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NVDA NVIDIA

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  • 129.240
  • +1.840+1.44%
Close Jul 12 16:00 ET
  • 129.900
  • +0.660+0.51%
Post 19:59 ET
3.18TMarket Cap75.62P/E (TTM)

NVIDIA Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q3)Oct 30, 2022
(Q2)Jul 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
427.14%15.35B
397.96%28.09B
411.52%11.5B
1,770.41%7.33B
399.84%6.35B
68.17%2.91B
-38.07%5.64B
-25.88%2.25B
-74.19%392M
-52.65%1.27B
Net income from continuing operations
628.39%14.88B
581.32%29.76B
768.81%12.29B
1,259.26%9.24B
843.45%6.19B
26.27%2.04B
-55.21%4.37B
-52.91%1.41B
-72.40%680M
-72.36%656M
Operating gains losses
-592.86%-69M
-628.89%-238M
-2,720.00%-262M
527.27%69M
-942.86%-59M
-17.65%14M
145.00%45M
-80.77%10M
157.89%11M
--7M
Depreciation and amortization
6.77%410M
-2.33%1.51B
-9.15%387M
-8.37%372M
-3.44%365M
14.97%384M
31.52%1.54B
37.86%426M
36.24%406M
32.17%378M
Deferred tax
-38.94%-1.58B
-15.02%-2.49B
87.94%-78M
0.38%-530M
-68.40%-746M
-109.41%-1.14B
-433.00%-2.16B
-188.84%-647M
-2,433.33%-532M
-139.46%-443M
Other non cash items
-326.47%-145M
-120.65%-278M
-640.00%-108M
-51.11%-68M
-1,260.00%-68M
-102.47%-34M
2,763.83%1.35B
-9.09%20M
-600.00%-45M
-126.32%-5M
Change In working capital
-7.74%834M
-68.65%-3.72B
-698.95%-1.72B
-213.06%-2.73B
-700.00%-174M
154.79%904M
34.37%-2.21B
142.21%287M
50.71%-873M
110.51%29M
-Change in receivables
-838.89%-2.37B
-850.85%-6.17B
-256.48%-1.69B
-403.17%-1.24B
-2,589.17%-2.99B
68.02%-252M
137.11%822M
256.07%1.08B
212.02%410M
121.35%120M
-Change in inventory
-201.94%-577M
96.16%-98M
28.75%-503M
19.01%-456M
140.69%295M
201.07%566M
-229.97%-2.55B
-88.77%-706M
-377.12%-563M
-489.43%-725M
-Change in prepaid assets
-237.67%-726M
-0.33%-1.52B
-464.29%-1.19B
3.24%255M
-28.67%-377M
82.95%-215M
11.55%-1.52B
-32.91%-210M
115.68%247M
-1,931.25%-293M
-Change in payables and accrued expense
497.14%4.18B
350.13%3.56B
5,111.11%1.35B
-24.98%-1.26B
194.98%2.76B
-21.26%700M
-31.24%790M
-104.46%-27M
-858.65%-1.01B
173.98%937M
-Change in other current liabilities
207.62%323M
103.97%514M
104.00%306M
-166.67%-28M
1,410.00%131M
50.00%105M
31.25%252M
345.90%150M
-72.90%42M
-119.61%-10M
Cash from discontinued investing activities
Operating cash flow
427.14%15.35B
397.96%28.09B
411.52%11.5B
1,770.41%7.33B
399.84%6.35B
68.17%2.91B
-38.07%5.64B
-25.88%2.25B
-74.19%392M
-52.65%1.27B
Investing cash flow
Cash flow from continuing investing activities
-576.93%-5.69B
-243.27%-10.57B
-203,533.33%-6.11B
-200.70%-3.17B
-127.56%-446M
-132.20%-841M
175.03%7.38B
99.81%-3M
170.92%3.15B
163.88%1.62B
Net PPE purchase and sale
-48.79%-369M
41.68%-1.07B
50.10%-254M
47.55%-278M
33.26%-289M
31.30%-248M
-87.81%-1.83B
-86.45%-509M
-138.74%-530M
-136.61%-433M
