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EMR Emerson Electric

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  • 108.460
  • +0.190+0.18%
Close Nov 1 16:00 ET
  • 108.460
  • 0.0000.00%
Post 16:15 ET
62.12BMarket Cap36.03P/E (TTM)

Emerson Electric Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Jun 30, 2024
(Q2)Mar 31, 2024
(Q1)Dec 31, 2023
(FY)Sep 30, 2023
(Q4)Sep 30, 2023
(Q3)Jun 30, 2023
(Q2)Mar 31, 2023
(Q1)Dec 31, 2022
(FY)Sep 30, 2022
(Q4)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
23.87%1.04B
31.65%757M
47.02%444M
33.11%2.73B
23.86%1.01B
75.78%842M
51.72%575M
-19.89%302M
-16.68%2.05B
410.31%813M
Net income from continuing operations
-32.72%440M
-0.40%503M
-59.26%132M
12.96%2.13B
42.16%644M
156.47%654M
17.72%505M
-56.57%324M
32.98%1.88B
291.14%453M
Operating gains losses
--279M
----
----
44.33%-275M
----
----
----
----
-3,700.00%-494M
-13.89%-41M
Depreciation and amortization
62.26%417M
61.22%424M
62.31%422M
24.82%1.05B
0.00%271M
15.77%257M
53.80%263M
46.07%260M
10.50%842M
545.24%271M
Other non cash items
-121.79%-346M
71.21%-38M
166.32%63M
-6,025.00%-237M
210.64%146M
-405.88%-156M
-45.05%-132M
-3,066.67%-95M
105.63%4M
11.90%47M
Change In working capital
535.48%197M
-24.75%-126M
14.53%-247M
39.10%-190M
244.90%169M
149.21%31M
41.62%-101M
-131.20%-289M
-286.83%-312M
162.03%49M
-Change in receivables
254.90%79M
8.51%-129M
20.51%94M
-33.57%-191M
55.75%-77M
-264.29%-51M
-11.02%-141M
-54.65%78M
-694.44%-143M
-85.11%-174M
-Change in inventory
130.00%12M
296.15%51M
49.74%-97M
52.10%-160M
421.05%99M
56.04%-40M
69.41%-26M
-9.04%-193M
-2,936.36%-334M
-87.25%19M
-Change in payables and accrued expense
42.74%167M
-68.97%18M
-28.19%-241M
-26.70%162M
-5.41%175M
9.35%117M
3.57%58M
-48.03%-188M
-23.00%221M
265.18%185M
-Change in other current assets
-1,320.00%-61M
-925.00%-66M
-121.43%-3M
98.21%-1M
-247.37%-28M
107.69%5M
147.06%8M
100.00%14M
38.46%-56M
186.36%19M
Cash from discontinued investing activities
197.92%47M
97.24%-14M
-125.00%-29M
-339.02%-2.09B
-508.42%-1.65B
-118.39%-48M
-904.76%-507M
-20.55%116M
-21.75%874M
404M
Operating cash flow
37.28%1.09B
992.65%743M
-0.72%415M
-78.20%637M
-152.83%-643M
7.30%794M
-84.62%68M
-20.08%418M
-18.27%2.92B
42.34%1.22B
Investing cash flow
Cash flow from continuing investing activities
-113.80%-110M
67.83%-37M
-12,516.42%-8.45B
97.98%-115M
-170.37%-730M
114.08%797M
-40.24%-115M
-120.36%-67M
-185.48%-5.68B
-225.30%-270M
Capital expenditure reported
-26.03%-92M
-32.26%-82M
-30.51%-77M
-21.40%-363M
-69.00%-169M
-23.73%-73M
7.46%-62M
19.18%-59M
25.99%-299M
-85.19%-100M
Net business purchase and sale
--0
--76M
-55,693.33%-8.34B
87.60%-705M
-41.73%-720M
--0
--0
-96.24%15M
-263.96%-5.69B
-1,136.73%-508M
Net investment purchase and sale
----
----
----
-59.82%176M
----
----
----
----
--438M
----
Net other investing changes
-102.07%-18M
41.51%-31M
-60.87%-37M
663.04%777M
83.00%-17M
4,054.55%870M
-178.95%-53M
-866.67%-23M
-452.00%-138M
-28.21%-100M
Cash from discontinued investing activities
Investing cash flow
-100.72%-75M
75.66%-37M
-392.86%-8.45B
332.75%12.42B
-90.81%-685M
301.91%10.37B
