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ELV Elevance Health

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  • 415.500
  • -9.890-2.32%
Trading Nov 12 15:23 ET
96.36BMarket Cap15.13P/E (TTM)

Elevance Health 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
2.45%2.68B
-77.08%447M
-69.42%1.98B
-4.02%8.06B
-95.72%-2.97B
-46.93%2.61B
-20.47%1.95B
154.58%6.47B
0.42%8.4B
-190.79%-1.52B
Net income from continuing operations
-22.46%1.01B
23.98%2.3B
12.23%2.25B
1.75%5.99B
-5.25%831M
-18.65%1.3B
13.59%1.86B
12.65%2B
-4.24%5.89B
-25.61%877M
Operating gains losses
26.45%153M
-195.12%-156M
31.47%188M
182.88%727M
145.08%299M
1,000.00%121M
30.16%164M
7,250.00%143M
129.20%257M
136.31%122M
Deferred tax
-800.00%-224M
-23.19%-170M
153.33%136M
-423.48%-602M
-454.41%-241M
1,700.00%32M
-62.35%-138M
-165.63%-255M
-133.63%-115M
-70.18%68M
Change in working capital
491.43%1.24B
-341.31%-1.96B
-124.37%-988M
-226.48%-535M
-38.81%-4.36B
-92.49%210M
-241.99%-443M
796.90%4.05B
-62.33%423M
-2,978.90%-3.14B
-Change in receivables
298.83%851M
-292.22%-1.06B
-872.41%-282M
29.80%-1.76B
43.50%-1.04B
-2,575.00%-428M
-139.36%-270M
97.85%-29M
-17.40%-2.51B
-373.39%-1.83B
-Change in loss and loss adjustment expense reserves
-78.40%-446M
-604.33%-1.4B
-89.87%31M
-93.90%147M
-122.60%-186M
-725.00%-250M
-39.25%277M
-71.98%306M
-4.44%2.41B
322.05%823M
-Change in payables and accrued expense
-59.67%628M
292.25%557M
-1,527.78%-257M
99.03%1.64B
-134.07%-77M
4,679.41%1.56B
-30.39%142M
-95.79%18M
14.60%824M
160.43%226M
-Change in other current assets
58.39%-171M
242.79%297M
-212.12%-1.13B
-623.61%-754M
-59.50%228M
-953.85%-411M
-462.16%-208M
-5.83%-363M
596.55%144M
13.28%563M
-Change in other working capital
247.29%380M
8.07%-353M
-84.16%653M
143.50%194M
-12.61%-3.29B
-109.07%-258M
61.48%-384M
561.64%4.12B
-1,029.17%-446M
-1,739.33%-2.92B
Cash from discontinued operating activities
Operating cash flow
2.45%2.68B
-77.08%447M
-69.42%1.98B
-4.02%8.06B
-95.72%-2.97B
-46.93%2.61B
-20.47%1.95B
154.58%6.47B
0.42%8.4B
-190.79%-1.52B
Investing cash flow
Cash flow from continuing investing activities
41.63%-401M
-21.73%-818M
27.45%-2.31B
-22.19%-5.57B
-456.06%-1.03B
44.91%-687M
66.80%-672M
-101.77%-3.18B
52.69%-4.56B
129.92%289M
Net investment purchase and sale
38.39%-199M
-221.12%-745M
52.85%-670M
-15.48%-2.7B
-372.18%-724M
61.46%-323M
76.13%-232M
-78.97%-1.42B
42.36%-2.34B
140.74%266M
Net PPE purchase and sale
-4.08%-332M
7.71%-323M
7.31%-279M
-12.50%-1.3B
-9.40%-326M
-4.59%-319M
-18.64%-350M
-18.50%-301M
-5.98%-1.15B
12.35%-298M
Net business purchase and sale
--0
3,138.46%395M
31.62%-1.12B
-139.14%-1.55B
169.23%18M
678.57%81M
97.63%-13M
-2,585.25%-1.64B
81.33%-649M
23.53%-26M
Net other investing changes
203.17%130M
-88.31%-145M
-236.93%-241M
94.30%-24M
-99.14%3M
-40.00%-126M
63.16%-77M
137.53%176M
58.68%-421M
468.85%347M
Cash from discontinued investing activities
Investing cash flow
41.63%-401M
-21.73%-818M
27.45%-2.31B
-22.19%-5.57B
-456.06%-1.03B
44.91%-687M
66.80%-672M
-101.77%-3.18B
52.69%-4.56B
129.92%289M
Financing cash flow
Cash flow from continuing financing activities
7.95%-915M
146.71%668M
106.03%32M
-154.10%-3.35B
-52.71%-394M
20.80%-994M
-1,025.98%-1.43B
-264.91%-531M
-411.58%-1.32B
80.38%-258M
Increase decrease in deposit
