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CSCO Cisco

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  • 47.380
  • +0.620+1.33%
Close Jul 12 16:00 ET
  • 47.350
  • -0.030-0.06%
Post 19:58 ET
190.89BMarket Cap16.01P/E (TTM)

Cisco Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Apr 27, 2024
(Q2)Jan 27, 2024
(Q1)Oct 28, 2023
(FY)Jul 29, 2023
(Q4)Jul 29, 2023
(Q3)Apr 29, 2023
(Q2)Jan 28, 2023
(Q1)Oct 29, 2022
(FY)Jul 30, 2022
(Q4)Jul 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-23.91%3.97B
-82.95%808M
-40.16%2.37B
50.36%19.89B
62.25%5.97B
42.56%5.22B
92.56%4.74B
15.61%3.96B
-14.42%13.23B
-18.36%3.68B
Net income from continuing operations
-41.28%1.89B
-5.01%2.63B
36.25%3.64B
6.78%12.61B
40.60%3.96B
5.52%3.21B
-6.73%2.77B
-10.40%2.67B
11.53%11.81B
-6.45%2.82B
Operating gains losses
-85.82%19M
627.27%116M
-32.06%89M
145.47%206M
-317.65%-37M
191.16%134M
80.36%-22M
162.09%131M
-27.97%-453M
111.11%17M
Depreciation and amortization
90.91%861M
-3.65%422M
-3.37%401M
-11.80%1.73B
-1.86%422M
-5.65%451M
-15.12%438M
-22.14%415M
5.10%1.96B
-12.07%430M
Deferred tax
214.66%571M
36.74%-303M
-40.16%-513M
-574.76%-2.09B
-422.54%-742M
-1,617.24%-498M
-1,097.50%-479M
-273.47%-366M
19.53%-309M
51.86%-142M
Change In working capital
-114.24%-184M
-300.91%-2.87B
-413.46%-1.91B
392.80%5.04B
2,277.78%1.71B
736.45%1.29B
205.07%1.43B
363.64%609M
-186.79%-1.72B
-93.02%72M
-Change in receivables
19.59%470M
-117.39%-96M
-40.06%1B
691.38%1.84B
26.38%-784M
7.97%393M
432.53%552M
52.41%1.68B
-84.22%232M
-13.30%-1.07B
-Change in inventory
127.08%88M
129.28%135M
384.26%307M
-3.79%-1.07B
49.57%-175M
-83.62%-325M
-99.57%-461M
60.73%-108M
-322.13%-1.03B
-2,268.75%-347M
-Change in payables and accrued expense
54.39%176M
---241M
-659.52%-235M
149.09%27M
-12,800.00%-129M
-41.84%114M
--0
145.16%42M
-3.77%-55M
98.70%-1M
-Change in other current assets
109.63%21M
-206.60%-113M
8.23%-290M
100.31%5M
235.31%433M
57.67%-218M
117.38%106M
-85.88%-316M
-102.63%-1.62B
43.26%-320M
-Change in other current liabilities
114.61%39M
-20.00%148M
-12.81%-273M
-91.03%48M
-12.68%372M
-1,807.14%-267M
-26.59%185M
-87.60%-242M
1,263.04%535M
-18.55%426M
-Change in other working capital
-161.32%-978M
-358.26%-2.7B
-447.96%-2.42B
1,888.15%4.2B
44.67%2B
2,898.25%1.6B
333.71%1.05B
33.33%-442M
-87.24%211M
-33.51%1.38B
Cash from discontinued investing activities
Operating cash flow
-23.91%3.97B
-82.95%808M
-40.16%2.37B
50.36%19.89B
62.25%5.97B
42.56%5.22B
92.56%4.74B
15.61%3.96B
-14.42%13.23B
-18.36%3.68B
Investing cash flow
Cash flow from continuing investing activities
-779.53%-22.82B
547.98%2.21B
219.15%952M
-428.85%-5.11B
-240.39%-1.22B
-497.24%-2.59B
-147.00%-494M
21.67%-799M
129.39%1.55B
149.71%869M
Net PPE purchase and sale
37.78%-168M
0.00%-170M
23.86%-134M
-119.17%-846M
-325.93%-230M
-157.14%-270M
-60.38%-170M
-45.45%-176M
41.87%-386M
63.51%-54M
Net business purchase and sale
-26,777.42%-25B
33.33%-2M
---876M
19.30%-301M
---205M
-675.00%-93M
88.00%-3M
--0
94.70%-373M
--0
Net investment purchase and sale
205.57%2.35B
841.30%2.39B
425.21%1.96B
-269.06%-3.93B
-184.83%-783M
-387.60%-2.23B
-126.99%-322M
-7.10%-603M
-5.90%2.33B
-23.15%923M
Net other investing changes
80.00%-1M
-300.00%-2M
105.00%1M
-73.33%-26M
---2M
-25.00%-5M
--1M
---20M
73.21%-15M
--0
Cash from discontinued investing activities
Investing cash flow
-779.53%-22.82B
