US Stock MarketDetailed Quotes

FI Fiserv

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  • 210.290
  • +0.840+0.40%
Close Dec 26 16:00 ET
  • 209.010
  • -1.280-0.61%
Pre 06:10 ET
119.64BMarket Cap40.60P/E (TTM)

Fiserv 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
43.55%2.24B
52.73%1.34B
-26.46%831M
11.78%5.16B
-2.33%1.6B
32.12%1.56B
-11.31%878M
38.65%1.13B
14.48%4.62B
21.59%1.63B
Net income from continuing operations
-41.07%571M
30.79%909M
30.56%752M
21.19%3.13B
11.40%889M
96.55%969M
14.12%695M
-15.54%576M
84.03%2.58B
124.79%798M
Operating gains losses
459.77%626M
366.67%8M
-50.00%8M
44.53%-152M
136.00%9M
-231.82%-174M
97.66%-3M
106.32%16M
-174.00%-274M
-25.00%-25M
Depreciation and amortization
1.17%778M
-1.88%785M
-1.40%774M
-1.51%3.12B
-0.52%767M
-2.66%769M
-1.11%800M
-1.75%785M
-0.84%3.17B
-1.28%771M
Deferred tax
-110.13%-332M
-84.85%-183M
72.41%-24M
8.42%-511M
-7.05%-167M
-85.88%-158M
26.12%-99M
52.46%-87M
-112.98%-558M
-4,000.00%-156M
Other non cash items
666.67%69M
120.00%22M
133.33%21M
172.73%90M
3,000.00%62M
50.00%9M
-9.09%10M
-35.71%9M
725.00%33M
118.18%2M
Change In working capital
664.29%428M
52.31%-310M
-195.97%-808M
-22.58%-912M
-133.33%-45M
121.37%56M
-121.84%-650M
15.74%-273M
-50.30%-744M
-15.09%135M
-Change in receivables
433.33%40M
-44.35%-179M
-98.82%3M
102.99%23M
61.45%-96M
92.41%-12M
59.08%-124M
525.00%255M
-115.08%-770M
-315.00%-249M
-Change in prepaid assets
-9.21%-83M
49.03%-105M
-40.63%-315M
-212.25%-790M
-468.00%-284M
-461.90%-76M
-119.15%-206M
-72.31%-224M
-2.02%-253M
-733.33%-50M
-Change in payables and accrued expense
115.56%582M
103.80%9M
-36.01%-457M
-110.57%-54M
-38.67%249M
4,600.00%270M
-225.40%-237M
-330.77%-336M
68.65%511M
97.09%406M
-Change in other working capital
11.90%-111M
57.83%-35M
-221.88%-39M
60.78%-91M
207.14%86M
-5.88%-126M
2.35%-83M
157.14%32M
-20.83%-232M
47.37%28M
Cash from discontinued investing activities
Operating cash flow
43.55%2.24B
52.73%1.34B
-26.46%831M
11.78%5.16B
-2.33%1.6B
32.12%1.56B
-11.31%878M
38.65%1.13B
14.48%4.62B
21.59%1.63B
Investing cash flow
Cash flow from continuing investing activities
-449.48%-533M
-170.90%-810M
-26.43%-397M
49.43%-1.07B
38.06%-358M
74.06%-97M
71.79%-299M
-214.00%-314M
-29.57%-2.11B
13.08%-578M
Capital expenditure reported
-13.24%-402M
-2.35%-348M
-23.89%-420M
6.15%-1.39B
-6.95%-354M
17.44%-355M
12.14%-340M
-2.42%-339M
-27.50%-1.48B
4.34%-331M
Net business purchase and sale
----
----
----
129.78%221M
96.04%-11M
----
----
----
12.50%-742M
21.25%-278M
Net investment purchase and sale
1,175.00%43M
-350.00%-27M
--0
-17.24%-34M
-733.33%-19M
20.00%-4M
72.73%-6M
0.00%-5M
-111.03%-29M
-70.00%3M
Net other investing changes
-19,300.00%-194M
-22,700.00%-452M
125.00%1M
---3M
--0
---1M
--2M
---4M
----
----
Cash from discontinued investing activities
Investing cash flow
-449.48%-533M
-170.90%-810M
-26.43%-397M
49.43%-1.07B
38.06%-358M
74.06%-97M
71.79%-299M
