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NVDA NVIDIA Corp

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  • 32.250
  • -0.280-0.86%
15min DelayTrading Dec 12 15:00 ET
4.56TMarket Cap52.96P/E (TTM)

NVIDIA Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Oct 27, 2024
(Q2)Jul 28, 2024
(Q1)Apr 28, 2024
(FY)Jan 28, 2024
(Q4)Jan 28, 2024
(Q3)Oct 29, 2023
(Q2)Jul 30, 2023
(Q1)Apr 30, 2023
(FY)Jan 29, 2023
(Q4)Jan 29, 2023
Assets
Current assets
Cash, cash equivalents and short term investments
110.53%38.49B
117.19%34.8B
105.21%31.44B
95.43%25.98B
95.43%25.98B
39.09%18.28B
-5.95%16.02B
-24.67%15.32B
-37.31%13.3B
-37.31%13.3B
-Cash and cash equivalents
65.01%9.11B
48.07%8.56B
49.38%7.59B
114.81%7.28B
114.81%7.28B
97.11%5.52B
91.93%5.78B
30.67%5.08B
70.30%3.39B
70.30%3.39B
-Short term investments
130.21%29.38B
156.22%26.24B
132.90%23.85B
88.80%18.7B
88.80%18.7B
23.39%12.76B
-26.98%10.24B
-37.75%10.24B
-48.45%9.91B
-48.45%9.91B
Receivables
112.94%17.69B
100.00%14.13B
203.06%12.37B
161.28%10B
161.28%10B
69.30%8.31B
32.89%7.07B
-24.97%4.08B
-17.70%3.83B
-17.70%3.83B
-Accounts receivable
112.94%17.69B
100.00%14.13B
203.06%12.37B
161.28%10B
161.28%10B
69.30%8.31B
32.89%7.07B
-24.97%4.08B
-17.70%3.83B
-17.70%3.83B
Inventory
60.16%7.65B
54.55%6.68B
27.17%5.86B
2.38%5.28B
2.38%5.28B
7.30%4.78B
11.06%4.32B
45.78%4.61B
98.04%5.16B
98.04%5.16B
Other current assets
195.27%3.81B
189.85%4.03B
365.83%4.06B
289.38%3.08B
289.38%3.08B
79.53%1.29B
18.21%1.39B
37.11%872M
116.12%791M
116.12%791M
Total current assets
107.12%67.64B
107.08%59.63B
115.93%53.73B
92.19%44.35B
92.19%44.35B
40.63%32.66B
5.03%28.8B
-15.86%24.88B
-19.97%23.07B
-19.97%23.07B
Non current assets
Net PPE
37.56%7.1B
27.95%6.44B
14.56%5.54B
8.57%5.26B
8.57%5.26B
9.76%5.16B
23.23%5.03B
28.15%4.83B
34.32%4.85B
34.32%4.85B
-Gross PPE
37.56%7.1B
27.95%6.44B
14.56%5.54B
16.32%8.77B
16.32%8.77B
9.76%5.16B
23.23%5.03B
28.15%4.83B
36.82%7.54B
36.82%7.54B
-Accumulated depreciation
----
----
----
-30.25%-3.51B
-30.25%-3.51B
----
----
----
-41.57%-2.69B
-41.57%-2.69B
Investments and advances
90.87%2.24B
127.38%1.82B
246.53%1.75B
417.06%1.55B
417.06%1.55B
273.25%1.17B
160.59%800M
77.19%505M
12.41%299M
12.41%299M
-Other investment
90.87%2.24B
127.38%1.82B
246.53%1.75B
417.06%1.55B
417.06%1.55B
273.25%1.17B
160.59%800M
77.19%505M
12.41%299M
12.41%299M
Non current accounts receivable
--568M
----
----
----
----
----
----
----
----
----
Non current prepaid assets
-28.87%2.39B
-43.82%2B
-27.12%2.59B
-16.41%2.82B
-16.41%2.82B
6.07%3.36B
21.59%3.55B
12.58%3.55B
-3.79%3.38B
-3.79%3.38B
Goodwill and other intangible assets
-2.09%5.56B
-4.31%5.57B
-8.91%5.44B
-8.37%5.54B
-8.37%5.54B
-8.69%5.68B
-9.10%5.83B
-9.20%5.97B
-9.57%6.05B
-9.57%6.05B
-Goodwill
6.64%4.72B
4.33%4.62B
0.52%4.45B
1.33%4.43B
1.33%4.43B
1.33%4.43B
1.33%4.43B
1.49%4.43B
0.53%4.37B
0.53%4.37B
-Other intangible assets