547.98%2.21B
219.15%952M
-428.85%-5.11B
-240.39%-1.22B
-497.24%-2.59B
-147.00%-494M
21.67%-799M
129.39%1.55B
149.71%869M
Financing cash flow
Cash flow from continuing financing activities
502.63%14.07B
141.09%1.08B
-33.10%-3.8B
27.16%-11.63B
26.76%-2.65B
12.63%-3.5B
39.96%-2.63B
28.09%-2.86B
-31.95%-15.96B
-55.48%-3.62B
Net issuance payments of debt
3,537.20%17.19B
--3.94B
-24.58%-750M
41.85%-1.1B
--0
75.00%-500M
--0
69.90%-602M
36.94%-1.9B
2,040.00%97M
Net common stock issuance
-18.80%-2.04B
10.00%-702M
-118.83%-1.45B
45.73%-4.19B
51.59%-1.03B
-117.39%-1.71B
82.24%-780M
-63.55%-664M
-169.02%-7.72B
-222.36%-2.13B
Cash dividends paid
-1.38%-1.62B
-1.47%-1.58B
-1.28%-1.58B
-1.25%-6.3B
-1.40%-1.59B
-2.44%-1.59B
-1.23%-1.56B
0.06%-1.56B
-0.99%-6.22B
-0.32%-1.57B
Net other financing activities
72.35%536M
-99.65%-571M
41.38%-17M
73.77%-32M
-100.00%-28M
-9.33%311M
36.16%-286M
-866.67%-29M
-106.78%-122M
85.71%-14M
Cash from discontinued financing activities
Financing cash flow
502.63%14.07B
141.09%1.08B
-33.10%-3.8B
27.16%-11.63B
26.76%-2.65B
12.63%-3.5B
39.96%-2.63B
28.09%-2.86B
-31.95%-15.96B
-55.48%-3.62B
Net cash flow
Beginning cash position
44.81%15.22B
26.31%11.11B
35.53%11.63B
-13.71%8.58B
23.83%9.55B
40.27%10.51B
4.93%8.79B
-13.71%8.58B
-15.83%9.94B
4.76%7.71B
Current changes in cash
-448.51%-4.77B
153.24%4.1B
-254.87%-477M
366.53%3.15B
125.86%2.1B
-377.07%-870M
287.82%1.62B
119.71%308M
38.64%-1.18B
-63.25%928M
Effect of exchange rate changes
92.47%-7M
-86.73%13M
52.63%-45M
41.67%-105M
74.14%-15M
4.12%-93M
492.00%98M
---95M
-410.34%-180M
---58M
End cash Position
9.35%10.44B
44.81%15.22B
26.31%11.11B
35.53%11.63B
35.53%11.63B
23.83%9.55B
40.27%10.51B
4.93%8.79B
-13.71%8.58B
-13.71%8.58B
Free cash flow
-23.16%3.8B
-86.04%638M
-40.91%2.24B
49.32%19.04B
62.04%5.73B
39.21%4.95B
94.34%4.57B
14.55%3.79B
-13.64%12.75B
-18.52%3.54B
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
(Q3)Apr 27, 2024(Q2)Jan 27, 2024(Q1)Oct 28, 2023(FY)Jul 29, 2023(Q4)Jul 29, 2023(Q3)Apr 29, 2023(Q2)Jan 28, 2023(Q1)Oct 29, 2022(FY)Jul 30, 2022(Q4)Jul 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -23.91%3.97B-82.95%808M-40.16%2.37B50.36%19.89B62.25%5.97B42.56%5.22B92.56%4.74B15.61%3.96B-14.42%13.23B-18.36%3.68B
Net income from continuing operations -41.28%1.89B-5.01%2.63B36.25%3.64B6.78%12.61B40.60%3.96B5.52%3.21B-6.73%2.77B-10.40%2.67B11.53%11.81B-6.45%2.82B
Operating gains losses -85.82%19M627.27%116M-32.06%89M145.47%206M-317.65%-37M191.16%134M80.36%-22M162.09%131M-27.97%-453M111.11%17M
Depreciation and amortization 90.91%861M-3.65%422M-3.37%401M-11.80%1.73B-1.86%422M-5.65%451M-15.12%438M-22.14%415M5.10%1.96B-12.07%430M
Deferred tax 214.66%571M36.74%-303M-40.16%-513M-574.76%-2.09B-422.54%-742M-1,617.24%-498M-1,097.50%-479M-273.47%-366M19.53%-309M51.86%-142M
Change In working capital -114.24%-184M-300.91%-2.87B-413.46%-1.91B392.80%5.04B2,277.78%1.71B736.45%1.29B205.07%1.43B363.64%609M-186.79%-1.72B-93.02%72M
-Change in receivables 19.59%470M-117.39%-96M-40.06%1B691.38%1.84B26.38%-784M7.97%393M432.53%552M52.41%1.68B-84.22%232M-13.30%-1.07B
-Change in inventory 127.08%88M129.28%135M384.26%307M-3.79%-1.07B49.57%-175M-83.62%-325M-99.57%-461M60.73%-108M-322.13%-1.03B-2,268.75%-347M
-Change in payables and accrued expense 54.39%176M---241M-659.52%-235M149.09%27M-12,800.00%-129M-41.84%114M--0145.16%42M-3.77%-55M98.70%-1M