Net business purchase and sale
42.76%-174M
-69.39%-83M
--0
--0
1,800.00%221M
-744.44%-304M
81.37%-49M
--0
--0
---13M
Net investment purchase and sale
-1,682.01%-5.15B
-201.70%-9.41B
-1,257.11%-5.86B
-178.63%-2.89B
-118.31%-378M
-109.60%-289M
207.75%9.26B
140.38%506M
191.63%3.68B
187.83%2.06B
Cash from discontinued investing activities
Investing cash flow
-576.93%-5.69B
-243.27%-10.57B
-203,533.33%-6.11B
-200.70%-3.17B
-127.56%-446M
-132.20%-841M
175.03%7.38B
99.81%-3M
170.92%3.15B
163.88%1.62B
Financing cash flow
Cash flow from continuing financing activities
-2,359.21%-9.35B
-17.35%-13.63B
-119.14%-3.63B
-20.57%-4.53B
-35.54%-5.1B
84.46%-380M
-722.90%-11.62B
-122.28%-1.66B
-164.30%-3.75B
-183.58%-3.76B
Net issuance payments of debt
----
---1.25B
--0
--0
----
----
--0
--0
--0
----
Net common stock issuance
---7.74B
5.04%-9.53B
-119.21%-2.66B
-9.24%-3.81B
8.31%-3.07B
--0
---10.04B
---1.21B
---3.49B
---3.35B
Cash dividends paid
1.01%-98M
0.75%-395M
-1.02%-99M
3.00%-97M
0.00%-100M
1.00%-99M
0.25%-398M
2.97%-98M
0.00%-100M
-1.01%-100M
Proceeds from stock option exercised by employees
15.85%285M
13.52%403M
--0
8.33%156M
0.00%1M
20.59%246M
26.33%355M
50.00%6M
-3.36%144M
-50.00%1M
Net other financing activities
-240.04%-1.79B
-86.19%-2.86B
-148.15%-871M
-149.04%-777M
-114.78%-683M
4.87%-527M
23.02%-1.54B
45.83%-351M
32.32%-312M
17.83%-318M
Cash from discontinued financing activities
Financing cash flow
-2,359.21%-9.35B
-17.35%-13.63B
-119.14%-3.63B
-20.57%-4.53B
-35.54%-5.1B
84.46%-380M
-722.90%-11.62B
-122.28%-1.66B
-164.30%-3.75B
-183.58%-3.76B
Net cash flow
Beginning cash position
114.81%7.28B
70.30%3.39B
97.11%5.52B
95.22%5.88B
30.67%5.08B
70.30%3.39B
134.95%1.99B
117.39%2.8B
-46.46%3.01B
297.44%3.89B
Current changes in cash
-81.83%307M
178.13%3.89B
198.98%1.76B
-70.42%-363M
191.88%803M
-10.91%1.69B
22.40%1.4B
-16.10%589M
95.09%-213M
-118.80%-874M
End cash Position
49.38%7.59B
114.81%7.28B
114.81%7.28B
97.11%5.52B
95.22%5.88B
30.67%5.08B
70.30%3.39B
70.30%3.39B
117.39%2.8B
-46.46%3.01B
Free cash flow
462.37%14.98B
609.59%27.02B
546.64%11.25B
5,211.59%7.05B
623.89%6.06B
94.38%2.66B
-53.17%3.81B
-36.99%1.74B
-110.64%-138M
-66.51%837M
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
(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(Q3)Oct 30, 2022(Q2)Jul 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 427.14%15.35B397.96%28.09B411.52%11.5B1,770.41%7.33B399.84%6.35B68.17%2.91B-38.07%5.64B-25.88%2.25B-74.19%392M-52.65%1.27B
Net income from continuing operations 628.39%14.88B581.32%29.76B768.81%12.29B1,259.26%9.24B843.45%6.19B26.27%2.04B-55.21%4.37B-52.91%1.41B-72.40%680M-72.36%656M
Operating gains losses -592.86%-69M-628.89%-238M-2,720.00%-262M527.27%69M-942.86%-59M-17.65%14M145.00%45M-80.77%10M157.89%11M--7M
