US Stock MarketDetailed Quotes

LKQ LKQ Corp

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  • 39.100
  • -0.310-0.79%
Close Aug 9 16:00 ET
  • 39.100
  • 0.0000.00%
Post 20:02 ET
10.29BMarket Cap14.38P/E (TTM)

LKQ Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-55.63%213M
13.45%253M
8.48%1.36B
-11.67%212M
61.54%441M
46.34%480M
-45.48%223M
-8.56%1.25B
4,700.00%240M
-36.36%273M
Net income from continuing operations
-34.04%186M
-41.48%158M
-18.43%938M
-8.72%178M
-20.61%208M
-32.86%282M
-1.10%270M
5.31%1.15B
-17.37%195M
-7.75%262M
Operating gains losses
----
----
69.81%-48M
--1M
25.00%-3M
---23M
---23M
-762.50%-159M
--0
-500.00%-4M
Depreciation and amortization
42.86%100M
53.85%100M
20.83%319M
49.25%100M
31.25%84M
2.94%70M
0.00%65M
-7.04%264M
-6.94%67M
-8.57%64M
Deferred tax
----
----
116.67%13M
----
----
----
----
122.22%6M
----
----
Other non cash items
-7.69%24M
200.00%33M
221.43%17M
-162.50%-5M
-15.38%-15M
620.00%26M
375.00%11M
62.16%-14M
0.00%8M
38.10%-13M
Change In working capital
-191.30%-105M
58.18%-46M
320.00%77M
-100.00%-86M
459.09%158M
1,250.00%115M
-277.42%-110M
-1,066.67%-35M
85.32%-43M
-150.57%-44M
-Change in receivables
84.62%24M
-5.51%-249M
131.25%5M
55.88%159M
1.47%69M
-70.45%13M
-2.61%-236M
0.00%-16M
-13.56%102M
151.85%68M
-Change in inventory
-80.00%15M
-191.23%-52M
120.76%71M
-914.29%-57M
95.56%-4M
146.58%75M
158.16%57M
-45.53%-342M
103.85%7M
-50.00%-90M
-Change in payables and accrued expense
-148.78%-40M
900.00%220M
-101.86%-5M
-16.51%-127M
152.94%18M
-20.39%82M
-92.88%22M
-4.95%269M
-14.74%-109M
-136.17%-34M
-Change in other working capital
-89.09%-104M
-25.53%35M
-88.89%6M
-41.86%-61M
525.00%75M
-1,475.00%-55M
-41.98%47M
254.29%54M
67.91%-43M
-53.85%12M
Cash from discontinued investing activities
Operating cash flow
-55.63%213M
13.45%253M
8.48%1.36B
-11.67%212M
61.54%441M
46.34%480M
-45.48%223M
-8.56%1.25B
4,700.00%240M
-36.36%273M
Investing cash flow
Cash flow from continuing investing activities
-2.27%-90M
9.28%-88M
-1,519.77%-2.44B
26.39%-53M
-10,395.24%-2.2B
-126.83%-88M
-53.97%-97M
141.05%172M
66.97%-72M
77.17%-21M
Net PPE purchase and sale
-21.21%-80M
5.71%-66M
-62.91%-347M
-74.29%-122M
-89.36%-89M
-69.23%-66M
-22.81%-70M
21.98%-213M
55.13%-70M
-14.63%-47M
Net business purchase and sale
51.85%-13M
32.00%-17M
-635.44%-2.12B
--84M
-7,767.86%-2.15B
-107.36%-27M
---25M
437.61%395M
--0
173.68%28M
Net investment purchase and sale
----
----
--49M
--0
----
----
----
--0
--0
----
Net other investing changes
-40.00%3M
-150.00%-5M
-190.00%-29M
-650.00%-15M
-750.00%-17M
--5M
66.67%-2M
65.52%-10M
66.67%-2M
84.62%-2M
Cash from discontinued investing activities
Investing cash flow
-2.27%-90M
9.28%-88M
-1,519.77%-2.44B
26.39%-53M
-10,395.24%-2.2B
-126.83%-88M
-53.97%-97M
141.05%172M
66.97%-72M
77.17%-21M
Financing cash flow
Cash flow from continuing financing activities
-113.99%-163M
-71.21%-113M
