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INTU Intuit

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  • 644.520
  • +7.960+1.25%
Close Jul 22 16:00 ET
  • 647.100
  • +2.580+0.40%
Pre 06:18 ET
180.17BMarket Cap59.57P/E (TTM)

Intuit Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Apr 30, 2024
(Q2)Jan 31, 2024
(Q1)Oct 31, 2023
(FY)Jul 31, 2023
(Q4)Jul 31, 2023
(Q3)Apr 30, 2023
(Q2)Jan 31, 2023
(Q1)Oct 31, 2022
(FY)Jul 31, 2022
(Q4)Jul 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
9.61%4.68B
-28.10%1.49B
-16.63%2.27B
11.61%3.66B
11.61%3.66B
9.32%4.27B
46.46%2.07B
-16.18%2.72B
-15.22%3.28B
-15.22%3.28B
-Cash and cash equivalents
12.55%4.22B
-4.72%1.47B
-18.40%1.73B
1.86%2.85B
1.86%2.85B
6.06%3.75B
23.07%1.55B
-25.80%2.13B
9.13%2.8B
9.13%2.8B
-Short-term investments
-11.47%463M
-97.14%15M
-10.35%537M
67.84%814M
67.84%814M
40.21%523M
233.76%524M
55.18%599M
-62.92%485M
-62.92%485M
Receivables
5.64%1.5B
8.24%2.08B
0.87%1.05B
6.97%1.12B
6.97%1.12B
90.73%1.42B
69.73%1.92B
98.85%1.04B
62.23%1.05B
62.23%1.05B
-Accounts receivable
10.18%790M
2.77%928M
-3.13%372M
-9.19%405M
-9.19%405M
-2.85%717M
1.57%903M
-6.57%384M
14.07%446M
14.07%446M
-Notes receivable
0.71%705M
7.81%1.02B
16.25%658M
34.97%687M
34.97%687M
--700M
--948M
--566M
285.61%509M
285.61%509M
-Taxes receivable
100.00%4M
88.06%126M
-80.68%17M
-68.82%29M
-68.82%29M
-66.67%2M
-72.20%67M
-20.72%88M
-24.39%93M
-24.39%93M
Restricted cash
601.55%2.72B
801.60%3.39B
439.53%2.53B
-2.55%420M
-2.55%420M
-28.01%388M
0.27%376M
52.94%468M
-5.69%431M
-5.69%431M
Other current assets
-41.29%337M
-11.76%345M
19.75%388M
23.34%354M
23.34%354M
-14.46%574M
-31.52%391M
-20.78%324M
55.98%287M
55.98%287M
Total current assets
38.91%9.24B
53.49%7.3B
36.82%6.23B
10.11%5.56B
10.11%5.56B
13.50%6.65B
36.28%4.76B
1.49%4.55B
-2.13%5.05B
-2.13%5.05B
Non current assets
Net PPE
2.60%1.46B
3.75%1.49B
0.62%1.47B
0.07%1.44B
0.07%1.44B
10.91%1.42B
13.31%1.44B
22.36%1.46B
23.88%1.44B
23.88%1.44B
-Gross PPE
2.60%1.46B
3.75%1.49B
0.62%1.47B
1.22%2.91B
1.22%2.91B
10.91%1.42B
13.31%1.44B
22.36%1.46B
15.00%2.88B
15.00%2.88B
-Accumulated depreciation
----
----
----
-2.36%-1.47B
-2.36%-1.47B
----
----
----
-7.31%-1.44B
-7.31%-1.44B
Goodwill and other intangible assets
-3.09%19.73B
-3.09%19.88B
-2.88%20.04B
-2.88%20.2B
-2.88%20.2B
-2.85%20.36B
-2.86%20.52B
134.23%20.63B
134.60%20.8B
134.60%20.8B
-Goodwill
0.00%13.78B
0.00%13.78B
0.32%13.78B
0.32%13.78B
0.32%13.78B
0.34%13.78B
0.34%13.78B
144.65%13.73B
144.72%13.74B
144.72%13.74B
-Other intangible assets
-9.57%5.95B
-9.40%6.1B
-9.25%6.26B
-9.09%6.42B
-9.09%6.42B
-8.91%6.58B
-8.81%6.74B
115.93%6.9B
117.13%7.06B
117.13%7.06B
Investments and advances
26.47%129M
18.52%128M
9.18%107M
7.14%105M
7.14%105M
