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FDX FedEx

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  • 241.070
  • -1.250-0.52%
Close Mar 25 16:00 ET
  • 241.006
  • -0.064-0.03%
Post 20:01 ET
57.76BMarket Cap15.17P/E (TTM)

FedEx Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Feb 28, 2025
(Q2)Nov 30, 2024
(Q1)Aug 31, 2024
(FY)May 31, 2024
(Q4)May 31, 2024
(Q3)Feb 29, 2024
(Q2)Nov 30, 2023
(Q1)Aug 31, 2023
(FY)May 31, 2023
(Q4)May 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
24.97%2.01B
-25.70%1.32B
-46.77%1.19B
-6.06%8.31B
-21.73%2.7B
-29.26%1.61B
16.86%1.77B
38.77%2.23B
-10.01%8.85B
-1.57%3.45B
Net income from continuing operations
3.41%909M
-17.67%741M
-26.35%794M
9.04%4.33B
-4.16%1.47B
14.01%879M
14.21%900M
23.20%1.08B
3.82%3.97B
175.63%1.54B
Operating gains losses
----
----
----
13.69%-561M
----
----
----
----
-141.19%-650M
----
Depreciation and amortization
-0.56%1.07B
2.21%1.06B
0.65%1.08B
2.66%4.29B
2.70%1.1B
3.98%1.07B
-0.57%1.04B
4.59%1.07B
5.19%4.18B
5.60%1.08B
Other non cash items
8.82%753M
29.84%966M
14.20%748M
-15.74%2.95B
-18.67%854M
-22.77%692M
-5.70%744M
-13.82%655M
17.12%3.5B
116.05%1.05B
Change In working capital
25.04%-880M
-51.36%-1.61B
-119.65%-1.61B
-9.27%-3.43B
-494.02%-461M
-107.05%-1.17B
19.77%-1.06B
46.30%-733M
-0.67%-3.14B
-13.33%117M
-Change in receivables
-32.93%387M
-37.97%-774M
-142.06%-305M
-134.53%-270M
-139.12%-160M
-34.80%577M
27.24%-561M
-148.65%-126M
352.26%782M
267.62%409M
-Change in payables and accrued expense
25.35%-1.3B
-94.46%-982M
-135.11%-1.11B
23.36%-2.55B
-22.17%158M
-12.73%-1.74B
3.07%-505M
68.09%-470M
-78.99%-3.33B
-80.31%203M
-Change in other current assets
577.78%43M
433.33%112M
-70.23%-223M
-189.58%-43M
-51.90%76M
-108.65%-9M
147.73%21M
22.94%-131M
130.38%48M
105.19%158M
-Change in other working capital
-133.33%-14M
294.44%35M
483.33%23M
11.58%-565M
18.07%-535M
62.50%-6M
-263.64%-18M
-131.58%-6M
19.11%-639M
10.43%-653M
Cash from discontinued investing activities
Operating cash flow
24.97%2.01B
-25.70%1.32B
-46.77%1.19B
-6.06%8.31B
-21.73%2.7B
-29.26%1.61B
16.86%1.77B
38.77%2.23B
-10.01%8.85B
-1.57%3.45B
Investing cash flow
Cash flow from continuing investing activities
22.39%-1.05B
39.46%-804M
37.34%-802M
15.78%-5.2B
29.24%-1.23B
-10.41%-1.36B
29.77%-1.33B
2.22%-1.28B
9.42%-6.17B
26.20%-1.74B
Capital expenditure reported
27.70%-997M
37.32%-818M
40.54%-767M
16.16%-5.18B
31.47%-1.2B
-7.90%-1.38B
29.76%-1.31B
-0.47%-1.29B
8.71%-6.17B
26.43%-1.75B
Net investment purchase and sale
-490.91%-65M
90.41%-7M
-2,300.00%-48M
-64.29%-138M
-2,500.00%-52M
-175.00%-11M
-69.77%-73M
94.29%-2M
42.86%-84M
0.00%-2M
Net other investing changes
-75.00%8M
-58.00%21M
8.33%13M
35.71%114M
66.67%20M
-38.46%32M
400.00%50M
20.00%12M
-10.64%84M
-47.83%12M
Cash from discontinued investing activities
Investing cash flow
22.39%-1.05B
39.46%-804M
37.34%-802M
15.78%-5.2B
29.24%-1.23B
-10.41%-1.36B
29.77%-1.33B
2.22%-1.28B
9.42%-6.17B
26.20%-1.74B
