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DFS Discover Financial Services

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  • 126.390
  • +1.290+1.03%
Close Aug 9 16:00 ET
  • 126.390
  • 0.0000.00%
Post 20:01 ET
31.73BMarket Cap11.16P/E (TTM)

Discover Financial Services Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q3)Sep 30, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
71.07%2.58B
2.90%1.84B
19.93%8.56B
32.23%2.88B
47.56%2.39B
-6.51%1.51B
3.29%1.79B
18.62%7.14B
62.07%2.18B
-0.12%1.62B
Net income from continuing operations
69.81%1.53B
-68.18%308M
-32.78%2.94B
-62.15%388M
-32.58%683M
-17.64%901M
-22.06%968M
-19.33%4.37B
-1.44%1.03B
-7.15%1.01B
Operating gains losses
114.29%15M
-46.67%16M
-80.84%50M
-33.33%10M
-85.00%3M
-86.79%7M
-82.66%30M
168.32%261M
-89.93%15M
-88.70%20M
Depreciation and amortization
-31.09%82M
-25.58%96M
-18.36%458M
-24.09%104M
-26.90%106M
-15.00%119M
-7.19%129M
5.65%561M
-4.86%137M
4.32%145M
Deferred tax
192.21%142M
-73.04%-199M
-44.57%-626M
-34.48%-156M
-16.86%-201M
-14.07%-154M
-1,050.00%-115M
-236.16%-433M
-65.71%-116M
-237.25%-172M
Other non cashItems
-22.62%-103M
-17.50%-94M
-49.17%-358M
-65.38%-86M
-45.95%-108M
-44.83%-84M
-42.86%-80M
-531.58%-240M
-8.33%-52M
-57.45%-74M
Change in working capital
129.47%173M
190.12%219M
-68.60%81M
149.82%707M
337.21%204M
-1,793.55%-587M
-364.13%-243M
616.00%258M
308.09%283M
-167.72%-86M
-Change in payables and accrued expense
157.34%250M
223.67%465M
-33.06%739M
19.26%929M
31,000.00%622M
-519.23%-436M
-271.69%-376M
147.53%1.1B
795.40%779M
-98.95%2M
-Change in other current assets
49.01%-77M
-284.96%-246M
22.22%-658M
55.24%-222M
-375.00%-418M
-11.85%-151M
204.72%133M
-70.56%-846M
-122.42%-496M
-39.68%-88M
Cash from discontinued operating activities
Operating cash flow
71.07%2.58B
2.90%1.84B
19.93%8.56B
32.23%2.88B
47.56%2.39B
-6.51%1.51B
3.29%1.79B
18.62%7.14B
62.07%2.18B
-0.12%1.62B
Investing cash flow
Cash flow from continuing investing activities
67.25%-2.49B
129.13%358M
16.17%-21.49B
47.58%-6.82B
22.08%-5.84B
-31.24%-7.6B
-285.93%-1.23B
-64,192.50%-25.64B
-283.78%-13.01B
-396.03%-7.49B
Net investment purchase and sale
101.28%18M
-66.30%31M
76.99%-1.25B
100.66%35M
101.71%24M
-418.59%-1.41B
-88.71%92M
-213.33%-5.45B
-643.14%-5.3B
-295.27%-1.4B
Net proceeds payment for loan
59.08%-2.5B
131.97%398M
0.14%-19.93B
11.42%-6.79B
3.73%-5.78B
1.13%-6.12B
-1,108.74%-1.25B
-336.40%-19.96B
-77.45%-7.66B
-175.55%-6.01B
Net PPE purchase and sale
92.68%-6M
6.58%-71M
-33.48%-303M
-38.78%-68M
2.53%-77M
-70.83%-82M
-49.02%-76M
-17.01%-227M
-2.08%-49M
-61.22%-79M
Cash from discontinued investing activities
Investing cash flow
67.25%-2.49B
129.13%358M
16.17%-21.49B
47.58%-6.82B
22.08%-5.84B
-31.24%-7.6B
-285.93%-1.23B
-64,192.50%-25.64B
-283.78%-13.01B
-396.03%-7.49B
Financing cash flow
