US Stock MarketDetailed Quotes

KD Kyndryl

Watchlist
  • 41.790
  • +0.250+0.60%
Close Feb 14 16:00 ET
  • 41.891
  • +0.101+0.24%
Post 20:01 ET
9.72BMarket Cap72.05P/E (TTM)

Kyndryl Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Dec 31, 2024
(Q2)Sep 30, 2024
(Q1)Jun 30, 2024
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
(Q3)Dec 31, 2023
(Q2)Sep 30, 2023
(Q1)Jun 30, 2023
(FY)Mar 31, 2023
(Q4)Mar 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments
-11.08%1.5B
-5.89%1.33B
-15.79%1.27B
-15.92%1.55B
-15.92%1.55B
-15.68%1.69B
-25.42%1.41B
-19.45%1.51B
-13.45%1.85B
-13.45%1.85B
-Cash and cash equivalents
-11.08%1.5B
-5.89%1.33B
-15.79%1.27B
-15.92%1.55B
-15.92%1.55B
-15.68%1.69B
-25.42%1.41B
-19.45%1.51B
-13.45%1.85B
-13.45%1.85B
Receivables
-17.13%1.37B
-13.35%1.44B
-3.36%1.44B
4.99%1.6B
4.99%1.6B
7.73%1.66B
5.39%1.66B
-21.66%1.49B
-32.94%1.52B
-32.94%1.52B
-Accounts receivable
-17.13%1.37B
-13.35%1.44B
-3.36%1.44B
4.99%1.6B
4.99%1.6B
7.73%1.66B
5.39%1.66B
-21.66%1.49B
-32.94%1.52B
-32.94%1.52B
Restricted cash
150.00%5M
66.67%5M
-64.29%5M
-91.67%1M
-91.67%1M
-85.71%2M
-75.00%3M
-17.65%14M
-40.00%12M
-40.00%12M
Current deferred assets
-3.79%889M
4.41%994M
-4.28%1.03B
1.03%1.08B
1.03%1.08B
-0.32%924M
-2.16%952M
-1.56%1.08B
-6.39%1.07B
-6.39%1.07B
Other current assets
-8.81%528M
9.70%622M
7.94%612M
0.39%513M
0.39%513M
19.38%579M
10.53%567M
8.62%567M
-2.48%511M
-2.48%511M
Total current assets
-11.42%4.3B
-4.49%4.39B
-6.40%4.36B
-4.35%4.75B
-4.35%4.75B
-2.34%4.85B
-7.47%4.59B
-13.90%4.65B
-18.53%4.96B
-18.53%4.96B
Non current assets
Net PPE
-14.22%3.19B
-0.11%3.54B
-4.43%3.52B
-5.50%3.54B
-5.50%3.54B
-4.02%3.72B
-3.83%3.54B
-3.71%3.68B
-9.70%3.74B
-9.70%3.74B
-Gross PPE
-14.22%3.19B
-0.11%3.54B
-4.43%3.52B
-7.44%10.16B
-7.44%10.16B
-4.02%3.72B
-3.83%3.54B
-3.71%3.68B
164.86%10.98B
-10.67%10.98B
-Accumulated depreciation
----
----
----
8.44%-6.63B
8.44%-6.63B
----
----
----
---7.24B
11.16%-7.24B
Goodwill and other intangible assets
0.40%1B
2.41%1.02B
1.21%1.01B
1.02%993M
1.02%993M
3.09%1B
4.63%994M
2.58%995M
1.55%983M
1.55%983M
-Goodwill
-2.72%787M
-1.99%790M
-2.60%786M
-0.86%805M
-0.86%805M
-0.37%809M
-0.62%806M
-0.98%807M
-1.34%812M
-1.34%812M
-Other intangible assets
13.61%217M
21.28%228M
17.55%221M
9.94%188M
9.94%188M
20.89%191M
35.25%188M
21.29%188M
17.93%171M
17.93%171M
Non current deferred assets
1.84%1.22B
3.62%1.26B
-15.78%1.11B
-19.38%1.14B
-19.38%1.14B
-28.19%1.2B
-25.66%1.22B
-22.04%1.31B
-21.40%1.41B
-21.40%1.41B
Defined pension benefit
23.81%130M
26.80%123M
9.00%109M
11.70%105M
11.70%105M
81.03%105M
79.63%97M
72.41%100M
54.10%94M
54.10%94M
Other non current assets
-12.37%85M
-57.59%67M
-73.06%66M
-74.91%67M
-74.91%67M
-69.21%97M
-53.25%158M
-33.24%245M
-28.80%267M
