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META Meta Platforms

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  • 597.230
  • +1.660+0.28%
Trading Dec 20 15:01 ET
1.51TMarket Cap28.18P/E (TTM)

Meta Platforms 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
21.18%24.72B
11.91%19.37B
37.49%19.25B
40.89%71.11B
33.72%19.4B
110.50%20.4B
41.92%17.31B
-0.55%14B
-12.50%50.48B
-19.85%14.51B
Net income from continuing operations
35.44%15.69B
72.87%13.47B
116.66%12.37B
68.53%39.1B
201.25%14.02B
163.55%11.58B
16.48%7.79B
-23.52%5.71B
-41.07%23.2B
-54.76%4.65B
Depreciation and amortization
40.85%4.03B
38.66%3.64B
33.68%3.37B
28.69%11.18B
33.50%3.17B
31.45%2.86B
32.54%2.62B
17.07%2.52B
9.02%8.69B
17.97%2.38B
Deferred tax
-142.90%-1.31B
-44.42%-1.64B
26.45%-456M
103.99%131M
1.02%-1.16B
377.94%3.05B
-150.99%-1.14B
-10.12%-620M
-639.57%-3.29B
-256.82%-1.17B
Other non cash items
-114.86%-11M
-102.37%-5M
-842.86%-66M
-79.26%411M
-93.04%133M
-28.85%74M
12.23%211M
96.83%-7M
1,660.63%1.98B
5,520.59%1.91B
Change In working capital
308.04%2.07B
-120.99%-741M
-91.33%223M
-32.50%3.84B
-165.82%-1.27B
-275.18%-995M
697.07%3.53B
-6.20%2.57B
711.86%5.68B
-26.19%1.93B
-Change in receivables
121.09%143M
17.84%-1.17B
-1.02%2.52B
-1,138.53%-2.4B
-67.33%-2.84B
-545.71%-678M
-172.80%-1.42B
-0.43%2.55B
107.43%231M
16.63%-1.7B
-Change in prepaid assets
79.74%-184M
-55.56%-84M
-87.82%100M
245.06%559M
-18.13%700M
-9.27%-908M
87.59%-54M
43.28%821M
109.26%162M
4.78%855M
-Change in payables and accrued expense
77.25%1.24B
-104.82%-247M
-136.24%-2.39B
13.79%5.13B
-85.75%320M
-30.03%699M
244.06%5.12B
-350.89%-1.01B
-9.22%4.51B
-38.90%2.25B
-Change in other current assets
19.44%-29M
43.24%53M
-413.33%-94M
24.53%-80M
-305.56%-111M
-28.57%-36M
254.17%37M
127.78%30M
69.63%-106M
132.73%54M
-Change in other current liabilities
1,351.39%901M
568.21%707M
-54.89%83M
-29.57%624M
39.58%663M
-113.51%-72M
-132.31%-151M
422.81%184M
-5.84%886M
14.73%475M
Cash from discontinued investing activities
Operating cash flow
21.18%24.72B
11.91%19.37B
37.49%19.25B
40.89%71.11B
33.72%19.4B
110.50%20.4B
41.92%17.31B
-0.55%14B
-12.50%50.48B
-19.85%14.51B
Investing cash flow
Cash flow from continuing investing activities
-41.85%-8.62B
-59.48%-8.3B
-29.53%-8.73B
15.45%-24.5B
14.06%-6.47B
37.36%-6.08B
25.23%-5.2B
-41.10%-6.74B
-282.69%-28.97B
-229.20%-7.53B
Net PPE purchase and sale
-27.12%-8.26B
-33.24%-8.17B
6.20%-6.4B
13.28%-27.05B
15.53%-7.59B
30.56%-6.5B
18.52%-6.13B
-28.37%-6.82B
-67.96%-31.19B
-67.41%-8.99B
Net business purchase and sale
-247.37%-132M
31.33%-57M
83.78%-72M
52.06%-629M
-3.23%-64M
-11.76%-38M
77.13%-83M
47.95%-444M
-54.17%-1.31B
88.10%-62M
Net investment purchase and sale
-175.80%-354M
-105.10%-56M
-603.79%-2.26B
-9.34%3.2B
-22.01%1.19B
242.38%467M
17.04%1.1B
-67.91%449M
-71.00%3.53B
-87.15%1.52B
Net other investing changes
1,340.00%124M
----
----
-475.00%-23M
0.00%-3M
-162.50%-10M
-1,114.29%-85M
850.00%75M
98.79%-4M
97.60%-3M
Cash from discontinued investing activities
Investing cash flow
-41.85%-8.62B
-59.48%-8.3B
-29.53%-8.73B
15.45%-24.5B
14.06%-6.47B
37.36%-6.08B
25.23%-5.2B
-41.10%-6.74B
-282.69%-28.97B
-229.20%-7.53B
Financing cash flow