Cash flow from continuing financing activities
-179.38%-3.63B
-26.99%514M
-1.89%15.76B
-18.12%6.44B
-35.63%4.04B
-23.83%4.58B
117.24%704M
293.15%16.06B
1,142.65%7.87B
268.05%6.27B
Increase decrease in deposit
-164.53%-2.09B
-63.60%1.49B
-10.19%17.25B
-43.82%4.9B
-22.46%5.02B
-17.48%3.24B
4,885.37%4.09B
523.74%19.21B
5,114.94%8.73B
437.24%6.48B
Net issuance payments of debt
-159.62%-1.33B
61.87%-755M
1,362.77%1.19B
2,208.54%1.73B
-525.27%-791M
-22.23%2.23B
35.38%-1.98B
89.51%-94M
-104.71%-82M
122.30%186M
Net commonstock issuance
96.85%-22M
97.97%-25M
18.01%-1.93B
100.33%2M
99.52%-1M
-16.72%-698M
-30.47%-1.23B
-4.35%-2.35B
22.31%-599M
74.17%-210M
Cash dividends paid
-0.52%-193M
-10.86%-194M
-6.97%-752M
-7.26%-192M
-6.63%-193M
-4.92%-192M
-9.38%-175M
-10.53%-703M
-10.49%-179M
-10.37%-181M
Cash from discontinued financing activities
Financing cash flow
-179.38%-3.63B
-26.99%514M
-1.89%15.76B
-18.12%6.44B
-35.63%4.04B
-23.83%4.58B
117.24%704M
293.15%16.06B
1,142.65%7.87B
268.05%6.27B
Net cash flow
Beginning cash position
42.11%14.44B
31.82%11.73B
-21.49%8.9B
-22.22%9.23B
-24.64%8.64B
5.39%10.16B
-21.49%8.9B
-16.61%11.33B
-6.89%11.87B
-29.92%11.47B
Current changes in cash
-133.44%-3.55B
114.45%2.72B
216.26%2.83B
183.92%2.5B
47.62%589M
-183.10%-1.52B
174.96%1.27B
-7.89%-2.44B
-109.96%-2.97B
111.02%399M
End cash position
26.06%10.9B
42.11%14.44B
31.82%11.73B
31.82%11.73B
-22.22%9.23B
-24.64%8.64B
5.39%10.16B
-21.49%8.9B
-21.49%8.9B
-6.89%11.87B
Free cash flow
76.35%2.51B
3.32%1.77B
19.64%8.26B
32.64%2.81B
50.13%2.31B
-8.89%1.43B
1.90%1.72B
18.52%6.9B
63.60%2.12B
-2.04%1.54B
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
(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(Q3)Sep 30, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities 71.07%2.58B2.90%1.84B19.93%8.56B32.23%2.88B47.56%2.39B-6.51%1.51B3.29%1.79B18.62%7.14B62.07%2.18B-0.12%1.62B
Net income from continuing operations 69.81%1.53B-68.18%308M-32.78%2.94B-62.15%388M-32.58%683M-17.64%901M-22.06%968M-19.33%4.37B-1.44%1.03B-7.15%1.01B
Operating gains losses 114.29%15M-46.67%16M-80.84%50M-33.33%10M-85.00%3M-86.79%7M-82.66%30M168.32%261M-89.93%15M-88.70%20M
Depreciation and amortization -31.09%82M-25.58%96M-18.36%458M-24.09%104M-26.90%106M-15.00%119M-7.19%129M5.65%561M-4.86%137M4.32%145M
Deferred tax 192.21%142M-73.04%-199M-44.57%-626M-34.48%-156M-16.86%-201M-14.07%-154M-1,050.00%-115M-236.16%-433M-65.71%-116M-237.25%-172M
Other non cashItems -22.62%-103M-17.50%-94M-49.17%-358M-65.38%-86M-45.95%-108M-44.83%-84M-42.86%-80M-531.58%-240M-8.33%-52M-57.45%-74M
Change in working capital 129.47%173M190.12%219M-68.60%81M149.82%707M337.21%204M-1,793.55%-587M-364.13%-243M616.00%258M308.09%283M-167.72%-86M
-Change in payables and accrued expense 157.34%250M223.67%465M-33.06%739M19.26%929M31,000.00%622M-519.23%-436M-271.69%-376M147.53%1.1B795.40%779M-98.95%2M