179.05%1.1B
-63.28%-289M
225.86%292M
264.78%1.17B
76.26%-66M
-41.52%-1.39B
-318.52%-177M
9.73%-232M
Net issuance payments of debt
-96.44%45M
-14.63%35M
3,235.42%1.51B
-340.85%-171M
104.40%372M
609.27%1.26B
177.36%41M
-156.47%-48M
-84.36%71M
891.30%182M
Net common stock issuance
---125M
-275.00%-30M
96.35%-38M
82.14%-30M
--0
--0
94.44%-8M
-18.59%-1.04B
44.37%-168M
-48.92%-344M
Cash dividends paid
-8.11%-80M
-9.46%-81M
-6.34%-302M
-8.11%-80M
-8.82%-74M
-4.23%-74M
-4.23%-74M
-289.04%-284M
-1.37%-74M
---68M
Net other financing activities
87.50%-3M
-48.00%-37M
-186.36%-63M
-33.33%-8M
-200.00%-6M
-500.00%-24M
-150.00%-25M
81.67%-22M
-400.00%-6M
33.33%-2M
Cash from discontinued financing activities
Financing cash flow
-113.99%-163M
-71.21%-113M
179.05%1.1B
-63.28%-289M
225.86%292M
264.78%1.17B
76.26%-66M
-41.52%-1.39B
-318.52%-177M
9.73%-232M
Net cash flow
Beginning cash position
0.58%344M
7.55%299M
1.46%278M
49.07%401M
618.49%1.9B
4.59%342M
1.46%278M
-12.18%274M
-33.25%269M
-19.45%265M
Current changes in cash
-102.57%-40M
-13.33%52M
-42.86%16M
-1,344.44%-130M
-7,455.00%-1.47B
3,152.94%1.56B
-11.76%60M
175.68%28M
93.18%-9M
-75.00%20M
Effect of exchange rate changes
-160.00%-3M
-275.00%-7M
120.83%5M
-72.22%5M
43.75%-9M
125.00%5M
166.67%4M
-2,300.00%-24M
500.00%18M
-166.67%-16M
End cash Position
-84.19%301M
0.58%344M
7.55%299M
7.55%299M
49.07%401M
618.49%1.9B
4.59%342M
1.46%278M
1.46%278M
-33.25%269M
Free cash flow
-67.87%133M
22.22%187M
-2.92%998M
-47.59%87M
53.57%344M
43.75%414M
-56.29%153M
-4.28%1.03B
207.10%166M
-41.67%224M
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
--
--
(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(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -55.63%213M13.45%253M8.48%1.36B-11.67%212M61.54%441M46.34%480M-45.48%223M-8.56%1.25B4,700.00%240M-36.36%273M
Net income from continuing operations -34.04%186M-41.48%158M-18.43%938M-8.72%178M-20.61%208M-32.86%282M-1.10%270M5.31%1.15B-17.37%195M-7.75%262M
Operating gains losses --------69.81%-48M--1M25.00%-3M---23M---23M-762.50%-159M--0-500.00%-4M
Depreciation and amortization 42.86%100M53.85%100M20.83%319M49.25%100M31.25%84M2.94%70M0.00%65M-7.04%264M-6.94%67M-8.57%64M
Deferred tax --------116.67%13M----------------122.22%6M--------
Other non cash items -7.69%24M200.00%33M221.43%17M-162.50%-5M-15.38%-15M620.00%26M375.00%11M62.16%-14M0.00%8M38.10%-13M
Change In working capital -191.30%-105M58.18%-46M320.00%77M-100.00%-86M459.09%158M1,250.00%115M-277.42%-110M-1,066.67%-35M85.32%-43M-150.57%-44M
-Change in receivables 84.62%24M-5.51%-249M131.25%5M55.88%159M1.47%69M-70.45%13M-2.61%-236M0.00%-16M-13.56%102M151.85%68M
-Change in inventory -80.00%15M-191.23%-52M120.76%71M-914.29%-57M95.56%-4M146.58%75M158.16%57M-45.53%-342M103.85%7M-50.00%-90M
-Change in payables and accrued expense -148.78%-40M900.00%220M-101.86%-5M-16.51%-127M152.94%18M-20.39%82M-92.88%22M-4.95%269M-14.74%-109M-136.17%-34M
