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(Q3)Sep 28, 2024 | (Q2)Jun 29, 2024 | (Q1)Mar 30, 2024 | (FY)Dec 30, 2023 | (Q4)Dec 30, 2023 | (Q3)Sep 30, 2023 | (Q2)Jul 1, 2023 | (Q1)Apr 1, 2023 | (FY)Dec 31, 2022 | (Q4)Dec 31, 2022 | |
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Operating Cash Flow (Indirect Method) | ||||||||||
Cash flow from continuing operating activities | -32.00%27.92M | 34.88%51.46M | -67.61%23.99M | 45.16%173.03M | 1,023.84%19.76M | 23.27%41.06M | -6.75%38.15M | 57.19%74.06M | -53.97%119.2M | -108.51%-2.14M |
Net income from continuing operations | 88.53%-8.47M | -155.66%-3.13M | -36.04%11.69M | -256.45%-65.9M | -72.63%-15.99M | -741.61%-73.8M | -42.33%5.61M | -39.40%18.27M | -67.15%42.12M | -248.91%-9.26M |
Operating gains losses | 116.67%32K | 104.91%124K | -124.48%-190K | 92.22%-1.27M | 92.51%668K | 96.79%-192K | -148.13%-2.53M | 107.98%776K | -398.39%-16.38M | 112.11%347K |
Depreciation and amortization | -7.03%22.69M | -9.90%21.93M | -0.35%25.31M | -4.29%101.42M | -11.22%27.27M | -1.79%24.41M | -3.58%24.34M | 0.99%25.4M | 4.09%105.97M | 5.34%30.72M |
Deferred tax | 8.39%-1.5M | -66.74%2.53M | -24.70%-7.95M | -154.33%-5.99M | -187.51%-5.58M | -243.25%-1.63M | 255.10%7.6M | -175.83%-6.38M | -33.99%11.02M | 192.56%6.37M |
Other non cash items | -63.92%1.16M | 49.89%6.08M | -33.89%1.68M | 40.25%10.95M | 388.44%1.15M | 17.17%3.21M | 54.16%4.06M | -10.58%2.54M | 13.21%7.81M | -116.23%-398K |
Change In working capital | -249.98%-4.47M | 314.00%15.62M | -132.92%-9.47M | 161.69%31.24M | 120.31%6.8M | 155.40%2.98M | -452.44%-7.3M | 307.80%28.76M | -371.83%-50.64M | -383.77%-33.5M |
-Change in receivables | 603.34%15.35M | 1,136.07%12.06M | 3,053.61%12.29M | 68.50%-7.82M | 33.67%-10.56M | 1,028.94%2.18M | 147.82%976K | 93.72%-416K | -2,199.49%-24.82M | -917.90%-15.92M |
-Change in inventory | 548.75%2.7M | 1,525.38%26.01M | 99.54%-6K | 75.43%-457K | 88.58%-146K | -109.01%-601K | 159.63%1.6M | 71.33%-1.31M | 87.50%-1.86M | -3,972.73%-1.28M |
-Change in payables and accrued expense | -749.10%-10.41M | -2.97%-10.83M | -172.30%-6.76M | 141.27%2.28M | 226.22%4.67M | -20.08%-1.23M | -1,894.54%-10.52M | 83.91%9.35M | 278.30%945K | 68.60%-3.7M |
-Change in other current assets | 57.36%834K | 79.82%-153K | -53.25%1.4M | 69.12%-3.17M | 55.47%-5.94M | -35.68%530K | -304.31%-758K | 59.84%3M | 8.08%-10.27M | -206.13%-13.34M |
-Change in other current liabilities | -675.94%-12.47M | -170.95%-4.72M | -227.38%-14.7M | 246.59%32.48M | 310.63%12.13M | 124.58%2.17M | -58.93%6.65M | 148.50%11.54M | -354.67%-22.16M | -128.73%-5.76M |