Cash flow from continuing financing activities
25.60%-4.37B
-311.22%-11.18B
-87.97%-19.77B
11.91%-19.5B
-18.99%-8.4B
-373.64%-5.88B
180.63%5.29B
1.35%-10.52B
56.36%-22.14B
67.53%-7.06B
Net issuance payments of debt
3,653.56%9.49B
-103.63%-299M
-19.32%-315M
-18.45%7.4B
-30.64%-307M
-102.74%-267M
3,860.27%8.24B
-13.30%-264M
1,439.88%9.07B
-25.67%-235M
Net common stock issuance
-147.07%-8.82B
-601.45%-6.3B
-60.26%-15.01B
29.27%-19.77B
13.42%-5.94B
43.83%-3.57B
82.84%-898M
1.48%-9.37B
37.23%-27.96B
65.79%-6.86B
Cash dividends paid
---1.26B
---1.27B
---1.27B
----
----
--0
--0
--0
----
----
Net other financing activities
-85.29%-3.78B
-62.05%-3.31B
-257.50%-3.17B
-119.10%-7.12B
-5,763.16%-2.15B
-62.21%-2.04B
-84.07%-2.05B
3.69%-887M
41.04%-3.25B
102.54%38M
Cash from discontinued financing activities
Financing cash flow
25.60%-4.37B
-311.22%-11.18B
-87.97%-19.77B
11.91%-19.5B
-18.99%-8.4B
-373.64%-5.88B
180.63%5.29B
1.35%-10.52B
56.36%-22.14B
67.53%-7.06B
Net cash flow
Beginning cash position
10.81%33.03B
167.99%33.28B
174.60%42.83B
-7.52%15.6B
148.51%37.9B
121.13%29.8B
-19.10%12.42B
-7.52%15.6B
-6.07%16.87B
3.02%15.25B
Current changes in cash
38.85%11.73B
-100.61%-106M
-183.81%-9.26B
4,397.62%27.12B
5,763.75%4.53B
295.23%8.45B
1,412.07%17.4B
-139.25%-3.26B
-2.60%-631M
-103.65%-80M
Effect of exchange rate changes
203.95%368M
-985.71%-152M
-438.82%-288M
117.71%113M
-6.82%396M
3.01%-354M
97.45%-14M
157.05%85M
-34.60%-638M
426.92%425M
End cash Position
19.07%45.13B
10.81%33.03B
167.99%33.28B
174.60%42.83B
174.60%42.83B
148.51%37.9B
121.13%29.8B
-19.10%12.42B
-7.52%15.6B
-7.52%15.6B
Free cash flow
18.41%16.47B
0.20%11.2B
79.04%12.85B
130.24%43.85B
111.98%11.59B
4,286.75%13.91B
141.67%11.18B
-16.91%7.18B
-51.16%19.04B
-56.96%5.47B
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
(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 21.18%24.72B11.91%19.37B37.49%19.25B40.89%71.11B33.72%19.4B110.50%20.4B41.92%17.31B-0.55%14B-12.50%50.48B-19.85%14.51B
Net income from continuing operations 35.44%15.69B72.87%13.47B116.66%12.37B68.53%39.1B201.25%14.02B163.55%11.58B16.48%7.79B-23.52%5.71B-41.07%23.2B-54.76%4.65B
Depreciation and amortization 40.85%4.03B38.66%3.64B33.68%3.37B28.69%11.18B33.50%3.17B31.45%2.86B32.54%2.62B17.07%2.52B9.02%8.69B17.97%2.38B
Deferred tax -142.90%-1.31B-44.42%-1.64B26.45%-456M103.99%131M1.02%-1.16B377.94%3.05B-150.99%-1.14B-10.12%-620M-639.57%-3.29B-256.82%-1.17B
Other non cash items -114.86%-11M-102.37%-5M-842.86%-66M-79.26%411M-93.04%133M-28.85%74M12.23%211M96.83%-7M1,660.63%1.98B5,520.59%1.91B
Change In working capital 308.04%2.07B-120.99%-741M-91.33%223M-32.50%3.84B-165.82%-1.27B-275.18%-995M697.07%3.53B-6.20%2.57B711.86%5.68B-26.19%1.93B
-Change in receivables 121.09%143M17.84%-1.17B-1.02%2.52B-1,138.53%-2.4B-67.33%-2.84B-545.71%-678M-172.80%-1.42B-0.43%2.55B107.43%231M16.63%-1.7B
-Change in prepaid assets 79.74%-184M-55.56%-84M-87.82%100M245.06%559M-18.13%700M-9.27%-908M87.59%-54M43.28%821M109.26%162M4.78%855M
-Change in payables and accrued expense 77.25%1.24B-104.82%-247M-136.24%-2.39B13.79%5.13B-85.75%320M-30.03%699M244.06%5.12B-350.89%-1.01B-9.22%4.51B-38.90%2.25B