-33.01%838M
-31.76%952M
-36.02%986M
-33.65%1.11B
-33.65%1.11B
-32.38%1.25B
-31.48%1.4B
-30.30%1.54B
-28.35%1.68B
-28.35%1.68B
Non current deferred assets
71.78%10.28B
77.44%9.58B
70.71%7.8B
79.06%6.08B
79.06%6.08B
116.58%5.98B
142.61%5.4B
156.05%4.57B
177.91%3.4B
177.91%3.4B
Other non current assets
76.26%245M
25.68%186M
57.24%228M
-8.97%132M
-8.97%132M
36.27%139M
33.33%148M
130.16%145M
119.70%145M
119.70%145M
Total non current assets
32.03%28.37B
23.30%25.59B
19.24%23.34B
18.08%21.38B
18.08%21.38B
24.47%21.49B
29.27%20.76B
25.20%19.58B
17.91%18.11B
17.91%18.11B
Total assets
77.32%96.01B
71.98%85.23B
73.35%77.07B
59.60%65.73B
59.60%65.73B
33.74%54.15B
13.98%49.56B
-1.66%44.46B
-6.80%41.18B
-6.80%41.18B
Liabilities
Current liabilities
Current debt and capital lease obligation
-81.54%273M
-82.84%250M
4.11%1.5B
3.65%1.48B
3.65%1.48B
18.41%1.48B
16.65%1.46B
--1.44B
890.28%1.43B
890.28%1.43B
-Current debt
----
----
0.00%1.25B
0.00%1.25B
0.00%1.25B
0.00%1.25B
0.00%1.25B
--1.25B
--1.25B
--1.25B
-Current capital lease obligation
18.70%273M
20.19%250M
31.55%246M
29.55%228M
29.55%228M
--230M
--208M
--187M
22.22%176M
22.22%176M
Payables
139.61%6.71B
2.56%4.85B
145.66%6.6B
80.42%3B
80.42%3B
75.11%2.8B
83.48%4.73B
-12.25%2.69B
-13.32%1.66B
-13.32%1.66B
-accounts payable
124.92%5.35B
90.77%3.68B
137.95%2.72B
126.24%2.7B
126.24%2.7B
59.62%2.38B
-20.32%1.93B
-42.92%1.14B
-33.09%1.19B
-33.09%1.19B
-Total tax payable
222.86%1.36B
-58.15%1.17B
151.36%3.88B
-36.62%296M
-36.62%296M
288.89%420M
1,674.05%2.8B
109.78%1.54B
253.79%467M
253.79%467M
Current accrued expenses
94.91%7.47B
104.47%6.86B
120.25%5.49B
62.25%4.78B
62.25%4.78B
25.95%3.83B
22.00%3.36B
49.07%2.49B
83.55%2.95B
83.55%2.95B
Current provisions
270.23%1.11B
416.67%868M
474.11%643M
284.26%415M
284.26%415M
187.50%299M
0.00%168M
--112M
--108M
--108M
Current deferred liabilities
46.59%752M
125.18%948M
130.25%845M
115.82%764M
115.82%764M
51.78%513M
17.27%421M
9.88%367M
18.00%354M
18.00%354M
Other current liabilities
-6.25%165M
-5.47%190M
-9.09%150M
188.41%199M
188.41%199M
-66.22%176M
-57.05%201M
-66.67%165M
-81.40%69M
-81.40%69M
Current liabilities
81.07%16.48B
35.18%13.97B
109.68%15.22B
61.98%10.63B
61.98%10.63B
32.76%9.1B
36.46%10.33B
30.53%7.26B
51.40%6.56B
51.40%6.56B
Non current liabilities
Long term debt and capital lease obligation
4.23%9.95B
2.82%9.77B
-8.48%9.74B
-9.68%9.58B
-9.68%9.58B
-9.06%9.55B
-9.06%9.5B
-9.03%10.64B
-9.26%10.61B
-9.26%10.61B
-Long term debt
0.06%8.46B
0.06%8.46B
-12.82%8.46B
-12.82%8.46B
-12.82%8.46B
-12.82%8.46B
-12.82%8.46B
-11.35%9.7B
-11.36%9.7B
-11.36%9.7B
-Long term capital lease obligation
36.57%1.49B
25.26%1.3B
36.42%1.28B
24.06%1.12B
24.06%1.12B
36.72%1.09B
40.11%1.04B
24.87%939M
21.73%902M
21.73%902M
Long term accounts payable and other payables
47.46%1.95B
13.07%1.67B
10.86%1.61B
4.04%1.44B
4.04%1.44B
24.79%1.32B
44.52%1.48B
38.44%1.46B