4.08%102M
20.00%108M
16.67%98M
127.91%98M
127.91%98M
Non current deferred assets
3,838.46%512M
3,091.67%383M
2,040.00%214M
481.82%64M
481.82%64M
62.50%13M
50.00%12M
25.00%10M
37.50%11M
37.50%11M
Other non current assets
31.65%495M
35.04%501M
29.61%429M
21.22%417M
21.22%417M
20.51%376M
14.15%371M
14.53%331M
21.55%344M
21.55%344M
Total non current assets
0.23%22.32B
-0.26%22.39B
-1.22%22.26B
-2.05%22.22B
-2.05%22.22B
-1.69%22.27B
-1.61%22.45B
117.00%22.53B
119.01%22.69B
119.01%22.69B
Total assets
9.12%31.56B
9.14%29.69B
5.18%28.49B
0.17%27.78B
0.17%27.78B
1.43%28.92B
3.42%27.2B
82.15%27.09B
78.74%27.73B
78.74%27.73B
Liabilities
Current liabilities
Payables
-14.85%1.41B
-29.71%847M
10.26%817M
75.92%1.38B
75.92%1.38B
39.60%1.66B
27.24%1.21B
32.32%741M
22.66%785M
22.66%785M
-accounts payable
-3.80%886M
-2.71%789M
-5.97%630M
-13.43%638M
-13.43%638M
2.33%921M
-8.15%811M
26.18%670M
18.30%737M
18.30%737M
-Total tax payable
-28.67%525M
0.00%58M
228.07%187M
1,447.92%743M
1,447.92%743M
166.67%736M
7.41%58M
185.00%57M
500.00%48M
500.00%48M
-Dividends payable
----
----
----
----
----
----
----
55.56%14M
----
----
-Due to related parties current
----
----
----
----
----
----
--336M
----
----
----
Current accrued expenses
--36M
--84M
-78.26%35M
--0
--0
--0
--0
2,200.00%161M
14,000.00%141M
14,000.00%141M
Current provisions
13.64%75M
23.17%101M
-21.95%32M
3.23%32M
3.23%32M
-39.45%66M
-19.61%82M
-2.38%41M
-24.39%31M
-24.39%31M
Current debt and capital lease obligation
-86.73%78M
-86.20%81M
-85.64%84M
-84.73%89M
-84.73%89M
663.64%588M
672.37%587M
773.13%585M
783.33%583M
783.33%583M
-Current debt
----
----
----
----
----
--501M
--501M
--499M
--499M
--499M
-Current capital lease obligation
-10.34%78M
-5.81%81M
-2.33%84M
5.95%89M
5.95%89M
12.99%87M
13.16%86M
28.36%86M
27.27%84M
27.27%84M
Current deferred liabilities
173.58%3.76B
223.10%4.46B
162.52%3.46B
9.09%1.51B
9.09%1.51B
-3.78%1.37B
2.14%1.38B
22.38%1.32B
7.11%1.39B
7.11%1.39B
Other current liabilities
9.52%115M
-10.48%94M
65.38%129M
-13.28%111M
-13.28%111M
11.70%105M
43.84%105M
13.04%78M
54.22%128M
54.22%128M
Current liabilities
39.59%6.16B
60.95%6.22B
50.26%5B
4.41%3.79B
4.41%3.79B
22.95%4.42B
30.12%3.86B
55.52%3.33B
36.72%3.63B
36.72%3.63B
Non current liabilities
Long term debt and capital lease obligation
-2.85%6.42B
-9.41%6.42B
-9.45%6.35B
-5.13%6.6B
-5.13%6.6B
-9.08%6.61B
-0.99%7.09B
187.54%7.02B
188.19%6.96B
188.19%6.96B
-Long term debt
-2.57%5.95B
-9.52%5.95B
-9.36%5.88B
-4.60%6.12B
-4.60%6.12B
-10.86%6.11B
-2.32%6.58B
218.41%6.49B
215.39%6.42B
215.39%6.42B
-Long term capital lease obligation
-6.21%468M
-7.98%473M
-10.57%474M
-11.44%480M
-11.44%480M
20.24%499M
19.81%514M
31.51%530M
42.63%542M
42.63%542M
Non current deferred liabilities