-Change in other current assets 19.44%-29M43.24%53M-413.33%-94M24.53%-80M-305.56%-111M-28.57%-36M254.17%37M127.78%30M69.63%-106M132.73%54M
-Change in other current liabilities 1,351.39%901M568.21%707M-54.89%83M-29.57%624M39.58%663M-113.51%-72M-132.31%-151M422.81%184M-5.84%886M14.73%475M
Cash from discontinued investing activities
Operating cash flow 21.18%24.72B11.91%19.37B37.49%19.25B40.89%71.11B33.72%19.4B110.50%20.4B41.92%17.31B-0.55%14B-12.50%50.48B-19.85%14.51B
Investing cash flow
Cash flow from continuing investing activities -41.85%-8.62B-59.48%-8.3B-29.53%-8.73B15.45%-24.5B14.06%-6.47B37.36%-6.08B25.23%-5.2B-41.10%-6.74B-282.69%-28.97B-229.20%-7.53B
Net PPE purchase and sale -27.12%-8.26B-33.24%-8.17B6.20%-6.4B13.28%-27.05B15.53%-7.59B30.56%-6.5B18.52%-6.13B-28.37%-6.82B-67.96%-31.19B-67.41%-8.99B
Net business purchase and sale -247.37%-132M31.33%-57M83.78%-72M52.06%-629M-3.23%-64M-11.76%-38M77.13%-83M47.95%-444M-54.17%-1.31B88.10%-62M
Net investment purchase and sale -175.80%-354M-105.10%-56M-603.79%-2.26B-9.34%3.2B-22.01%1.19B242.38%467M17.04%1.1B-67.91%449M-71.00%3.53B-87.15%1.52B
Net other investing changes 1,340.00%124M---------475.00%-23M0.00%-3M-162.50%-10M-1,114.29%-85M850.00%75M98.79%-4M97.60%-3M
Cash from discontinued investing activities
Investing cash flow -41.85%-8.62B-59.48%-8.3B-29.53%-8.73B15.45%-24.5B14.06%-6.47B37.36%-6.08B25.23%-5.2B-41.10%-6.74B-282.69%-28.97B-229.20%-7.53B
Financing cash flow
Cash flow from continuing financing activities 25.60%-4.37B-311.22%-11.18B-87.97%-19.77B11.91%-19.5B-18.99%-8.4B-373.64%-5.88B180.63%5.29B1.35%-10.52B56.36%-22.14B67.53%-7.06B
Net issuance payments of debt 3,653.56%9.49B-103.63%-299M-19.32%-315M-18.45%7.4B-30.64%-307M-102.74%-267M3,860.27%8.24B-13.30%-264M1,439.88%9.07B-25.67%-235M
Net common stock issuance -147.07%-8.82B-601.45%-6.3B-60.26%-15.01B29.27%-19.77B13.42%-5.94B43.83%-3.57B82.84%-898M1.48%-9.37B37.23%-27.96B65.79%-6.86B
Cash dividends paid ---1.26B---1.27B---1.27B----------0--0--0--------
Net other financing activities -85.29%-3.78B-62.05%-3.31B-257.50%-3.17B-119.10%-7.12B-5,763.16%-2.15B-62.21%-2.04B-84.07%-2.05B3.69%-887M41.04%-3.25B102.54%38M
Cash from discontinued financing activities
Financing cash flow 25.60%-4.37B-311.22%-11.18B-87.97%-19.77B11.91%-19.5B-18.99%-8.4B-373.64%-5.88B180.63%5.29B1.35%-10.52B56.36%-22.14B67.53%-7.06B
Net cash flow
Beginning cash position 10.81%33.03B167.99%33.28B174.60%42.83B-7.52%15.6B148.51%37.9B121.13%29.8B-19.10%12.42B-7.52%15.6B-6.07%16.87B3.02%15.25B
Current changes in cash 38.85%11.73B-100.61%-106M-183.81%-9.26B4,397.62%27.12B5,763.75%4.53B295.23%8.45B1,412.07%17.4B-139.25%-3.26B-2.60%-631M-103.65%-80M
Effect of exchange rate changes 203.95%368M-985.71%-152M-438.82%-288M117.71%113M-6.82%396M3.01%-354M97.45%-14M157.05%85M-34.60%-638M426.92%425M
End cash Position 19.07%45.13B10.81%33.03B167.99%33.28B174.60%42.83B174.60%42.83B148.51%37.9B121.13%29.8B-19.10%12.42B-7.52%15.6B-7.52%15.6B
Free cash flow 18.41%16.47B0.20%11.2B79.04%12.85B130.24%43.85B111.98%11.59B4,286.75%13.91B141.67%11.18B-16.91%7.18B-51.16%19.04B-56.96%5.47B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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