-20.63%-152M
912.63%2.89B
-151.60%-5.33B
-69.34%-359M
Financing cash flow
Cash flow from continuing financing activities
68.46%-1.03B
-213.48%-442M
170.98%2.06B
-433.15%-6.82B
65.47%-521M
-5,731.03%-3.27B
-107.43%-141M
-280.82%-2.9B
184.56%2.05B
-33.42%-1.51B
Net issuance payments of debt
76.20%-658M
-150.00%-85M
583.03%2.65B
-187.84%-3.24B
91.18%-99M
-741.53%-2.77B
-92.42%170M
-125.62%-548M
554.56%3.69B
-84.24%-1.12B
Net common stock issuance
41.00%-59M
---57M
87.65%-247M
-342.80%-2.21B
-39.02%-114M
24.81%-100M
--0
-690.51%-2B
0.00%-500M
64.66%-82M
Cash dividends paid
-1.35%-301M
-1.01%-300M
1.96%-300M
2.04%-1.2B
2.30%-298M
2.62%-297M
2.94%-297M
0.33%-306M
-1.07%-1.22B
-1.33%-305M
Net other financing activities
88.46%-12M
--0
-9.76%-45M
-311.25%-169M
---10M
-260.00%-104M
-100.00%-14M
-286.36%-41M
-20.00%80M
--0
Cash from discontinued financing activities
Financing cash flow
68.46%-1.03B
-213.48%-442M
170.98%2.06B
-433.15%-6.82B
65.47%-521M
-5,731.03%-3.27B
-107.43%-141M
-280.82%-2.9B
184.56%2.05B
-33.42%-1.51B
Net cash flow
Beginning cash position
13.29%2.32B
-8.59%2.08B
346.29%8.05B
-23.36%1.8B
293.71%9.96B
-70.47%2.05B
-51.95%2.27B
-23.36%1.8B
-28.99%2.35B
-11.57%2.53B
Current changes in cash
-100.19%-15M
217.33%264M
-1,562.59%-5.98B
1,811.26%6.23B
-184.02%-1.85B
282.06%7.89B
-110.16%-225M
-83.02%409M
62.36%-364M
-33.40%-651M
Effect of exchange rate changes
-129.41%-5M
---22M
-87.93%7M
109.68%18M
22.97%-57M
126.56%17M
--0
256.76%58M
-3,200.00%-186M
-311.11%-74M
End cash Position
-76.92%2.3B
13.29%2.32B
-8.59%2.08B
346.29%8.05B
346.29%8.05B
293.71%9.96B
-70.47%2.05B
-51.95%2.27B
-23.36%1.8B
-23.36%1.8B
Free cash flow
38.42%998M
10,916.67%661M
-5.85%338M
-89.55%274M
-172.69%-812M
5.87%721M
-98.40%6M
-20.22%359M
-17.28%2.62B
39.45%1.12B
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)Jun 30, 2024(Q2)Mar 31, 2024(Q1)Dec 31, 2023(FY)Sep 30, 2023(Q4)Sep 30, 2023(Q3)Jun 30, 2023(Q2)Mar 31, 2023(Q1)Dec 31, 2022(FY)Sep 30, 2022(Q4)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 23.87%1.04B31.65%757M47.02%444M33.11%2.73B23.86%1.01B75.78%842M51.72%575M-19.89%302M-16.68%2.05B410.31%813M
Net income from continuing operations -32.72%440M-0.40%503M-59.26%132M12.96%2.13B42.16%644M156.47%654M17.72%505M-56.57%324M32.98%1.88B291.14%453M
Operating gains losses --279M--------44.33%-275M-----------------3,700.00%-494M-13.89%-41M
Depreciation and amortization 62.26%417M61.22%424M62.31%422M24.82%1.05B0.00%271M15.77%257M53.80%263M46.07%260M10.50%842M545.24%271M
Other non cash items -121.79%-346M71.21%-38M166.32%63M-6,025.00%-237M210.64%146M-405.88%-156M-45.05%-132M-3,066.67%-95M105.63%4M11.90%47M
Change In working capital 535.48%197M-24.75%-126M14.53%-247M39.10%-190M244.90%169M149.21%31M41.62%-101M-131.20%-289M-286.83%-312M162.03%49M
-Change in receivables 254.90%79M8.51%-129M20.51%94M-33.57%-191M55.75%-77M-264.29%-51M-11.02%-141M-54.65%78M-694.44%-143M-85.11%-174M
-Change in inventory 130.00%12M296.15%51M49.74%-97M52.10%-160M421.05%99M56.04%-40M69.41%-26M-9.04%-193M-2,936.36%-334M-87.25%19M