-96.39%7M
-98.15%6M
-98.82%7M
-98.56%9M
-98.56%9M
-68.40%194M
-36.59%324M
16.73%593M
17.26%625M
17.26%625M
Other non current liabilities
61.11%29M
29.17%31M
-15.38%22M
-20.00%20M
-20.00%20M
-37.93%18M
-25.00%24M
-49.02%26M
92.31%25M
92.31%25M
Total non current liabilities
-3.96%6.64B
-12.46%6.56B
-15.51%6.5B
-12.29%6.72B
-12.29%6.72B
-13.16%6.91B
-3.13%7.5B
156.52%7.69B
156.12%7.66B
156.12%7.66B
Total liabilities
13.01%12.8B
12.50%12.78B
4.34%11.5B
-6.92%10.51B
-6.92%10.51B
-1.94%11.33B
6.09%11.36B
114.48%11.02B
99.98%11.29B
99.98%11.29B
Shareholders'equity
Share capital
6.82%20.04B
7.32%19.74B
--0
0.00%3M
0.00%3M
7.33%18.76B
6.92%18.39B
68.71%18.08B
0.00%3M
0.00%3M
-common stock
6.82%20.04B
7.32%19.74B
--0
0.00%3M
0.00%3M
7.33%18.76B
6.92%18.39B
68.71%18.08B
0.00%3M
0.00%3M
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
13.62%17.27B
13.52%15.14B
12.32%15.05B
10.94%15.07B
10.94%15.07B
9.89%15.2B
9.01%13.34B
8.62%13.4B
10.45%13.58B
10.45%13.58B
Paid-in capital
----
----
--19.4B
7.36%19.03B
7.36%19.03B
----
----
----
68.06%17.72B
68.06%17.72B
Less: Treasury stock
13.42%18.5B
13.19%17.91B
13.38%17.38B
13.29%16.77B
13.29%16.77B
14.06%16.31B
14.60%15.82B
15.31%15.32B
14.32%14.81B
14.32%14.81B
Gains losses not affecting retained earnings
4.92%-58M
4.76%-60M
10.34%-78M
8.33%-55M
8.33%-55M
-15.09%-61M
-85.29%-63M
-200.00%-87M
-150.00%-60M
-150.00%-60M
Total stockholders'equity
6.62%18.76B
6.73%16.91B
5.76%16.99B
5.04%17.27B
5.04%17.27B
3.72%17.59B
1.58%15.84B
65.08%16.07B
66.59%16.44B
66.59%16.44B
Total equity
6.62%18.76B
6.73%16.91B
5.76%16.99B
5.04%17.27B
5.04%17.27B
3.72%17.59B
1.58%15.84B
65.08%16.07B
66.59%16.44B
66.59%16.44B
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)Apr 30, 2024(Q2)Jan 31, 2024(Q1)Oct 31, 2023(FY)Jul 31, 2023(Q4)Jul 31, 2023(Q3)Apr 30, 2023(Q2)Jan 31, 2023(Q1)Oct 31, 2022(FY)Jul 31, 2022(Q4)Jul 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 9.61%4.68B-28.10%1.49B-16.63%2.27B11.61%3.66B11.61%3.66B9.32%4.27B46.46%2.07B-16.18%2.72B-15.22%3.28B-15.22%3.28B
-Cash and cash equivalents 12.55%4.22B-4.72%1.47B-18.40%1.73B1.86%2.85B1.86%2.85B6.06%3.75B23.07%1.55B-25.80%2.13B9.13%2.8B9.13%2.8B
-Short-term investments -11.47%463M-97.14%15M-10.35%537M67.84%814M67.84%814M40.21%523M233.76%524M55.18%599M-62.92%485M-62.92%485M
Receivables 5.64%1.5B8.24%2.08B0.87%1.05B6.97%1.12B6.97%1.12B90.73%1.42B69.73%1.92B98.85%1.04B62.23%1.05B62.23%1.05B
-Accounts receivable 10.18%790M2.77%928M-3.13%372M-9.19%405M-9.19%405M-2.85%717M1.57%903M-6.57%384M14.07%446M14.07%446M
-Notes receivable 0.71%705M7.81%1.02B16.25%658M34.97%687M34.97%687M--700M--948M--566M285.61%509M285.61%509M
-Taxes receivable 100.00%4M88.06%126M-80.68%17M-68.82%29M-68.82%29M-66.67%2M-72.20%67M-20.72%88M-24.39%93M-24.39%93M