-278.02%-162M
80.00%108M
203.41%212M
-125.50%-77M
93.99%-23M
40.00%91M
-66.48%60M
-146.49%-205M
-68.41%302M
-417.57%-383M
Net issuance payments of debt
-24.31%-358M
350.37%1.34B
9.14%764M
-58.83%739M
-8.89%861M
39.24%-288M
-191.44%-534M
-5.41%700M
-23.39%1.8B
286.76%945M
Net common stock issuance
87.50%-60M
28.33%-463M
9.00%-566M
-15.54%-2.68B
-63.38%-928M
17.10%-480M
-3.53%-646M
-14.13%-622M
-21.89%-2.32B
-8.81%-568M
Cash dividends paid
-8.62%-378M
-8.00%-378M
-7.98%-379M
-13.51%-1.4B
-13.44%-346M
-13.73%-348M
-13.27%-350M
-13.59%-351M
-11.32%-1.23B
-11.72%-305M
Proceeds from stock option exercised by employees
54.84%48M
57.89%60M
125.58%97M
-16.48%152M
33.33%40M
-13.89%31M
-5.00%38M
-43.42%43M
-10.34%182M
-28.57%30M
Net other financing charges
---5M
100.00%4M
0.00%-96M
-76.92%-92M
-91.30%2M
--0
-33.33%2M
-18.52%-96M
30.67%-52M
27.78%23M
Cash from discontinued financing activities
Financing cash flow
7.95%-915M
146.71%668M
106.03%32M
-154.10%-3.35B
-52.71%-394M
20.80%-994M
-1,025.98%-1.43B
-264.91%-531M
-411.58%-1.32B
80.38%-258M
Net cash flow
Beginning cash position
-34.97%6.5B
-38.61%6.23B
-11.66%6.53B
51.37%7.39B
23.07%10.92B
54.76%9.99B
64.62%10.14B
51.37%7.39B
-15.00%4.88B
61.60%8.87B
Current changes in cash
46.03%1.36B
295.39%297M
-110.89%-300M
-134.11%-860M
-195.49%-4.39B
-61.52%932M
-150.50%-152M
114.32%2.75B
396.24%2.52B
-144.17%-1.49B
Effect of exchange rate changes
275.00%7M
-600.00%-5M
--0
92.86%-1M
-50.00%1M
33.33%-4M
116.67%1M
125.00%1M
-40.00%-14M
300.00%2M
End cash position
-27.96%7.87B
-34.97%6.5B
-38.61%6.23B
-11.66%6.53B
-11.66%6.53B
23.07%10.92B
54.76%9.99B
64.62%10.14B
51.37%7.39B
51.37%7.39B
Free cash flow
2.22%2.35B
-92.25%124M
-72.45%1.7B
-6.65%6.77B
-81.55%-3.3B
-50.34%2.29B
-25.82%1.6B
169.70%6.17B
-0.41%7.25B
-236.34%-1.82B
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 2.45%2.68B-77.08%447M-69.42%1.98B-4.02%8.06B-95.72%-2.97B-46.93%2.61B-20.47%1.95B154.58%6.47B0.42%8.4B-190.79%-1.52B
Net income from continuing operations -22.46%1.01B23.98%2.3B12.23%2.25B1.75%5.99B-5.25%831M-18.65%1.3B13.59%1.86B12.65%2B-4.24%5.89B-25.61%877M
Operating gains losses 26.45%153M-195.12%-156M31.47%188M182.88%727M145.08%299M1,000.00%121M30.16%164M7,250.00%143M129.20%257M136.31%122M
Deferred tax -800.00%-224M-23.19%-170M153.33%136M-423.48%-602M-454.41%-241M1,700.00%32M-62.35%-138M-165.63%-255M-133.63%-115M-70.18%68M
Change in working capital 491.43%1.24B-341.31%-1.96B-124.37%-988M-226.48%-535M-38.81%-4.36B-92.49%210M-241.99%-443M796.90%4.05B-62.33%423M-2,978.90%-3.14B
-Change in receivables 298.83%851M-292.22%-1.06B-872.41%-282M29.80%-1.76B43.50%-1.04B-2,575.00%-428M-139.36%-270M97.85%-29M-17.40%-2.51B-373.39%-1.83B
-Change in loss and loss adjustment expense reserves -78.40%-446M-604.33%-1.4B-89.87%31M-93.90%147M-122.60%-186M-725.00%-250M-39.25%277M-71.98%306M-4.44%2.41B322.05%823M
-Change in payables and accrued expense -59.67%628M292.25%557M-1,527.78%-257M99.03%1.64B-134.07%-77M4,679.41%1.56B-30.39%142M-95.79%18M14.60%824M160.43%226M
-Change in other current assets 58.39%-171M242.79%297M-212.12%-1.13B-623.61%-754M-59.50%228M-953.85%-411M-462.16%-208M-5.83%-363M596.55%144M13.28%563M
-Change in other working capital 247.29%380M8.07%-353M-84.16%653M143.50%194M-12.61%-3.29B-109.07%-258M61.48%-384M561.64%4.12B-1,029.17%-446M-1,739.33%-2.92B