-28.80%267M
Total non current assets
-8.01%5.63B
-0.02%6.01B
-8.34%5.81B
-10.14%5.84B
-10.14%5.84B
-11.13%6.12B
-9.81%6.01B
-8.23%6.33B
-11.53%6.5B
-11.53%6.5B
Total assets
-9.52%9.93B
-1.94%10.4B
-7.49%10.16B
-7.62%10.59B
-7.62%10.59B
-7.44%10.97B
-8.83%10.6B
-10.71%10.99B
-14.72%11.46B
-14.72%11.46B
Liabilities
Current liabilities
Payables
-22.28%1.41B
-1.03%1.54B
-17.33%1.64B
-18.20%1.74B
-18.20%1.74B
-7.89%1.81B
-16.36%1.55B
12.78%1.99B
15.33%2.12B
15.33%2.12B
-accounts payable
-22.34%1.15B
-0.48%1.24B
-17.77%1.34B
-20.63%1.41B
-20.63%1.41B
-14.08%1.48B
-21.83%1.25B
9.42%1.63B
14.08%1.77B
14.08%1.77B
-Total tax payable
-21.99%259M
-3.25%298M
-15.32%304M
-5.76%327M
-5.76%327M
35.51%332M
16.67%308M
31.02%359M
22.18%347M
22.18%347M
Current accrued expenses
-21.68%867M
-20.49%904M
6.84%969M
7.60%963M
7.60%963M
10.04%1.11B
9.12%1.14B
38.90%907M
-34.09%895M
35.61%895M
Current debt and capital lease obligation
-56.16%388M
4.56%413M
-9.07%401M
-3.52%411M
-3.52%411M
104.86%885M
-5.73%395M
-0.45%441M
-9.36%426M
-9.36%426M
-Current debt
-79.46%129M
11.57%135M
-2.99%130M
14.55%126M
14.55%126M
509.71%628M
24.74%121M
44.09%134M
14.58%110M
14.58%110M
-Current capital lease obligation
0.78%259M
1.46%278M
-11.73%271M
-9.81%285M
-9.81%285M
-21.88%257M
-14.91%274M
-12.29%307M
-15.51%316M
-15.51%316M
Current deferred liabilities
-1.39%782M
8.35%856M
2.55%805M
0.61%825M
0.61%825M
-2.94%793M
8.82%790M
-37.20%785M
-7.03%820M
-47.37%820M
Other current liabilities
----
----
--1M
-36.99%46M
-36.99%46M
---1M
----
----
--73M
231.82%73M
Current liabilities
-23.62%3.94B
-5.26%4.25B
-7.84%4.23B
-5.73%4.59B
-5.73%4.59B
11.83%5.15B
-2.05%4.49B
-0.39%4.59B
-3.76%4.87B
-3.76%4.87B
Non current liabilities
Long term debt and capital lease obligation
7.06%3.56B
-2.56%3.69B
-2.77%3.72B
-2.20%3.73B
-2.20%3.73B
-14.36%3.33B
-2.30%3.78B
-2.70%3.82B
-5.84%3.82B
-5.84%3.82B
-Long term debt
16.85%3.07B
-0.54%3.11B
-1.27%3.11B
0.03%3.11B
0.03%3.11B
-15.11%2.63B
0.71%3.12B
1.35%3.15B
-0.51%3.11B
-0.51%3.11B
-Long term capital lease obligation
-29.71%492M
-12.12%580M
-9.82%606M
-12.02%622M
-12.02%622M
-11.39%700M
-14.40%660M
-18.05%672M
-23.81%707M
-23.81%707M
Non current deferred liabilities
0.61%328M
8.86%344M
-2.69%325M
-15.78%459M
-15.78%459M
-13.53%326M
-15.28%316M
-19.13%334M
20.58%545M
-8.09%545M
Employee benefits
-3.65%475M
6.03%510M
-1.80%492M
-0.79%500M
-0.79%500M
-25.30%493M
-23.04%481M
-25.34%501M
-29.61%504M
-29.61%504M
Other non current liabilities
11.44%419M
2.59%435M
-25.25%299M
-30.34%186M
-30.34%186M
-3.34%376M
-2.30%424M
-15.43%400M
-40.67%267M
-13.31%267M
Total non current liabilities
5.79%4.79B
-0.58%4.98B
-4.45%4.83B
-4.97%4.88B
-4.97%4.88B
-14.85%4.52B
-5.66%5B
-7.80%5.06B
-9.50%5.13B
-9.49%5.13B