Restricted cash 601.55%2.72B801.60%3.39B439.53%2.53B-2.55%420M-2.55%420M-28.01%388M0.27%376M52.94%468M-5.69%431M-5.69%431M
Other current assets -41.29%337M-11.76%345M19.75%388M23.34%354M23.34%354M-14.46%574M-31.52%391M-20.78%324M55.98%287M55.98%287M
Total current assets 38.91%9.24B53.49%7.3B36.82%6.23B10.11%5.56B10.11%5.56B13.50%6.65B36.28%4.76B1.49%4.55B-2.13%5.05B-2.13%5.05B
Non current assets
Net PPE 2.60%1.46B3.75%1.49B0.62%1.47B0.07%1.44B0.07%1.44B10.91%1.42B13.31%1.44B22.36%1.46B23.88%1.44B23.88%1.44B
-Gross PPE 2.60%1.46B3.75%1.49B0.62%1.47B1.22%2.91B1.22%2.91B10.91%1.42B13.31%1.44B22.36%1.46B15.00%2.88B15.00%2.88B
-Accumulated depreciation -------------2.36%-1.47B-2.36%-1.47B-------------7.31%-1.44B-7.31%-1.44B
Goodwill and other intangible assets -3.09%19.73B-3.09%19.88B-2.88%20.04B-2.88%20.2B-2.88%20.2B-2.85%20.36B-2.86%20.52B134.23%20.63B134.60%20.8B134.60%20.8B
-Goodwill 0.00%13.78B0.00%13.78B0.32%13.78B0.32%13.78B0.32%13.78B0.34%13.78B0.34%13.78B144.65%13.73B144.72%13.74B144.72%13.74B
-Other intangible assets -9.57%5.95B-9.40%6.1B-9.25%6.26B-9.09%6.42B-9.09%6.42B-8.91%6.58B-8.81%6.74B115.93%6.9B117.13%7.06B117.13%7.06B
Investments and advances 26.47%129M18.52%128M9.18%107M7.14%105M7.14%105M4.08%102M20.00%108M16.67%98M127.91%98M127.91%98M
Non current deferred assets 3,838.46%512M3,091.67%383M2,040.00%214M481.82%64M481.82%64M62.50%13M50.00%12M25.00%10M37.50%11M37.50%11M
Other non current assets 31.65%495M35.04%501M29.61%429M21.22%417M21.22%417M20.51%376M14.15%371M14.53%331M21.55%344M21.55%344M
Total non current assets 0.23%22.32B-0.26%22.39B-1.22%22.26B-2.05%22.22B-2.05%22.22B-1.69%22.27B-1.61%22.45B117.00%22.53B119.01%22.69B119.01%22.69B
Total assets 9.12%31.56B9.14%29.69B5.18%28.49B0.17%27.78B0.17%27.78B1.43%28.92B3.42%27.2B82.15%27.09B78.74%27.73B78.74%27.73B
Liabilities
Current liabilities
Payables -14.85%1.41B-29.71%847M10.26%817M75.92%1.38B75.92%1.38B39.60%1.66B27.24%1.21B32.32%741M22.66%785M22.66%785M
-accounts payable -3.80%886M-2.71%789M-5.97%630M-13.43%638M-13.43%638M2.33%921M-8.15%811M26.18%670M18.30%737M18.30%737M
-Total tax payable -28.67%525M0.00%58M228.07%187M1,447.92%743M1,447.92%743M166.67%736M7.41%58M185.00%57M500.00%48M500.00%48M
-Dividends payable ----------------------------55.56%14M--------
-Due to related parties current --------------------------336M------------
Current accrued expenses --36M--84M-78.26%35M--0--0--0--02,200.00%161M14,000.00%141M14,000.00%141M
Current provisions 13.64%75M23.17%101M-21.95%32M3.23%32M3.23%32M-39.45%66M-19.61%82M-2.38%41M-24.39%31M-24.39%31M
Current debt and capital lease obligation -86.73%78M-86.20%81M-85.64%84M-84.73%89M-84.73%89M663.64%588M672.37%587M773.13%585M783.33%583M783.33%583M