-214.00%-314M
-29.57%-2.11B
13.08%-578M
Financing cash flow
Cash flow from continuing financing activities
16.72%-1.07B
-53.91%-925M
83.55%-189M
-75.79%-4.36B
-3.04%-1.32B
-190.29%-1.29B
-286.07%-601M
-6.69%-1.15B
-42.33%-2.48B
-194.48%-1.28B
Net issuance payments of debt
-597.75%-443M
80.69%992M
46.88%1.27B
650.68%1.1B
-7.65%-408M
18.67%89M
-10.44%549M
631.29%866M
-50.51%146M
-254.69%-379M
Net common stock issuance
-5.80%-1.24B
-46.52%-1.54B
-8.93%-1.64B
-86.95%-4.73B
-40.42%-1B
-45.23%-1.17B
-107.72%-1.05B
-199.60%-1.5B
4.46%-2.53B
27.26%-715M
Net other financing activities
401.48%612M
-276.24%-380M
133.85%174M
-656.25%-726M
149.20%92M
-170.24%-203M
-146.98%-101M
-24.46%-514M
-115.74%-96M
-161.72%-187M
Cash from discontinued financing activities
Financing cash flow
16.72%-1.07B
-53.91%-925M
83.55%-189M
-75.79%-4.36B
-3.04%-1.32B
-190.29%-1.29B
-286.07%-601M
-6.69%-1.15B
-42.33%-2.48B
-194.48%-1.28B
Net cash flow
Beginning cash position
-1.89%2.8B
10.95%3.19B
-7.17%2.96B
-0.41%3.19B
-10.96%3.01B
-6.76%2.86B
1.52%2.88B
-0.41%3.19B
24.76%3.21B
13.33%3.38B
Current changes in cash
260.23%634M
-1,690.91%-394M
173.57%245M
-1,035.71%-262M
63.27%-83M
-51.52%176M
-108.70%-22M
8.01%-333M
-95.78%28M
-193.00%-226M
Effect of exchange rate changes
237.04%37M
150.00%5M
-200.00%-17M
180.49%33M
-4.65%41M
47.06%-27M
108.70%2M
270.00%17M
-51.85%-41M
368.75%43M
End cash Position
15.57%3.47B
-1.89%2.8B
10.95%3.19B
-7.17%2.96B
-7.17%2.96B
-10.96%3.01B
-6.76%2.86B
1.52%2.88B
-0.41%3.19B
-0.41%3.19B
Free cash flow
52.49%1.84B
84.57%993M
-48.04%411M
20.23%3.77B
-4.69%1.24B
60.53%1.2B
-10.78%538M
63.43%791M
9.22%3.14B
30.59%1.3B
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 43.55%2.24B52.73%1.34B-26.46%831M11.78%5.16B-2.33%1.6B32.12%1.56B-11.31%878M38.65%1.13B14.48%4.62B21.59%1.63B
Net income from continuing operations -41.07%571M30.79%909M30.56%752M21.19%3.13B11.40%889M96.55%969M14.12%695M-15.54%576M84.03%2.58B124.79%798M
Operating gains losses 459.77%626M366.67%8M-50.00%8M44.53%-152M136.00%9M-231.82%-174M97.66%-3M106.32%16M-174.00%-274M-25.00%-25M
Depreciation and amortization 1.17%778M-1.88%785M-1.40%774M-1.51%3.12B-0.52%767M-2.66%769M-1.11%800M-1.75%785M-0.84%3.17B-1.28%771M
Deferred tax -110.13%-332M-84.85%-183M72.41%-24M8.42%-511M-7.05%-167M-85.88%-158M26.12%-99M52.46%-87M-112.98%-558M-4,000.00%-156M
Other non cash items 666.67%69M120.00%22M133.33%21M172.73%90M3,000.00%62M50.00%9M-9.09%10M-35.71%9M725.00%33M118.18%2M
Change In working capital 664.29%428M52.31%-310M-195.97%-808M-22.58%-912M-133.33%-45M121.37%56M-121.84%-650M15.74%-273M-50.30%-744M-15.09%135M
-Change in receivables 433.33%40M-44.35%-179M-98.82%3M102.99%23M61.45%-96M92.41%-12M59.08%-124M525.00%255M-115.08%-770M-315.00%-249M
-Change in prepaid assets -9.21%-83M49.03%-105M-40.63%-315M-212.25%-790M-468.00%-284M-461.90%-76M-119.15%-206M-72.31%-224M-2.02%-253M-733.33%-50M