Total liabilities
-9.87%8.72B
-2.79%9.22B
-6.06%9.06B
-5.34%9.47B
-5.34%9.47B
-2.46%9.68B
-3.99%9.49B
-4.42%9.65B
-6.79%10B
-6.78%10B
Shareholders'equity
Share capital
2.36%4.61B
2.21%4.58B
2.20%4.55B
2.17%4.52B
2.17%4.52B
2.37%4.5B
2.43%4.48B
2.53%4.45B
2.62%4.43B
2.62%4.43B
-common stock
2.36%4.61B
2.21%4.58B
2.20%4.55B
2.17%4.52B
2.17%4.52B
2.37%4.5B
2.43%4.48B
2.53%4.45B
2.62%4.43B
2.62%4.43B
Retained earnings
6.07%-2.14B
-3.93%-2.35B
-8.87%-2.31B
-17.24%-2.32B
-17.24%-2.32B
-83.24%-2.27B
-99.12%-2.26B
-147.95%-2.12B
-226.94%-1.98B
-226.94%-1.98B
Less: Treasury stock
154.76%107M
97.14%69M
76.67%53M
95.65%45M
95.65%45M
100.00%42M
105.88%35M
76.47%30M
475.00%23M
475.00%23M
Gains losses not affecting retained earnings
-27.64%-1.27B
6.60%-1.09B
-12.24%-1.19B
-7.82%-1.15B
-7.82%-1.15B
23.64%-995M
25.53%-1.17B
21.51%-1.06B
2.48%-1.06B
2.48%-1.06B
Other equity interest
----
----
----
----
----
---1M
--1M
--1M
----
----
Total stockholders'equity
-7.99%1.09B
5.13%1.07B
-19.68%996M
-25.64%1.02B
-25.64%1.02B
-35.10%1.19B
-38.61%1.01B
-41.40%1.24B
-47.84%1.37B
-47.86%1.37B
Noncontrolling interests
5.77%110M
7.00%107M
6.06%105M
10.31%107M
10.31%107M
5.05%104M
4.17%100M
4.21%99M
3.19%97M
3.19%97M
Total equity
-6.88%1.2B
5.30%1.17B
-17.77%1.1B
-23.26%1.12B
-23.26%1.12B
-33.04%1.29B
-36.25%1.11B
-39.44%1.34B
-46.07%1.46B
-46.09%1.46B
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)Dec 31, 2024(Q2)Sep 30, 2024(Q1)Jun 30, 2024(FY)Mar 31, 2024(Q4)Mar 31, 2024(Q3)Dec 31, 2023(Q2)Sep 30, 2023(Q1)Jun 30, 2023(FY)Mar 31, 2023(Q4)Mar 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments -11.08%1.5B-5.89%1.33B-15.79%1.27B-15.92%1.55B-15.92%1.55B-15.68%1.69B-25.42%1.41B-19.45%1.51B-13.45%1.85B-13.45%1.85B
-Cash and cash equivalents -11.08%1.5B-5.89%1.33B-15.79%1.27B-15.92%1.55B-15.92%1.55B-15.68%1.69B-25.42%1.41B-19.45%1.51B-13.45%1.85B-13.45%1.85B
Receivables -17.13%1.37B-13.35%1.44B-3.36%1.44B4.99%1.6B4.99%1.6B7.73%1.66B5.39%1.66B-21.66%1.49B-32.94%1.52B-32.94%1.52B
-Accounts receivable -17.13%1.37B-13.35%1.44B-3.36%1.44B4.99%1.6B4.99%1.6B7.73%1.66B5.39%1.66B-21.66%1.49B-32.94%1.52B-32.94%1.52B
Restricted cash 150.00%5M66.67%5M-64.29%5M-91.67%1M-91.67%1M-85.71%2M-75.00%3M-17.65%14M-40.00%12M-40.00%12M
Current deferred assets -3.79%889M4.41%994M-4.28%1.03B1.03%1.08B1.03%1.08B-0.32%924M-2.16%952M-1.56%1.08B-6.39%1.07B-6.39%1.07B
Other current assets -8.81%528M9.70%622M7.94%612M0.39%513M0.39%513M19.38%579M10.53%567M8.62%567M-2.48%511M-2.48%511M
Total current assets -11.42%4.3B-4.49%4.39B-6.40%4.36B-4.35%4.75B-4.35%4.75B-2.34%4.85B-7.47%4.59B-13.90%4.65B-18.53%4.96B-18.53%4.96B
Non current assets
Net PPE -14.22%3.19B-0.11%3.54B-4.43%3.52B-5.50%3.54B-5.50%3.54B-4.02%3.72B-3.83%3.54B-3.71%3.68B-9.70%3.74B-9.70%3.74B
