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CMI Cummins

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  • 353.850
  • +2.720+0.77%
Close Dec 24 13:00 ET
  • 353.850
  • 0.0000.00%
Post 13:39 ET
48.54BMarket Cap23.17P/E (TTM)

Cummins Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-58.14%640M
-276.19%-851M
-44.24%276M
102.14%3.97B
78.58%1.46B
300.26%1.53B
-19.37%483M
201.83%495M
-13.03%1.96B
11.61%817M
Net income from continuing operations
22.17%843M
2.04%752M
151.61%2.03B
-61.52%840M
-316.30%-1.39B
68.70%690M
4.24%737M
90.54%806M
0.88%2.18B
61.00%644M
Operating gains losses
9,571.43%1.35B
104.55%2M
-2,024.24%-1.4B
-182.95%-73M
-75.79%23M
-70.83%14M
68.35%-44M
-178.57%-66M
--88M
--95M
Depreciation and amortization
3.50%266M
2.33%263M
7.72%265M
30.61%1.02B
10.00%264M
18.98%257M
53.89%257M
52.80%246M
18.43%784M
45.45%240M
Deferred tax
93.40%-7M
35.11%-61M
0.00%-38M
-66.79%-457M
-173.75%-219M
-29.27%-106M
-104.35%-94M
42.42%-38M
-4,014.29%-274M
-116.22%-80M
Other non cash items
-770.26%-1.31B
311.11%38M
-29.27%29M
15.05%214M
-101.96%-4M
214.04%195M
-113.74%-18M
86.36%41M
185.32%186M
10,100.00%204M
Change In working capital
-206.26%-509M
-419.72%-1.85B
-22.67%-606M
340.60%2.42B
1,074.83%2.79B
1,360.53%479M
-60.63%-355M
-7.39%-494M
-179.94%-1.01B
-272.29%-286M
-Change in receivables
43.62%270M
-971.43%-150M
98.23%-11M
52.65%-330M
132.14%117M
332.10%188M
-108.48%-14M
-48.92%-621M
-300.57%-697M
-303.35%-364M
-Change in inventory
-402.35%-257M
17.86%-115M
-34.60%-354M
--0
960.00%318M
185.86%85M
33.01%-140M
9.00%-263M
40.00%-567M
215.38%30M
-Change in payables and accrued expense
-216.54%-303M
-678.64%-1.6B
-112.41%-66M
679.35%2.87B
1,541.73%2.28B
209.52%260M
-134.09%-206M
128.33%532M
-51.45%368M
249.46%139M
-Change in other current assets
-305.56%-219M
380.00%24M
-23.24%-175M
-10.09%-120M
178.02%71M
-214.89%-54M
162.50%5M
-149.12%-142M
-5,550.00%-109M
-293.62%-91M
Cash from discontinued investing activities
Operating cash flow
-58.14%640M
-276.19%-851M
-44.24%276M
102.14%3.97B
78.58%1.46B
300.26%1.53B
-19.37%483M
201.83%495M
-13.03%1.96B
11.61%817M
Investing cash flow
Cash flow from continuing investing activities
-3.54%-263M
-5.82%-400M
-78.07%-406M
60.62%-1.64B
-15.83%-783M
91.30%-254M
33.22%-378M
-2,180.00%-228M
-377.89%-4.17B
-13.61%-676M
Capital expenditure reported
7.50%-259M
-8.60%-240M
12.44%-169M
-32.42%-1.21B
-12.10%-519M
-38.61%-280M
-50.34%-221M
-85.58%-193M
-24.80%-916M
-24.46%-463M
Net business purchase and sale
--0
100.75%1M
---233M
90.85%-292M
9.84%-165M
100.25%7M
59.15%-134M
--0
---3.19B
-6,000.00%-183M
Net investment purchase and sale
46.30%79M
-70.21%-80M
173.68%52M
-196.15%-75M
-3,266.67%-101M
1.89%54M
-62.07%-47M
-66.67%19M
158.65%78M
98.38%-3M
Net other investing changes
-137.14%-83M
-437.50%-81M
-3.70%-56M
55.94%-63M
107.41%2M
-337.50%-35M
138.71%24M
-17.39%-54M
-2,283.33%-143M
47.06%-27M
Cash from discontinued investing activities
Investing cash flow
-3.54%-263M
-5.82%-400M
-78.07%-406M
60.62%-1.64B
-15.83%-783M
91.30%-254M
33.22%-378M
-2,180.00%-228M