31.03%1.39B
31.03%1.39B
Non current deferred liabilities
91.17%1.62B
115.86%1.47B
147.50%1.29B
122.58%1.04B
122.58%1.04B
84.97%849M
50.33%681M
13.04%520M
4.03%465M
4.03%465M
Other non current liabilities
74.24%115M
201.54%196M
6.45%66M
3.17%65M
3.17%65M
-75.46%66M
-51.49%65M
-48.33%62M
28.57%63M
28.57%63M
Total non current liabilities
15.73%13.64B
11.78%13.1B
0.21%12.71B
-3.19%12.12B
-3.19%12.12B
-4.09%11.78B
-2.75%11.72B
-4.88%12.68B
-5.45%12.52B
-5.45%12.52B
Total liabilities
44.20%30.11B
22.74%27.07B
40.07%27.93B
19.23%22.75B
19.23%22.75B
9.11%20.88B
12.38%22.05B
5.55%19.94B
8.57%19.08B
8.57%19.08B
Shareholders'equity
Share capital
1,150.00%25M
1,150.00%25M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
-33.33%2M
-33.33%2M
-33.33%2M
-common stock
1,150.00%25M
1,150.00%25M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
-33.33%2M
-33.33%2M
-33.33%2M
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Additional paid-in capital
-9.01%11.82B
-4.07%12.12B
1.59%12.65B
9.70%13.13B
9.70%13.13B
12.33%12.99B
15.14%12.63B
17.23%12.45B
15.27%11.97B
15.27%11.97B
Retained earnings
164.98%53.95B
208.03%45.96B
202.09%36.6B
193.16%29.82B
193.16%29.82B
105.55%20.36B
15.03%14.92B
-23.12%12.12B
-37.35%10.17B
-37.35%10.17B
Gains losses not affecting retained earnings
217.05%103M
209.80%56M
-118.00%-109M
162.79%27M
162.79%27M
28.46%-88M
43.33%-51M
21.88%-50M
-290.91%-43M
-290.91%-43M
Total stockholders'equity
98.10%65.9B
111.47%58.16B
100.42%49.14B
94.46%42.98B
94.46%42.98B
55.82%33.27B
15.30%27.5B
-6.84%24.52B
-16.95%22.1B
-16.95%22.1B
Total equity
98.10%65.9B
111.47%58.16B
100.42%49.14B
94.46%42.98B
94.46%42.98B
55.82%33.27B
15.30%27.5B
-6.84%24.52B
-16.95%22.1B
-16.95%22.1B
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(Q3)Oct 27, 2024(Q2)Jul 28, 2024(Q1)Apr 28, 2024(FY)Jan 28, 2024(Q4)Jan 28, 2024(Q3)Oct 29, 2023(Q2)Jul 30, 2023(Q1)Apr 30, 2023(FY)Jan 29, 2023(Q4)Jan 29, 2023
Assets
Current assets
Cash, cash equivalents and short term investments 110.53%38.49B117.19%34.8B105.21%31.44B95.43%25.98B95.43%25.98B39.09%18.28B-5.95%16.02B-24.67%15.32B-37.31%13.3B-37.31%13.3B
-Cash and cash equivalents 65.01%9.11B48.07%8.56B49.38%7.59B114.81%7.28B114.81%7.28B97.11%5.52B91.93%5.78B30.67%5.08B70.30%3.39B70.30%3.39B
-Short term investments 130.21%29.38B156.22%26.24B132.90%23.85B88.80%18.7B88.80%18.7B23.39%12.76B-26.98%10.24B-37.75%10.24B-48.45%9.91B-48.45%9.91B
Receivables 112.94%17.69B100.00%14.13B203.06%12.37B161.28%10B161.28%10B69.30%8.31B32.89%7.07B-24.97%4.08B-17.70%3.83B-17.70%3.83B
-Accounts receivable 112.94%17.69B100.00%14.13B203.06%12.37B161.28%10B161.28%10B69.30%8.31B32.89%7.07B-24.97%4.08B-17.70%3.83B-17.70%3.83B
Inventory 60.16%7.65B54.55%6.68B27.17%5.86B2.38%5.28B2.38%5.28B7.30%4.78B11.06%4.32B45.78%4.61B98.04%5.16B98.04%5.16B
Other current assets 195.27%3.81B189.85%4.03B365.83%4.06B289.38%3.08B289.38%3.08B79.53%1.29B18.21%1.39B37.11%872M116.12%791M116.12%791M