-Change in other current assets 109.63%21M-206.60%-113M8.23%-290M100.31%5M235.31%433M57.67%-218M117.38%106M-85.88%-316M-102.63%-1.62B43.26%-320M
-Change in other current liabilities 114.61%39M-20.00%148M-12.81%-273M-91.03%48M-12.68%372M-1,807.14%-267M-26.59%185M-87.60%-242M1,263.04%535M-18.55%426M
-Change in other working capital -161.32%-978M-358.26%-2.7B-447.96%-2.42B1,888.15%4.2B44.67%2B2,898.25%1.6B333.71%1.05B33.33%-442M-87.24%211M-33.51%1.38B
Cash from discontinued investing activities
Operating cash flow -23.91%3.97B-82.95%808M-40.16%2.37B50.36%19.89B62.25%5.97B42.56%5.22B92.56%4.74B15.61%3.96B-14.42%13.23B-18.36%3.68B
Investing cash flow
Cash flow from continuing investing activities -779.53%-22.82B547.98%2.21B219.15%952M-428.85%-5.11B-240.39%-1.22B-497.24%-2.59B-147.00%-494M21.67%-799M129.39%1.55B149.71%869M
Net PPE purchase and sale 37.78%-168M0.00%-170M23.86%-134M-119.17%-846M-325.93%-230M-157.14%-270M-60.38%-170M-45.45%-176M41.87%-386M63.51%-54M
Net business purchase and sale -26,777.42%-25B33.33%-2M---876M19.30%-301M---205M-675.00%-93M88.00%-3M--094.70%-373M--0
Net investment purchase and sale 205.57%2.35B841.30%2.39B425.21%1.96B-269.06%-3.93B-184.83%-783M-387.60%-2.23B-126.99%-322M-7.10%-603M-5.90%2.33B-23.15%923M
Net other investing changes 80.00%-1M-300.00%-2M105.00%1M-73.33%-26M---2M-25.00%-5M--1M---20M73.21%-15M--0
Cash from discontinued investing activities
Investing cash flow -779.53%-22.82B547.98%2.21B219.15%952M-428.85%-5.11B-240.39%-1.22B-497.24%-2.59B-147.00%-494M21.67%-799M129.39%1.55B149.71%869M
Financing cash flow
Cash flow from continuing financing activities 502.63%14.07B141.09%1.08B-33.10%-3.8B27.16%-11.63B26.76%-2.65B12.63%-3.5B39.96%-2.63B28.09%-2.86B-31.95%-15.96B-55.48%-3.62B
Net issuance payments of debt 3,537.20%17.19B--3.94B-24.58%-750M41.85%-1.1B--075.00%-500M--069.90%-602M36.94%-1.9B2,040.00%97M
Net common stock issuance -18.80%-2.04B10.00%-702M-118.83%-1.45B45.73%-4.19B51.59%-1.03B-117.39%-1.71B82.24%-780M-63.55%-664M-169.02%-7.72B-222.36%-2.13B
Cash dividends paid -1.38%-1.62B-1.47%-1.58B-1.28%-1.58B-1.25%-6.3B-1.40%-1.59B-2.44%-1.59B-1.23%-1.56B0.06%-1.56B-0.99%-6.22B-0.32%-1.57B
Net other financing activities 72.35%536M-99.65%-571M41.38%-17M73.77%-32M-100.00%-28M-9.33%311M36.16%-286M-866.67%-29M-106.78%-122M85.71%-14M
Cash from discontinued financing activities
Financing cash flow 502.63%14.07B141.09%1.08B-33.10%-3.8B27.16%-11.63B26.76%-2.65B12.63%-3.5B39.96%-2.63B28.09%-2.86B-31.95%-15.96B-55.48%-3.62B
Net cash flow
Beginning cash position 44.81%15.22B26.31%11.11B35.53%11.63B-13.71%8.58B23.83%9.55B40.27%10.51B4.93%8.79B-13.71%8.58B-15.83%9.94B4.76%7.71B
Current changes in cash -448.51%-4.77B153.24%4.1B-254.87%-477M366.53%3.15B125.86%2.1B-377.07%-870M287.82%1.62B119.71%308M38.64%-1.18B-63.25%928M
Effect of exchange rate changes 92.47%-7M-86.73%13M52.63%-45M41.67%-105M74.14%-15M4.12%-93M492.00%98M---95M-410.34%-180M---58M
End cash Position 9.35%10.44B44.81%15.22B26.31%11.11B35.53%11.63B35.53%11.63B23.83%9.55B40.27%10.51B4.93%8.79B-13.71%8.58B-13.71%8.58B
Free cash flow -23.16%3.8B-86.04%638M-40.91%2.24B49.32%19.04B62.04%5.73B39.21%4.95B94.34%4.57B14.55%3.79B-13.64%12.75B-18.52%3.54B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

Analysis

Analyst Rating

No Data

Price Target

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