-377.89%-4.17B
-13.61%-676M
Financing cash flow
Cash flow from continuing financing activities
47.85%-243M
228.33%308M
237.47%499M
-230.44%-2.18B
-150.68%-1.11B
-118.63%-466M
-326.42%-240M
26.96%-363M
174.94%1.67B
-198.65%-442M
Net issuance payments of debt
213.79%33M
2,866.67%581M
696.09%763M
-137.46%-1.05B
-222.06%-876M
-101.07%-29M
-105.40%-21M
-966.67%-128M
70,450.00%2.81B
-216.24%-272M
Net common stock issuance
----
----
----
--0
----
----
----
----
73.32%-374M
98.01%-4M
Cash dividends paid
-5.04%-250M
-3.14%-230M
-7.66%-239M
-7.72%-921M
-7.21%-238M
-7.21%-238M
-9.31%-223M
-7.25%-222M
-5.69%-855M
-6.73%-222M
Net other financing activities
86.93%-26M
-1,175.00%-43M
-92.31%-25M
-340.48%-202M
-89.29%6M
-623.68%-199M
109.30%4M
-139.39%-13M
800.00%84M
107.41%56M
Cash from discontinued financing activities
Financing cash flow
47.85%-243M
228.33%308M
237.47%499M
-230.44%-2.18B
-150.68%-1.11B
-118.63%-466M
-326.42%-240M
26.96%-363M
174.94%1.67B
-198.65%-442M
Net cash flow
Beginning cash position
-11.76%1.59B
28.33%2.54B
3.71%2.18B
-18.94%2.1B
4.52%2.61B
-26.81%1.8B
-13.01%1.98B
-18.94%2.1B
-23.79%2.59B
-3.44%2.5B
Current changes in cash
-83.44%134M
-598.52%-943M
484.38%369M
126.99%146M
-43.52%-432M
2,347.22%809M
-197.12%-135M
72.01%-96M
35.90%-541M
-2,636.36%-301M
Effect of exchange rate changes
800.00%9M
81.40%-8M
72.00%-7M
-236.00%-68M
98.97%-1M
-98.63%1M
-191.49%-43M
-192.59%-25M
42.86%50M
-746.67%-97M
End cash Position
-33.65%1.73B
-11.76%1.59B
28.33%2.54B
3.71%2.18B
3.71%2.18B
4.52%2.61B
-26.81%1.8B
-13.01%1.98B
-18.94%2.1B
-18.94%2.1B
Free cash flow
-69.50%381M
-516.41%-1.09B
-64.57%107M
163.19%2.75B
165.54%940M
593.89%1.25B
-42.04%262M
403.33%302M
-31.27%1.05B
-10.61%354M
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
--
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -58.14%640M-276.19%-851M-44.24%276M102.14%3.97B78.58%1.46B300.26%1.53B-19.37%483M201.83%495M-13.03%1.96B11.61%817M
Net income from continuing operations 22.17%843M2.04%752M151.61%2.03B-61.52%840M-316.30%-1.39B68.70%690M4.24%737M90.54%806M0.88%2.18B61.00%644M
Operating gains losses 9,571.43%1.35B104.55%2M-2,024.24%-1.4B-182.95%-73M-75.79%23M-70.83%14M68.35%-44M-178.57%-66M--88M--95M
Depreciation and amortization 3.50%266M2.33%263M7.72%265M30.61%1.02B10.00%264M18.98%257M53.89%257M52.80%246M18.43%784M45.45%240M
Deferred tax 93.40%-7M35.11%-61M0.00%-38M-66.79%-457M-173.75%-219M-29.27%-106M-104.35%-94M42.42%-38M-4,014.29%-274M-116.22%-80M
Other non cash items -770.26%-1.31B311.11%38M-29.27%29M15.05%214M-101.96%-4M214.04%195M-113.74%-18M86.36%41M185.32%186M10,100.00%204M
Change In working capital -206.26%-509M-419.72%-1.85B-22.67%-606M340.60%2.42B1,074.83%2.79B1,360.53%479M-60.63%-355M-7.39%-494M-179.94%-1.01B-272.29%-286M
-Change in receivables 43.62%270M-971.43%-150M98.23%-11M52.65%-330M132.14%117M332.10%188M-108.48%-14M-48.92%-621M-300.57%-697M-303.35%-364M
-Change in inventory -402.35%-257M17.86%-115M-34.60%-354M--0960.00%318M185.86%85M33.01%-140M9.00%-263M40.00%-567M215.38%30M