-Change in payables and accrued expense 42.74%167M-68.97%18M-28.19%-241M-26.70%162M-5.41%175M9.35%117M3.57%58M-48.03%-188M-23.00%221M265.18%185M
-Change in other current assets -1,320.00%-61M-925.00%-66M-121.43%-3M98.21%-1M-247.37%-28M107.69%5M147.06%8M100.00%14M38.46%-56M186.36%19M
Cash from discontinued investing activities 197.92%47M97.24%-14M-125.00%-29M-339.02%-2.09B-508.42%-1.65B-118.39%-48M-904.76%-507M-20.55%116M-21.75%874M404M
Operating cash flow 37.28%1.09B992.65%743M-0.72%415M-78.20%637M-152.83%-643M7.30%794M-84.62%68M-20.08%418M-18.27%2.92B42.34%1.22B
Investing cash flow
Cash flow from continuing investing activities -113.80%-110M67.83%-37M-12,516.42%-8.45B97.98%-115M-170.37%-730M114.08%797M-40.24%-115M-120.36%-67M-185.48%-5.68B-225.30%-270M
Capital expenditure reported -26.03%-92M-32.26%-82M-30.51%-77M-21.40%-363M-69.00%-169M-23.73%-73M7.46%-62M19.18%-59M25.99%-299M-85.19%-100M
Net business purchase and sale --0--76M-55,693.33%-8.34B87.60%-705M-41.73%-720M--0--0-96.24%15M-263.96%-5.69B-1,136.73%-508M
Net investment purchase and sale -------------59.82%176M------------------438M----
Net other investing changes -102.07%-18M41.51%-31M-60.87%-37M663.04%777M83.00%-17M4,054.55%870M-178.95%-53M-866.67%-23M-452.00%-138M-28.21%-100M
Cash from discontinued investing activities
Investing cash flow -100.72%-75M75.66%-37M-392.86%-8.45B332.75%12.42B-90.81%-685M301.91%10.37B-20.63%-152M912.63%2.89B-151.60%-5.33B-69.34%-359M
Financing cash flow
Cash flow from continuing financing activities 68.46%-1.03B-213.48%-442M170.98%2.06B-433.15%-6.82B65.47%-521M-5,731.03%-3.27B-107.43%-141M-280.82%-2.9B184.56%2.05B-33.42%-1.51B
Net issuance payments of debt 76.20%-658M-150.00%-85M583.03%2.65B-187.84%-3.24B91.18%-99M-741.53%-2.77B-92.42%170M-125.62%-548M554.56%3.69B-84.24%-1.12B
Net common stock issuance 41.00%-59M---57M87.65%-247M-342.80%-2.21B-39.02%-114M24.81%-100M--0-690.51%-2B0.00%-500M64.66%-82M
Cash dividends paid -1.35%-301M-1.01%-300M1.96%-300M2.04%-1.2B2.30%-298M2.62%-297M2.94%-297M0.33%-306M-1.07%-1.22B-1.33%-305M
Net other financing activities 88.46%-12M--0-9.76%-45M-311.25%-169M---10M-260.00%-104M-100.00%-14M-286.36%-41M-20.00%80M--0
Cash from discontinued financing activities
Financing cash flow 68.46%-1.03B-213.48%-442M170.98%2.06B-433.15%-6.82B65.47%-521M-5,731.03%-3.27B-107.43%-141M-280.82%-2.9B184.56%2.05B-33.42%-1.51B
Net cash flow
Beginning cash position 13.29%2.32B-8.59%2.08B346.29%8.05B-23.36%1.8B293.71%9.96B-70.47%2.05B-51.95%2.27B-23.36%1.8B-28.99%2.35B-11.57%2.53B
Current changes in cash -100.19%-15M217.33%264M-1,562.59%-5.98B1,811.26%6.23B-184.02%-1.85B282.06%7.89B-110.16%-225M-83.02%409M62.36%-364M-33.40%-651M
Effect of exchange rate changes -129.41%-5M---22M-87.93%7M109.68%18M22.97%-57M126.56%17M--0256.76%58M-3,200.00%-186M-311.11%-74M
End cash Position -76.92%2.3B13.29%2.32B-8.59%2.08B346.29%8.05B346.29%8.05B293.71%9.96B-70.47%2.05B-51.95%2.27B-23.36%1.8B-23.36%1.8B
Free cash flow 38.42%998M10,916.67%661M-5.85%338M-89.55%274M-172.69%-812M5.87%721M-98.40%6M-20.22%359M-17.28%2.62B39.45%1.12B
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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