-Current debt ----------------------501M--501M--499M--499M--499M
-Current capital lease obligation -10.34%78M-5.81%81M-2.33%84M5.95%89M5.95%89M12.99%87M13.16%86M28.36%86M27.27%84M27.27%84M
Current deferred liabilities 173.58%3.76B223.10%4.46B162.52%3.46B9.09%1.51B9.09%1.51B-3.78%1.37B2.14%1.38B22.38%1.32B7.11%1.39B7.11%1.39B
Other current liabilities 9.52%115M-10.48%94M65.38%129M-13.28%111M-13.28%111M11.70%105M43.84%105M13.04%78M54.22%128M54.22%128M
Current liabilities 39.59%6.16B60.95%6.22B50.26%5B4.41%3.79B4.41%3.79B22.95%4.42B30.12%3.86B55.52%3.33B36.72%3.63B36.72%3.63B
Non current liabilities
Long term debt and capital lease obligation -2.85%6.42B-9.41%6.42B-9.45%6.35B-5.13%6.6B-5.13%6.6B-9.08%6.61B-0.99%7.09B187.54%7.02B188.19%6.96B188.19%6.96B
-Long term debt -2.57%5.95B-9.52%5.95B-9.36%5.88B-4.60%6.12B-4.60%6.12B-10.86%6.11B-2.32%6.58B218.41%6.49B215.39%6.42B215.39%6.42B
-Long term capital lease obligation -6.21%468M-7.98%473M-10.57%474M-11.44%480M-11.44%480M20.24%499M19.81%514M31.51%530M42.63%542M42.63%542M
Non current deferred liabilities -96.39%7M-98.15%6M-98.82%7M-98.56%9M-98.56%9M-68.40%194M-36.59%324M16.73%593M17.26%625M17.26%625M
Other non current liabilities 61.11%29M29.17%31M-15.38%22M-20.00%20M-20.00%20M-37.93%18M-25.00%24M-49.02%26M92.31%25M92.31%25M
Total non current liabilities -3.96%6.64B-12.46%6.56B-15.51%6.5B-12.29%6.72B-12.29%6.72B-13.16%6.91B-3.13%7.5B156.52%7.69B156.12%7.66B156.12%7.66B
Total liabilities 13.01%12.8B12.50%12.78B4.34%11.5B-6.92%10.51B-6.92%10.51B-1.94%11.33B6.09%11.36B114.48%11.02B99.98%11.29B99.98%11.29B
Shareholders'equity
Share capital 6.82%20.04B7.32%19.74B--00.00%3M0.00%3M7.33%18.76B6.92%18.39B68.71%18.08B0.00%3M0.00%3M
-common stock 6.82%20.04B7.32%19.74B--00.00%3M0.00%3M7.33%18.76B6.92%18.39B68.71%18.08B0.00%3M0.00%3M
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings 13.62%17.27B13.52%15.14B12.32%15.05B10.94%15.07B10.94%15.07B9.89%15.2B9.01%13.34B8.62%13.4B10.45%13.58B10.45%13.58B
Paid-in capital ----------19.4B7.36%19.03B7.36%19.03B------------68.06%17.72B68.06%17.72B
Less: Treasury stock 13.42%18.5B13.19%17.91B13.38%17.38B13.29%16.77B13.29%16.77B14.06%16.31B14.60%15.82B15.31%15.32B14.32%14.81B14.32%14.81B
Gains losses not affecting retained earnings 4.92%-58M4.76%-60M10.34%-78M8.33%-55M8.33%-55M-15.09%-61M-85.29%-63M-200.00%-87M-150.00%-60M-150.00%-60M
Total stockholders'equity 6.62%18.76B6.73%16.91B5.76%16.99B5.04%17.27B5.04%17.27B3.72%17.59B1.58%15.84B65.08%16.07B66.59%16.44B66.59%16.44B
Total equity 6.62%18.76B6.73%16.91B5.76%16.99B5.04%17.27B5.04%17.27B3.72%17.59B1.58%15.84B65.08%16.07B66.59%16.44B66.59%16.44B
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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