Total current assets 107.12%67.64B107.08%59.63B115.93%53.73B92.19%44.35B92.19%44.35B40.63%32.66B5.03%28.8B-15.86%24.88B-19.97%23.07B-19.97%23.07B
Non current assets
Net PPE 37.56%7.1B27.95%6.44B14.56%5.54B8.57%5.26B8.57%5.26B9.76%5.16B23.23%5.03B28.15%4.83B34.32%4.85B34.32%4.85B
-Gross PPE 37.56%7.1B27.95%6.44B14.56%5.54B16.32%8.77B16.32%8.77B9.76%5.16B23.23%5.03B28.15%4.83B36.82%7.54B36.82%7.54B
-Accumulated depreciation -------------30.25%-3.51B-30.25%-3.51B-------------41.57%-2.69B-41.57%-2.69B
Investments and advances 90.87%2.24B127.38%1.82B246.53%1.75B417.06%1.55B417.06%1.55B273.25%1.17B160.59%800M77.19%505M12.41%299M12.41%299M
-Other investment 90.87%2.24B127.38%1.82B246.53%1.75B417.06%1.55B417.06%1.55B273.25%1.17B160.59%800M77.19%505M12.41%299M12.41%299M
Non current accounts receivable --568M------------------------------------
Non current prepaid assets -28.87%2.39B-43.82%2B-27.12%2.59B-16.41%2.82B-16.41%2.82B6.07%3.36B21.59%3.55B12.58%3.55B-3.79%3.38B-3.79%3.38B
Goodwill and other intangible assets -2.09%5.56B-4.31%5.57B-8.91%5.44B-8.37%5.54B-8.37%5.54B-8.69%5.68B-9.10%5.83B-9.20%5.97B-9.57%6.05B-9.57%6.05B
-Goodwill 6.64%4.72B4.33%4.62B0.52%4.45B1.33%4.43B1.33%4.43B1.33%4.43B1.33%4.43B1.49%4.43B0.53%4.37B0.53%4.37B
-Other intangible assets -33.01%838M-31.76%952M-36.02%986M-33.65%1.11B-33.65%1.11B-32.38%1.25B-31.48%1.4B-30.30%1.54B-28.35%1.68B-28.35%1.68B
Non current deferred assets 71.78%10.28B77.44%9.58B70.71%7.8B79.06%6.08B79.06%6.08B116.58%5.98B142.61%5.4B156.05%4.57B177.91%3.4B177.91%3.4B
Other non current assets 76.26%245M25.68%186M57.24%228M-8.97%132M-8.97%132M36.27%139M33.33%148M130.16%145M119.70%145M119.70%145M
Total non current assets 32.03%28.37B23.30%25.59B19.24%23.34B18.08%21.38B18.08%21.38B24.47%21.49B29.27%20.76B25.20%19.58B17.91%18.11B17.91%18.11B
Total assets 77.32%96.01B71.98%85.23B73.35%77.07B59.60%65.73B59.60%65.73B33.74%54.15B13.98%49.56B-1.66%44.46B-6.80%41.18B-6.80%41.18B
Liabilities
Current liabilities
Current debt and capital lease obligation -81.54%273M-82.84%250M4.11%1.5B3.65%1.48B3.65%1.48B18.41%1.48B16.65%1.46B--1.44B890.28%1.43B890.28%1.43B
-Current debt --------0.00%1.25B0.00%1.25B0.00%1.25B0.00%1.25B0.00%1.25B--1.25B--1.25B--1.25B
-Current capital lease obligation 18.70%273M20.19%250M31.55%246M29.55%228M29.55%228M--230M--208M--187M22.22%176M22.22%176M
Payables 139.61%6.71B2.56%4.85B145.66%6.6B80.42%3B80.42%3B75.11%2.8B83.48%4.73B-12.25%2.69B-13.32%1.66B-13.32%1.66B
-accounts payable 124.92%5.35B90.77%3.68B137.95%2.72B126.24%2.7B126.24%2.7B59.62%2.38B-20.32%1.93B-42.92%1.14B-33.09%1.19B-33.09%1.19B
-Total tax payable 222.86%1.36B-58.15%1.17B151.36%3.88B-36.62%296M-36.62%296M288.89%420M1,674.05%2.8B109.78%1.54B253.79%467M253.79%467M
Current accrued expenses 94.91%7.47B104.47%6.86B120.25%5.49B62.25%4.78B62.25%4.78B25.95%3.83B22.00%3.36B49.07%2.49B83.55%2.95B83.55%2.95B