-Gross PPE -14.22%3.19B-0.11%3.54B-4.43%3.52B-7.44%10.16B-7.44%10.16B-4.02%3.72B-3.83%3.54B-3.71%3.68B164.86%10.98B-10.67%10.98B
-Accumulated depreciation ------------8.44%-6.63B8.44%-6.63B---------------7.24B11.16%-7.24B
Goodwill and other intangible assets 0.40%1B2.41%1.02B1.21%1.01B1.02%993M1.02%993M3.09%1B4.63%994M2.58%995M1.55%983M1.55%983M
-Goodwill -2.72%787M-1.99%790M-2.60%786M-0.86%805M-0.86%805M-0.37%809M-0.62%806M-0.98%807M-1.34%812M-1.34%812M
-Other intangible assets 13.61%217M21.28%228M17.55%221M9.94%188M9.94%188M20.89%191M35.25%188M21.29%188M17.93%171M17.93%171M
Non current deferred assets 1.84%1.22B3.62%1.26B-15.78%1.11B-19.38%1.14B-19.38%1.14B-28.19%1.2B-25.66%1.22B-22.04%1.31B-21.40%1.41B-21.40%1.41B
Defined pension benefit 23.81%130M26.80%123M9.00%109M11.70%105M11.70%105M81.03%105M79.63%97M72.41%100M54.10%94M54.10%94M
Other non current assets -12.37%85M-57.59%67M-73.06%66M-74.91%67M-74.91%67M-69.21%97M-53.25%158M-33.24%245M-28.80%267M-28.80%267M
Total non current assets -8.01%5.63B-0.02%6.01B-8.34%5.81B-10.14%5.84B-10.14%5.84B-11.13%6.12B-9.81%6.01B-8.23%6.33B-11.53%6.5B-11.53%6.5B
Total assets -9.52%9.93B-1.94%10.4B-7.49%10.16B-7.62%10.59B-7.62%10.59B-7.44%10.97B-8.83%10.6B-10.71%10.99B-14.72%11.46B-14.72%11.46B
Liabilities
Current liabilities
Payables -22.28%1.41B-1.03%1.54B-17.33%1.64B-18.20%1.74B-18.20%1.74B-7.89%1.81B-16.36%1.55B12.78%1.99B15.33%2.12B15.33%2.12B
-accounts payable -22.34%1.15B-0.48%1.24B-17.77%1.34B-20.63%1.41B-20.63%1.41B-14.08%1.48B-21.83%1.25B9.42%1.63B14.08%1.77B14.08%1.77B
-Total tax payable -21.99%259M-3.25%298M-15.32%304M-5.76%327M-5.76%327M35.51%332M16.67%308M31.02%359M22.18%347M22.18%347M
Current accrued expenses -21.68%867M-20.49%904M6.84%969M7.60%963M7.60%963M10.04%1.11B9.12%1.14B38.90%907M-34.09%895M35.61%895M
Current debt and capital lease obligation -56.16%388M4.56%413M-9.07%401M-3.52%411M-3.52%411M104.86%885M-5.73%395M-0.45%441M-9.36%426M-9.36%426M
-Current debt -79.46%129M11.57%135M-2.99%130M14.55%126M14.55%126M509.71%628M24.74%121M44.09%134M14.58%110M14.58%110M
-Current capital lease obligation 0.78%259M1.46%278M-11.73%271M-9.81%285M-9.81%285M-21.88%257M-14.91%274M-12.29%307M-15.51%316M-15.51%316M
Current deferred liabilities -1.39%782M8.35%856M2.55%805M0.61%825M0.61%825M-2.94%793M8.82%790M-37.20%785M-7.03%820M-47.37%820M
Other current liabilities ----------1M-36.99%46M-36.99%46M---1M----------73M231.82%73M
Current liabilities -23.62%3.94B-5.26%4.25B-7.84%4.23B-5.73%4.59B-5.73%4.59B11.83%5.15B-2.05%4.49B-0.39%4.59B-3.76%4.87B-3.76%4.87B
Non current liabilities
Long term debt and capital lease obligation 7.06%3.56B-2.56%3.69B-2.77%3.72B-2.20%3.73B-2.20%3.73B-14.36%3.33B-2.30%3.78B-2.70%3.82B-5.84%3.82B-5.84%3.82B
