M | --0 |
Net other financing activities | 90.70%82M | -34.78%-62M | 88.89%-2M | -175.00%-22M | 66.67%-1M | --43M | -4,500.00%-46M | -350.00%-18M | 75.00%-8M | 0.00%-3M |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | -108.33%-27M | 49.37%-40M | 20.59%-54M | 125.07%172M | 97.38%-5M | 285.14%324M | 39.69%-79M | 64.02%-68M | -23.83%-686M | 2.05%-191M |
Net cash flow | ||||||||||
Beginning cash position | -34.50%619M | 32.52%1.35B | 38.57%1.81B | -15.93%1.3B | 5.77%1.45B | -29.90%945M | -17.99%1.02B | -15.93%1.3B | 40.36%1.55B | 20.95%1.37B |
Current changes in cash | -92.79%37M | -913.89%-730M | -53.98%-445M | 332.09%499M | 465.26%347M | 886.54%513M | -157.60%-72M | 2.69%-289M | -144.79%-215M | -121.84%-95M |
Effect of exchange rate changes | 190.91%10M | 0.00%-4M | -250.00%-9M | 112.50%4M | -58.06%13M | 65.63%-11M | 81.82%-4M | 166.67%6M | 5.88%-32M | 306.67%31M |
End cash Position | -53.97%666M | -34.50%619M | 32.52%1.35B | 38.57%1.81B | 38.57%1.81B | 5.77%1.45B | -29.90%945M | -17.99%1.02B | -15.93%1.3B | -15.93%1.3B |
Free cash flow | 40.00%63M | -7,800.00%-693M | -82.33%-392M | -58.48%186M | 269.15%347M | -80.35%45M | -96.07%9M | -106.73%-215M | -16.57%448M | -24.80%94M |
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 | -- |