-Change in payables and accrued expense 115.56%582M103.80%9M-36.01%-457M-110.57%-54M-38.67%249M4,600.00%270M-225.40%-237M-330.77%-336M68.65%511M97.09%406M
-Change in other working capital 11.90%-111M57.83%-35M-221.88%-39M60.78%-91M207.14%86M-5.88%-126M2.35%-83M157.14%32M-20.83%-232M47.37%28M
Cash from discontinued investing activities
Operating cash flow 43.55%2.24B52.73%1.34B-26.46%831M11.78%5.16B-2.33%1.6B32.12%1.56B-11.31%878M38.65%1.13B14.48%4.62B21.59%1.63B
Investing cash flow
Cash flow from continuing investing activities -449.48%-533M-170.90%-810M-26.43%-397M49.43%-1.07B38.06%-358M74.06%-97M71.79%-299M-214.00%-314M-29.57%-2.11B13.08%-578M
Capital expenditure reported -13.24%-402M-2.35%-348M-23.89%-420M6.15%-1.39B-6.95%-354M17.44%-355M12.14%-340M-2.42%-339M-27.50%-1.48B4.34%-331M
Net business purchase and sale ------------129.78%221M96.04%-11M------------12.50%-742M21.25%-278M
Net investment purchase and sale 1,175.00%43M-350.00%-27M--0-17.24%-34M-733.33%-19M20.00%-4M72.73%-6M0.00%-5M-111.03%-29M-70.00%3M
Net other investing changes -19,300.00%-194M-22,700.00%-452M125.00%1M---3M--0---1M--2M---4M--------
Cash from discontinued investing activities
Investing cash flow -449.48%-533M-170.90%-810M-26.43%-397M49.43%-1.07B38.06%-358M74.06%-97M71.79%-299M-214.00%-314M-29.57%-2.11B13.08%-578M
Financing cash flow
Cash flow from continuing financing activities 16.72%-1.07B-53.91%-925M83.55%-189M-75.79%-4.36B-3.04%-1.32B-190.29%-1.29B-286.07%-601M-6.69%-1.15B-42.33%-2.48B-194.48%-1.28B
Net issuance payments of debt -597.75%-443M80.69%992M46.88%1.27B650.68%1.1B-7.65%-408M18.67%89M-10.44%549M631.29%866M-50.51%146M-254.69%-379M
Net common stock issuance -5.80%-1.24B-46.52%-1.54B-8.93%-1.64B-86.95%-4.73B-40.42%-1B-45.23%-1.17B-107.72%-1.05B-199.60%-1.5B4.46%-2.53B27.26%-715M
Net other financing activities 401.48%612M-276.24%-380M133.85%174M-656.25%-726M149.20%92M-170.24%-203M-146.98%-101M-24.46%-514M-115.74%-96M-161.72%-187M
Cash from discontinued financing activities
Financing cash flow 16.72%-1.07B-53.91%-925M83.55%-189M-75.79%-4.36B-3.04%-1.32B-190.29%-1.29B-286.07%-601M-6.69%-1.15B-42.33%-2.48B-194.48%-1.28B
Net cash flow
Beginning cash position -1.89%2.8B10.95%3.19B-7.17%2.96B-0.41%3.19B-10.96%3.01B-6.76%2.86B1.52%2.88B-0.41%3.19B24.76%3.21B13.33%3.38B
Current changes in cash 260.23%634M-1,690.91%-394M173.57%245M-1,035.71%-262M63.27%-83M-51.52%176M-108.70%-22M8.01%-333M-95.78%28M-193.00%-226M
Effect of exchange rate changes 237.04%37M150.00%5M-200.00%-17M180.49%33M-4.65%41M47.06%-27M108.70%2M270.00%17M-51.85%-41M368.75%43M
End cash Position 15.57%3.47B-1.89%2.8B10.95%3.19B-7.17%2.96B-7.17%2.96B-10.96%3.01B-6.76%2.86B1.52%2.88B-0.41%3.19B-0.41%3.19B
Free cash flow 52.49%1.84B84.57%993M-48.04%411M20.23%3.77B-4.69%1.24B60.53%1.2B-10.78%538M63.43%791M9.22%3.14B30.59%1.3B
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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