-Change in other current assets 49.01%-77M-284.96%-246M22.22%-658M55.24%-222M-375.00%-418M-11.85%-151M204.72%133M-70.56%-846M-122.42%-496M-39.68%-88M
Cash from discontinued operating activities
Operating cash flow 71.07%2.58B2.90%1.84B19.93%8.56B32.23%2.88B47.56%2.39B-6.51%1.51B3.29%1.79B18.62%7.14B62.07%2.18B-0.12%1.62B
Investing cash flow
Cash flow from continuing investing activities 67.25%-2.49B129.13%358M16.17%-21.49B47.58%-6.82B22.08%-5.84B-31.24%-7.6B-285.93%-1.23B-64,192.50%-25.64B-283.78%-13.01B-396.03%-7.49B
Net investment purchase and sale 101.28%18M-66.30%31M76.99%-1.25B100.66%35M101.71%24M-418.59%-1.41B-88.71%92M-213.33%-5.45B-643.14%-5.3B-295.27%-1.4B
Net proceeds payment for loan 59.08%-2.5B131.97%398M0.14%-19.93B11.42%-6.79B3.73%-5.78B1.13%-6.12B-1,108.74%-1.25B-336.40%-19.96B-77.45%-7.66B-175.55%-6.01B
Net PPE purchase and sale 92.68%-6M6.58%-71M-33.48%-303M-38.78%-68M2.53%-77M-70.83%-82M-49.02%-76M-17.01%-227M-2.08%-49M-61.22%-79M
Cash from discontinued investing activities
Investing cash flow 67.25%-2.49B129.13%358M16.17%-21.49B47.58%-6.82B22.08%-5.84B-31.24%-7.6B-285.93%-1.23B-64,192.50%-25.64B-283.78%-13.01B-396.03%-7.49B
Financing cash flow
Cash flow from continuing financing activities -179.38%-3.63B-26.99%514M-1.89%15.76B-18.12%6.44B-35.63%4.04B-23.83%4.58B117.24%704M293.15%16.06B1,142.65%7.87B268.05%6.27B
Increase decrease in deposit -164.53%-2.09B-63.60%1.49B-10.19%17.25B-43.82%4.9B-22.46%5.02B-17.48%3.24B4,885.37%4.09B523.74%19.21B5,114.94%8.73B437.24%6.48B
Net issuance payments of debt -159.62%-1.33B61.87%-755M1,362.77%1.19B2,208.54%1.73B-525.27%-791M-22.23%2.23B35.38%-1.98B89.51%-94M-104.71%-82M122.30%186M
Net commonstock issuance 96.85%-22M97.97%-25M18.01%-1.93B100.33%2M99.52%-1M-16.72%-698M-30.47%-1.23B-4.35%-2.35B22.31%-599M74.17%-210M
Cash dividends paid -0.52%-193M-10.86%-194M-6.97%-752M-7.26%-192M-6.63%-193M-4.92%-192M-9.38%-175M-10.53%-703M-10.49%-179M-10.37%-181M
Cash from discontinued financing activities
Financing cash flow -179.38%-3.63B-26.99%514M-1.89%15.76B-18.12%6.44B-35.63%4.04B-23.83%4.58B117.24%704M293.15%16.06B1,142.65%7.87B268.05%6.27B
Net cash flow
Beginning cash position 42.11%14.44B31.82%11.73B-21.49%8.9B-22.22%9.23B-24.64%8.64B5.39%10.16B-21.49%8.9B-16.61%11.33B-6.89%11.87B-29.92%11.47B
Current changes in cash -133.44%-3.55B114.45%2.72B216.26%2.83B183.92%2.5B47.62%589M-183.10%-1.52B174.96%1.27B-7.89%-2.44B-109.96%-2.97B111.02%399M
End cash position 26.06%10.9B42.11%14.44B31.82%11.73B31.82%11.73B-22.22%9.23B-24.64%8.64B5.39%10.16B-21.49%8.9B-21.49%8.9B-6.89%11.87B
Free cash flow 76.35%2.51B3.32%1.77B19.64%8.26B32.64%2.81B50.13%2.31B-8.89%1.43B1.90%1.72B18.52%6.9B63.60%2.12B-2.04%1.54B
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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