Cash from discontinued operating activities
Operating cash flow 2.45%2.68B-77.08%447M-69.42%1.98B-4.02%8.06B-95.72%-2.97B-46.93%2.61B-20.47%1.95B154.58%6.47B0.42%8.4B-190.79%-1.52B
Investing cash flow
Cash flow from continuing investing activities 41.63%-401M-21.73%-818M27.45%-2.31B-22.19%-5.57B-456.06%-1.03B44.91%-687M66.80%-672M-101.77%-3.18B52.69%-4.56B129.92%289M
Net investment purchase and sale 38.39%-199M-221.12%-745M52.85%-670M-15.48%-2.7B-372.18%-724M61.46%-323M76.13%-232M-78.97%-1.42B42.36%-2.34B140.74%266M
Net PPE purchase and sale -4.08%-332M7.71%-323M7.31%-279M-12.50%-1.3B-9.40%-326M-4.59%-319M-18.64%-350M-18.50%-301M-5.98%-1.15B12.35%-298M
Net business purchase and sale --03,138.46%395M31.62%-1.12B-139.14%-1.55B169.23%18M678.57%81M97.63%-13M-2,585.25%-1.64B81.33%-649M23.53%-26M
Net other investing changes 203.17%130M-88.31%-145M-236.93%-241M94.30%-24M-99.14%3M-40.00%-126M63.16%-77M137.53%176M58.68%-421M468.85%347M
Cash from discontinued investing activities
Investing cash flow 41.63%-401M-21.73%-818M27.45%-2.31B-22.19%-5.57B-456.06%-1.03B44.91%-687M66.80%-672M-101.77%-3.18B52.69%-4.56B129.92%289M
Financing cash flow
Cash flow from continuing financing activities 7.95%-915M146.71%668M106.03%32M-154.10%-3.35B-52.71%-394M20.80%-994M-1,025.98%-1.43B-264.91%-531M-411.58%-1.32B80.38%-258M
Increase decrease in deposit -278.02%-162M80.00%108M203.41%212M-125.50%-77M93.99%-23M40.00%91M-66.48%60M-146.49%-205M-68.41%302M-417.57%-383M
Net issuance payments of debt -24.31%-358M350.37%1.34B9.14%764M-58.83%739M-8.89%861M39.24%-288M-191.44%-534M-5.41%700M-23.39%1.8B286.76%945M
Net common stock issuance 87.50%-60M28.33%-463M9.00%-566M-15.54%-2.68B-63.38%-928M17.10%-480M-3.53%-646M-14.13%-622M-21.89%-2.32B-8.81%-568M
Cash dividends paid -8.62%-378M-8.00%-378M-7.98%-379M-13.51%-1.4B-13.44%-346M-13.73%-348M-13.27%-350M-13.59%-351M-11.32%-1.23B-11.72%-305M
Proceeds from stock option exercised by employees 54.84%48M57.89%60M125.58%97M-16.48%152M33.33%40M-13.89%31M-5.00%38M-43.42%43M-10.34%182M-28.57%30M
Net other financing charges ---5M100.00%4M0.00%-96M-76.92%-92M-91.30%2M--0-33.33%2M-18.52%-96M30.67%-52M27.78%23M
Cash from discontinued financing activities
Financing cash flow 7.95%-915M146.71%668M106.03%32M-154.10%-3.35B-52.71%-394M20.80%-994M-1,025.98%-1.43B-264.91%-531M-411.58%-1.32B80.38%-258M
Net cash flow
Beginning cash position -34.97%6.5B-38.61%6.23B-11.66%6.53B51.37%7.39B23.07%10.92B54.76%9.99B64.62%10.14B51.37%7.39B-15.00%4.88B61.60%8.87B
Current changes in cash 46.03%1.36B295.39%297M-110.89%-300M-134.11%-860M-195.49%-4.39B-61.52%932M-150.50%-152M114.32%2.75B396.24%2.52B-144.17%-1.49B
Effect of exchange rate changes 275.00%7M-600.00%-5M--092.86%-1M-50.00%1M33.33%-4M116.67%1M125.00%1M-40.00%-14M300.00%2M
End cash position -27.96%7.87B-34.97%6.5B-38.61%6.23B-11.66%6.53B-11.66%6.53B23.07%10.92B54.76%9.99B64.62%10.14B51.37%7.39B51.37%7.39B
Free cash flow 2.22%2.35B-92.25%124M-72.45%1.7B-6.65%6.77B-81.55%-3.3B-50.34%2.29B-25.82%1.6B169.70%6.17B-0.41%7.25B-236.34%-1.82B
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

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Price Target

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