-Change in other working capital | -558.33%-474K | -28.52%-6.75M | -125.65%-1.69M | 5.47%7.93M | 2.28%6.65M | 97.43%-72K | 49.30%-5.25M | -53.45%6.6M | 26.05%7.51M | 170.03%6.5M |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | -32.00%27.92M | 34.88%51.46M | -67.61%23.99M | 45.16%173.03M | 1,023.84%19.76M | 23.27%41.06M | -6.75%38.15M | 57.19%74.06M | -53.97%119.2M | -108.51%-2.14M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | 12.48%-24.33M | 27.00%-19.83M | 34.06%-18.21M | -4.44%-115.82M | -33.90%-33.24M | 8.49%-27.79M | 1.62%-27.17M | 1.65%-27.62M | -19.37%-110.89M | 31.89%-24.83M |
Net PPE purchase and sale | 14.29%-23.87M | 25.73%-19.61M | 27.80%-20.01M | -1.08%-114.77M | -19.62%-32.81M | 8.42%-27.85M | 4.41%-26.4M | 1.34%-27.72M | -18.88%-113.55M | 25.05%-27.43M |
Net other investing changes | -1,001.96%-460K | 70.43%-228K | 1,602.83%1.81M | -139.50%-1.05M | -116.69%-434K | 54.55%51K | ---771K | 430.00%106K | 1.34%2.65M | 1,718.18%2.6M |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | 12.48%-24.33M | 27.00%-19.83M | 34.06%-18.21M | -4.44%-115.82M | -33.90%-33.24M | 8.49%-27.79M | 1.62%-27.17M | 1.65%-27.62M | -19.37%-110.89M | 31.89%-24.83M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | -4,766.81%-101.91M | 33.50%-2.27M | 81.95%-5.17M | -61.80%-136.81M | -151,045.59%-102.64M | -106.10%-2.09M | 95.37%-3.41M | -188.32%-28.66M | 63.91%-84.56M | 100.06%68K |
Net issuance payments of debt | -4,054.08%-100.7M | -158.89%-2.56M | -79.30%-2.77M | -2,633.08%-106.92M | -22,607.80%-101.96M | -95.33%-2.42M | 10.81%-990K | -39.03%-1.55M | 97.73%-3.91M | 99.12%-449K |
Net common stock issuance | 47.58%487K | -34.22%296K | 91.15%-2.4M | 67.04%-26.58M | -146.81%-242K | 46.67%330K | 100.62%450K | -207.12%-27.12M | -31.22%-80.64M | 100.73%517K |
Net other financing activities | ---- | ---- | ---- | ---3.31M | ---443K | --0 | ---- | ---- | ---- | ---- |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | -4,766.81%-101.91M | 33.50%-2.27M | 81.95%-5.17M | -61.80%-136.81M | -151,045.59%-102.64M | -106.10%-2.09M | 95.37%-3.41M | -188.32%-28.66M | 63.91%-84.56M | 100.06%68K |
Net cash flow | ||||||||||
Beginning cash position | -29.30%180.99M | -38.96%151.63M | -34.51%151.03M | -24.85%230.62M | 3.74%267.15M | 0.15%255.98M | -21.38%248.41M | -24.85%230.62M | -18.20%306.88M | -41.53%257.52M |
Current changes in cash | -980.35%-98.32M | 287.69%29.36M | -96.60%605K | -4.39%-79.6M | -331.72%-116.13M | 482.58%11.17M | 112.54%7.57M | 95.48%17.79M | -11.67%-76.25M | 79.86%-26.9M |
End cash Position | -69.05%82.68M | -29.30%180.99M | -38.96%151.63M | -34.51%151.03M | -34.51%151.03M | 3.74%267.15M | 0.15%255.98M | -21.38%248.41M | -24.85%230.62M | -24.85%230.62M |
Free cash flow | -69.31%4.05M | 171.04%31.86M | -91.43%3.97M | 930.95%58.26M | 55.87%-13.05M | 355.55%13.21M | -11.61%11.75M | 143.65%46.34M | -96.54%5.65M | -157.90%-29.57M |
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 with Explanatory Notes | -- |
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