Financing cash flow
Cash flow from continuing financing activities
34.42%-863M
-69.41%-1.34B
-33.29%-969M
-31.92%-3.43B
-194.53%-592M
-269.66%-1.32B
55.88%-791M
-194.33%-727M
13.98%-2.6B
4.74%-201M
Net issuance payments of debt
14.29%-42M
53.57%-13M
48.48%-34M
3.29%-147M
86.21%-4M
46.15%-49M
-833.33%-28M
-127.59%-66M
5.59%-152M
39.58%-29M
Net common stock issuance
50.85%-465M
-120.63%-984M
-73.76%-596M
-58.31%-2.01B
-334.19%-274M
-3,884.00%-946M
70.11%-446M
-523.46%-343M
38.52%-1.27B
254.55%117M
Cash dividends paid
-5.73%-332M
-6.31%-337M
-6.60%-339M
-6.97%-1.26B
-7.27%-310M
-8.28%-314M
-6.02%-317M
-6.35%-318M
-48.42%-1.18B
-48.21%-289M
Net other financing activities
---24M
----
----
-1,200.00%-11M
---4M
----
----
----
200.00%1M
--0
Cash from discontinued financing activities
Financing cash flow
34.42%-863M
-69.41%-1.34B
-33.29%-969M
-31.92%-3.43B
-194.53%-592M
-269.66%-1.32B
55.88%-791M
-194.33%-727M
13.98%-2.6B
4.74%-201M
Net cash flow
Beginning cash position
-25.26%5.03B
-15.76%5.94B
-5.18%6.5B
-0.59%6.86B
5.04%5.64B
44.83%6.73B
2.99%7.06B
-0.59%6.86B
-2.68%6.9B
-11.41%5.37B
Current changes in cash
108.93%95M
-139.42%-826M
-361.88%-584M
-507.79%-314M
-41.94%872M
-254.20%-1.06B
84.07%-345M
337.25%223M
2,666.67%77M
61.85%1.5B
Effect of exchange rate changes
152.38%11M
-563.16%-88M
208.33%26M
65.25%-41M
21.05%-15M
-156.76%-21M
150.00%19M
75.51%-24M
36.90%-118M
80.21%-19M
End cash Position
-9.02%5.14B
-25.26%5.03B
-15.76%5.94B
-5.18%6.5B
-5.18%6.5B
5.04%5.64B
44.83%6.73B
2.99%7.06B
-0.59%6.86B
-0.59%6.86B
Free cash flow
339.39%1.02B
6.61%500M
-55.32%420M
17.28%3.14B
-11.64%1.5B
-76.85%231M
237.94%469M
191.02%940M
-12.87%2.67B
51.43%1.69B
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)Feb 28, 2025(Q2)Nov 30, 2024(Q1)Aug 31, 2024(FY)May 31, 2024(Q4)May 31, 2024(Q3)Feb 29, 2024(Q2)Nov 30, 2023(Q1)Aug 31, 2023(FY)May 31, 2023(Q4)May 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 24.97%2.01B-25.70%1.32B-46.77%1.19B-6.06%8.31B-21.73%2.7B-29.26%1.61B16.86%1.77B38.77%2.23B-10.01%8.85B-1.57%3.45B
Net income from continuing operations 3.41%909M-17.67%741M-26.35%794M9.04%4.33B-4.16%1.47B14.01%879M14.21%900M23.20%1.08B3.82%3.97B175.63%1.54B
Operating gains losses ------------13.69%-561M-----------------141.19%-650M----
Depreciation and amortization -0.56%1.07B2.21%1.06B0.65%1.08B2.66%4.29B2.70%1.1B3.98%1.07B-0.57%1.04B4.59%1.07B5.19%4.18B5.60%1.08B
Other non cash items 8.82%753M29.84%966M14.20%748M-15.74%2.95B-18.67%854M-22.77%692M-5.70%744M-13.82%655M17.12%3.5B116.05%1.05B
Change In working capital 25.04%-880M-51.36%-1.61B-119.65%-1.61B-9.27%-3.43B-494.02%-461M-107.05%-1.17B19.77%-1.06B46.30%-733M-0.67%-3.14B-13.33%117M
-Change in receivables -32.93%387M-37.97%-774M-142.06%-305M-134.53%-270M-139.12%-160M-34.80%577M27.24%-561M-148.65%-126M352.26%782M267.62%409M
-Change in payables and accrued expense 25.35%-1.3B-94.46%-982M-135.11%-1.11B23.36%-2.55B-22.17%158M-12.73%-1.74B3.07%-505M68.09%-470M-78.99%-3.33B-80.31%203M