-Change in payables and accrued expense -216.54%-303M-678.64%-1.6B-112.41%-66M679.35%2.87B1,541.73%2.28B209.52%260M-134.09%-206M128.33%532M-51.45%368M249.46%139M
-Change in other current assets -305.56%-219M380.00%24M-23.24%-175M-10.09%-120M178.02%71M-214.89%-54M162.50%5M-149.12%-142M-5,550.00%-109M-293.62%-91M
Cash from discontinued investing activities
Operating cash flow -58.14%640M-276.19%-851M-44.24%276M102.14%3.97B78.58%1.46B300.26%1.53B-19.37%483M201.83%495M-13.03%1.96B11.61%817M
Investing cash flow
Cash flow from continuing investing activities -3.54%-263M-5.82%-400M-78.07%-406M60.62%-1.64B-15.83%-783M91.30%-254M33.22%-378M-2,180.00%-228M-377.89%-4.17B-13.61%-676M
Capital expenditure reported 7.50%-259M-8.60%-240M12.44%-169M-32.42%-1.21B-12.10%-519M-38.61%-280M-50.34%-221M-85.58%-193M-24.80%-916M-24.46%-463M
Net business purchase and sale --0100.75%1M---233M90.85%-292M9.84%-165M100.25%7M59.15%-134M--0---3.19B-6,000.00%-183M
Net investment purchase and sale 46.30%79M-70.21%-80M173.68%52M-196.15%-75M-3,266.67%-101M1.89%54M-62.07%-47M-66.67%19M158.65%78M98.38%-3M
Net other investing changes -137.14%-83M-437.50%-81M-3.70%-56M55.94%-63M107.41%2M-337.50%-35M138.71%24M-17.39%-54M-2,283.33%-143M47.06%-27M
Cash from discontinued investing activities
Investing cash flow -3.54%-263M-5.82%-400M-78.07%-406M60.62%-1.64B-15.83%-783M91.30%-254M33.22%-378M-2,180.00%-228M-377.89%-4.17B-13.61%-676M
Financing cash flow
Cash flow from continuing financing activities 47.85%-243M228.33%308M237.47%499M-230.44%-2.18B-150.68%-1.11B-118.63%-466M-326.42%-240M26.96%-363M174.94%1.67B-198.65%-442M
Net issuance payments of debt 213.79%33M2,866.67%581M696.09%763M-137.46%-1.05B-222.06%-876M-101.07%-29M-105.40%-21M-966.67%-128M70,450.00%2.81B-216.24%-272M
Net common stock issuance --------------0----------------73.32%-374M98.01%-4M
Cash dividends paid -5.04%-250M-3.14%-230M-7.66%-239M-7.72%-921M-7.21%-238M-7.21%-238M-9.31%-223M-7.25%-222M-5.69%-855M-6.73%-222M
Net other financing activities 86.93%-26M-1,175.00%-43M-92.31%-25M-340.48%-202M-89.29%6M-623.68%-199M109.30%4M-139.39%-13M800.00%84M107.41%56M
Cash from discontinued financing activities
Financing cash flow 47.85%-243M228.33%308M237.47%499M-230.44%-2.18B-150.68%-1.11B-118.63%-466M-326.42%-240M26.96%-363M174.94%1.67B-198.65%-442M
Net cash flow
Beginning cash position -11.76%1.59B28.33%2.54B3.71%2.18B-18.94%2.1B4.52%2.61B-26.81%1.8B-13.01%1.98B-18.94%2.1B-23.79%2.59B-3.44%2.5B
Current changes in cash -83.44%134M-598.52%-943M484.38%369M126.99%146M-43.52%-432M2,347.22%809M-197.12%-135M72.01%-96M35.90%-541M-2,636.36%-301M
Effect of exchange rate changes 800.00%9M81.40%-8M72.00%-7M-236.00%-68M98.97%-1M-98.63%1M-191.49%-43M-192.59%-25M42.86%50M-746.67%-97M
End cash Position -33.65%1.73B-11.76%1.59B28.33%2.54B3.71%2.18B3.71%2.18B4.52%2.61B-26.81%1.8B-13.01%1.98B-18.94%2.1B-18.94%2.1B
Free cash flow -69.50%381M-516.41%-1.09B-64.57%107M163.19%2.75B165.54%940M593.89%1.25B-42.04%262M403.33%302M-31.27%1.05B-10.61%354M
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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