-Long term debt 16.85%3.07B-0.54%3.11B-1.27%3.11B0.03%3.11B0.03%3.11B-15.11%2.63B0.71%3.12B1.35%3.15B-0.51%3.11B-0.51%3.11B
-Long term capital lease obligation -29.71%492M-12.12%580M-9.82%606M-12.02%622M-12.02%622M-11.39%700M-14.40%660M-18.05%672M-23.81%707M-23.81%707M
Non current deferred liabilities 0.61%328M8.86%344M-2.69%325M-15.78%459M-15.78%459M-13.53%326M-15.28%316M-19.13%334M20.58%545M-8.09%545M
Employee benefits -3.65%475M6.03%510M-1.80%492M-0.79%500M-0.79%500M-25.30%493M-23.04%481M-25.34%501M-29.61%504M-29.61%504M
Other non current liabilities 11.44%419M2.59%435M-25.25%299M-30.34%186M-30.34%186M-3.34%376M-2.30%424M-15.43%400M-40.67%267M-13.31%267M
Total non current liabilities 5.79%4.79B-0.58%4.98B-4.45%4.83B-4.97%4.88B-4.97%4.88B-14.85%4.52B-5.66%5B-7.80%5.06B-9.50%5.13B-9.49%5.13B
Total liabilities -9.87%8.72B-2.79%9.22B-6.06%9.06B-5.34%9.47B-5.34%9.47B-2.46%9.68B-3.99%9.49B-4.42%9.65B-6.79%10B-6.78%10B
Shareholders'equity
Share capital 2.36%4.61B2.21%4.58B2.20%4.55B2.17%4.52B2.17%4.52B2.37%4.5B2.43%4.48B2.53%4.45B2.62%4.43B2.62%4.43B
-common stock 2.36%4.61B2.21%4.58B2.20%4.55B2.17%4.52B2.17%4.52B2.37%4.5B2.43%4.48B2.53%4.45B2.62%4.43B2.62%4.43B
Retained earnings 6.07%-2.14B-3.93%-2.35B-8.87%-2.31B-17.24%-2.32B-17.24%-2.32B-83.24%-2.27B-99.12%-2.26B-147.95%-2.12B-226.94%-1.98B-226.94%-1.98B
Less: Treasury stock 154.76%107M97.14%69M76.67%53M95.65%45M95.65%45M100.00%42M105.88%35M76.47%30M475.00%23M475.00%23M
Gains losses not affecting retained earnings -27.64%-1.27B6.60%-1.09B-12.24%-1.19B-7.82%-1.15B-7.82%-1.15B23.64%-995M25.53%-1.17B21.51%-1.06B2.48%-1.06B2.48%-1.06B
Other equity interest -----------------------1M--1M--1M--------
Total stockholders'equity -7.99%1.09B5.13%1.07B-19.68%996M-25.64%1.02B-25.64%1.02B-35.10%1.19B-38.61%1.01B-41.40%1.24B-47.84%1.37B-47.86%1.37B
Noncontrolling interests 5.77%110M7.00%107M6.06%105M10.31%107M10.31%107M5.05%104M4.17%100M4.21%99M3.19%97M3.19%97M
Total equity -6.88%1.2B5.30%1.17B-17.77%1.1B-23.26%1.12B-23.26%1.12B-33.04%1.29B-36.25%1.11B-39.44%1.34B-46.07%1.46B-46.09%1.46B
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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U.S leading technology companies with strong market presence, influential in their industries, and notable for robust innovation and profitability. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in U.S Tech Companies, ranked from highest to lowest based on real-time market data. U.S leading technology companies with strong market presence, influential in their industries, and notable for robust innovation and profitability. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in U.S Tech Companies, ranked from highest to lowest based on real-time market data.