-Change in other working capital -89.09%-104M-25.53%35M-88.89%6M-41.86%-61M525.00%75M-1,475.00%-55M-41.98%47M254.29%54M67.91%-43M-53.85%12M
Cash from discontinued investing activities
Operating cash flow -55.63%213M13.45%253M8.48%1.36B-11.67%212M61.54%441M46.34%480M-45.48%223M-8.56%1.25B4,700.00%240M-36.36%273M
Investing cash flow
Cash flow from continuing investing activities -2.27%-90M9.28%-88M-1,519.77%-2.44B26.39%-53M-10,395.24%-2.2B-126.83%-88M-53.97%-97M141.05%172M66.97%-72M77.17%-21M
Net PPE purchase and sale -21.21%-80M5.71%-66M-62.91%-347M-74.29%-122M-89.36%-89M-69.23%-66M-22.81%-70M21.98%-213M55.13%-70M-14.63%-47M
Net business purchase and sale 51.85%-13M32.00%-17M-635.44%-2.12B--84M-7,767.86%-2.15B-107.36%-27M---25M437.61%395M--0173.68%28M
Net investment purchase and sale ----------49M--0--------------0--0----
Net other investing changes -40.00%3M-150.00%-5M-190.00%-29M-650.00%-15M-750.00%-17M--5M66.67%-2M65.52%-10M66.67%-2M84.62%-2M
Cash from discontinued investing activities
Investing cash flow -2.27%-90M9.28%-88M-1,519.77%-2.44B26.39%-53M-10,395.24%-2.2B-126.83%-88M-53.97%-97M141.05%172M66.97%-72M77.17%-21M
Financing cash flow
Cash flow from continuing financing activities -113.99%-163M-71.21%-113M179.05%1.1B-63.28%-289M225.86%292M264.78%1.17B76.26%-66M-41.52%-1.39B-318.52%-177M9.73%-232M
Net issuance payments of debt -96.44%45M-14.63%35M3,235.42%1.51B-340.85%-171M104.40%372M609.27%1.26B177.36%41M-156.47%-48M-84.36%71M891.30%182M
Net common stock issuance ---125M-275.00%-30M96.35%-38M82.14%-30M--0--094.44%-8M-18.59%-1.04B44.37%-168M-48.92%-344M
Cash dividends paid -8.11%-80M-9.46%-81M-6.34%-302M-8.11%-80M-8.82%-74M-4.23%-74M-4.23%-74M-289.04%-284M-1.37%-74M---68M
Net other financing activities 87.50%-3M-48.00%-37M-186.36%-63M-33.33%-8M-200.00%-6M-500.00%-24M-150.00%-25M81.67%-22M-400.00%-6M33.33%-2M
Cash from discontinued financing activities
Financing cash flow -113.99%-163M-71.21%-113M179.05%1.1B-63.28%-289M225.86%292M264.78%1.17B76.26%-66M-41.52%-1.39B-318.52%-177M9.73%-232M
Net cash flow
Beginning cash position 0.58%344M7.55%299M1.46%278M49.07%401M618.49%1.9B4.59%342M1.46%278M-12.18%274M-33.25%269M-19.45%265M
Current changes in cash -102.57%-40M-13.33%52M-42.86%16M-1,344.44%-130M-7,455.00%-1.47B3,152.94%1.56B-11.76%60M175.68%28M93.18%-9M-75.00%20M
Effect of exchange rate changes -160.00%-3M-275.00%-7M120.83%5M-72.22%5M43.75%-9M125.00%5M166.67%4M-2,300.00%-24M500.00%18M-166.67%-16M
End cash Position -84.19%301M0.58%344M7.55%299M7.55%299M49.07%401M618.49%1.9B4.59%342M1.46%278M1.46%278M-33.25%269M
Free cash flow -67.87%133M22.22%187M-2.92%998M-47.59%87M53.57%344M43.75%414M-56.29%153M-4.28%1.03B207.10%166M-41.67%224M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

Analysis

Analyst Rating

No Data

Price Target

No Data

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