Current provisions 270.23%1.11B416.67%868M474.11%643M284.26%415M284.26%415M187.50%299M0.00%168M--112M--108M--108M
Current deferred liabilities 46.59%752M125.18%948M130.25%845M115.82%764M115.82%764M51.78%513M17.27%421M9.88%367M18.00%354M18.00%354M
Other current liabilities -6.25%165M-5.47%190M-9.09%150M188.41%199M188.41%199M-66.22%176M-57.05%201M-66.67%165M-81.40%69M-81.40%69M
Current liabilities 81.07%16.48B35.18%13.97B109.68%15.22B61.98%10.63B61.98%10.63B32.76%9.1B36.46%10.33B30.53%7.26B51.40%6.56B51.40%6.56B
Non current liabilities
Long term debt and capital lease obligation 4.23%9.95B2.82%9.77B-8.48%9.74B-9.68%9.58B-9.68%9.58B-9.06%9.55B-9.06%9.5B-9.03%10.64B-9.26%10.61B-9.26%10.61B
-Long term debt 0.06%8.46B0.06%8.46B-12.82%8.46B-12.82%8.46B-12.82%8.46B-12.82%8.46B-12.82%8.46B-11.35%9.7B-11.36%9.7B-11.36%9.7B
-Long term capital lease obligation 36.57%1.49B25.26%1.3B36.42%1.28B24.06%1.12B24.06%1.12B36.72%1.09B40.11%1.04B24.87%939M21.73%902M21.73%902M
Long term accounts payable and other payables 47.46%1.95B13.07%1.67B10.86%1.61B4.04%1.44B4.04%1.44B24.79%1.32B44.52%1.48B38.44%1.46B31.03%1.39B31.03%1.39B
Non current deferred liabilities 91.17%1.62B115.86%1.47B147.50%1.29B122.58%1.04B122.58%1.04B84.97%849M50.33%681M13.04%520M4.03%465M4.03%465M
Other non current liabilities 74.24%115M201.54%196M6.45%66M3.17%65M3.17%65M-75.46%66M-51.49%65M-48.33%62M28.57%63M28.57%63M
Total non current liabilities 15.73%13.64B11.78%13.1B0.21%12.71B-3.19%12.12B-3.19%12.12B-4.09%11.78B-2.75%11.72B-4.88%12.68B-5.45%12.52B-5.45%12.52B
Total liabilities 44.20%30.11B22.74%27.07B40.07%27.93B19.23%22.75B19.23%22.75B9.11%20.88B12.38%22.05B5.55%19.94B8.57%19.08B8.57%19.08B
Shareholders'equity
Share capital 1,150.00%25M1,150.00%25M0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M-33.33%2M-33.33%2M-33.33%2M
-common stock 1,150.00%25M1,150.00%25M0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M-33.33%2M-33.33%2M-33.33%2M
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Additional paid-in capital -9.01%11.82B-4.07%12.12B1.59%12.65B9.70%13.13B9.70%13.13B12.33%12.99B15.14%12.63B17.23%12.45B15.27%11.97B15.27%11.97B
Retained earnings 164.98%53.95B208.03%45.96B202.09%36.6B193.16%29.82B193.16%29.82B105.55%20.36B15.03%14.92B-23.12%12.12B-37.35%10.17B-37.35%10.17B
Gains losses not affecting retained earnings 217.05%103M209.80%56M-118.00%-109M162.79%27M162.79%27M28.46%-88M43.33%-51M21.88%-50M-290.91%-43M-290.91%-43M
Total stockholders'equity 98.10%65.9B111.47%58.16B100.42%49.14B94.46%42.98B94.46%42.98B55.82%33.27B15.30%27.5B-6.84%24.52B-16.95%22.1B-16.95%22.1B
Total equity 98.10%65.9B111.47%58.16B100.42%49.14B94.46%42.98B94.46%42.98B55.82%33.27B15.30%27.5B-6.84%24.52B-16.95%22.1B-16.95%22.1B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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