-Change in other current assets 577.78%43M433.33%112M-70.23%-223M-189.58%-43M-51.90%76M-108.65%-9M147.73%21M22.94%-131M130.38%48M105.19%158M
-Change in other working capital -133.33%-14M294.44%35M483.33%23M11.58%-565M18.07%-535M62.50%-6M-263.64%-18M-131.58%-6M19.11%-639M10.43%-653M
Cash from discontinued investing activities
Operating cash flow 24.97%2.01B-25.70%1.32B-46.77%1.19B-6.06%8.31B-21.73%2.7B-29.26%1.61B16.86%1.77B38.77%2.23B-10.01%8.85B-1.57%3.45B
Investing cash flow
Cash flow from continuing investing activities 22.39%-1.05B39.46%-804M37.34%-802M15.78%-5.2B29.24%-1.23B-10.41%-1.36B29.77%-1.33B2.22%-1.28B9.42%-6.17B26.20%-1.74B
Capital expenditure reported 27.70%-997M37.32%-818M40.54%-767M16.16%-5.18B31.47%-1.2B-7.90%-1.38B29.76%-1.31B-0.47%-1.29B8.71%-6.17B26.43%-1.75B
Net investment purchase and sale -490.91%-65M90.41%-7M-2,300.00%-48M-64.29%-138M-2,500.00%-52M-175.00%-11M-69.77%-73M94.29%-2M42.86%-84M0.00%-2M
Net other investing changes -75.00%8M-58.00%21M8.33%13M35.71%114M66.67%20M-38.46%32M400.00%50M20.00%12M-10.64%84M-47.83%12M
Cash from discontinued investing activities
Investing cash flow 22.39%-1.05B39.46%-804M37.34%-802M15.78%-5.2B29.24%-1.23B-10.41%-1.36B29.77%-1.33B2.22%-1.28B9.42%-6.17B26.20%-1.74B
Financing cash flow
Cash flow from continuing financing activities 34.42%-863M-69.41%-1.34B-33.29%-969M-31.92%-3.43B-194.53%-592M-269.66%-1.32B55.88%-791M-194.33%-727M13.98%-2.6B4.74%-201M
Net issuance payments of debt 14.29%-42M53.57%-13M48.48%-34M3.29%-147M86.21%-4M46.15%-49M-833.33%-28M-127.59%-66M5.59%-152M39.58%-29M
Net common stock issuance 50.85%-465M-120.63%-984M-73.76%-596M-58.31%-2.01B-334.19%-274M-3,884.00%-946M70.11%-446M-523.46%-343M38.52%-1.27B254.55%117M
Cash dividends paid -5.73%-332M-6.31%-337M-6.60%-339M-6.97%-1.26B-7.27%-310M-8.28%-314M-6.02%-317M-6.35%-318M-48.42%-1.18B-48.21%-289M
Net other financing activities ---24M---------1,200.00%-11M---4M------------200.00%1M--0
Cash from discontinued financing activities
Financing cash flow 34.42%-863M-69.41%-1.34B-33.29%-969M-31.92%-3.43B-194.53%-592M-269.66%-1.32B55.88%-791M-194.33%-727M13.98%-2.6B4.74%-201M
Net cash flow
Beginning cash position -25.26%5.03B-15.76%5.94B-5.18%6.5B-0.59%6.86B5.04%5.64B44.83%6.73B2.99%7.06B-0.59%6.86B-2.68%6.9B-11.41%5.37B
Current changes in cash 108.93%95M-139.42%-826M-361.88%-584M-507.79%-314M-41.94%872M-254.20%-1.06B84.07%-345M337.25%223M2,666.67%77M61.85%1.5B
Effect of exchange rate changes 152.38%11M-563.16%-88M208.33%26M65.25%-41M21.05%-15M-156.76%-21M150.00%19M75.51%-24M36.90%-118M80.21%-19M
End cash Position -9.02%5.14B-25.26%5.03B-15.76%5.94B-5.18%6.5B-5.18%6.5B5.04%5.64B44.83%6.73B2.99%7.06B-0.59%6.86B-0.59%6.86B
Free cash flow 339.39%1.02B6.61%500M-55.32%420M17.28%3.14B-11.64%1.5B-76.85%231M237.94%469M191.02%940M-12.87%2.67B51.43%1.69B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--

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