Depreciation and amortization 6.77%410M-2.33%1.51B-9.15%387M-8.37%372M-3.44%365M14.97%384M31.52%1.54B37.86%426M36.24%406M32.17%378M
Deferred tax -38.94%-1.58B-15.02%-2.49B87.94%-78M0.38%-530M-68.40%-746M-109.41%-1.14B-433.00%-2.16B-188.84%-647M-2,433.33%-532M-139.46%-443M
Other non cash items -326.47%-145M-120.65%-278M-640.00%-108M-51.11%-68M-1,260.00%-68M-102.47%-34M2,763.83%1.35B-9.09%20M-600.00%-45M-126.32%-5M
Change In working capital -7.74%834M-68.65%-3.72B-698.95%-1.72B-213.06%-2.73B-700.00%-174M154.79%904M34.37%-2.21B142.21%287M50.71%-873M110.51%29M
-Change in receivables -838.89%-2.37B-850.85%-6.17B-256.48%-1.69B-403.17%-1.24B-2,589.17%-2.99B68.02%-252M137.11%822M256.07%1.08B212.02%410M121.35%120M
-Change in inventory -201.94%-577M96.16%-98M28.75%-503M19.01%-456M140.69%295M201.07%566M-229.97%-2.55B-88.77%-706M-377.12%-563M-489.43%-725M
-Change in prepaid assets -237.67%-726M-0.33%-1.52B-464.29%-1.19B3.24%255M-28.67%-377M82.95%-215M11.55%-1.52B-32.91%-210M115.68%247M-1,931.25%-293M
-Change in payables and accrued expense 497.14%4.18B350.13%3.56B5,111.11%1.35B-24.98%-1.26B194.98%2.76B-21.26%700M-31.24%790M-104.46%-27M-858.65%-1.01B173.98%937M
-Change in other current liabilities 207.62%323M103.97%514M104.00%306M-166.67%-28M1,410.00%131M50.00%105M31.25%252M345.90%150M-72.90%42M-119.61%-10M
Cash from discontinued investing activities
Operating cash flow 427.14%15.35B397.96%28.09B411.52%11.5B1,770.41%7.33B399.84%6.35B68.17%2.91B-38.07%5.64B-25.88%2.25B-74.19%392M-52.65%1.27B
Investing cash flow
Cash flow from continuing investing activities -576.93%-5.69B-243.27%-10.57B-203,533.33%-6.11B-200.70%-3.17B-127.56%-446M-132.20%-841M175.03%7.38B99.81%-3M170.92%3.15B163.88%1.62B
Net PPE purchase and sale -48.79%-369M41.68%-1.07B50.10%-254M47.55%-278M33.26%-289M31.30%-248M-87.81%-1.83B-86.45%-509M-138.74%-530M-136.61%-433M
Net business purchase and sale 42.76%-174M-69.39%-83M--0--01,800.00%221M-744.44%-304M81.37%-49M--0--0---13M
Net investment purchase and sale -1,682.01%-5.15B-201.70%-9.41B-1,257.11%-5.86B-178.63%-2.89B-118.31%-378M-109.60%-289M207.75%9.26B140.38%506M191.63%3.68B187.83%2.06B
Cash from discontinued investing activities
Investing cash flow -576.93%-5.69B-243.27%-10.57B-203,533.33%-6.11B-200.70%-3.17B-127.56%-446M-132.20%-841M175.03%7.38B99.81%-3M170.92%3.15B163.88%1.62B
Financing cash flow
Cash flow from continuing financing activities -2,359.21%-9.35B-17.35%-13.63B-119.14%-3.63B-20.57%-4.53B-35.54%-5.1B84.46%-380M-722.90%-11.62B-122.28%-1.66B-164.30%-3.75B-183.58%-3.76B
Net issuance payments of debt -------1.25B--0--0----------0--0--0----
Net common stock issuance ---7.74B5.04%-9.53B-119.21%-2.66B-9.24%-3.81B8.31%-3.07B--0---10.04B---1.21B---3.49B---3.35B
Cash dividends paid 1.01%-98M0.75%-395M-1.02%-99M3.00%-97M0.00%-100M1.00%-99M0.25%-398M2.97%-98M0.00%-100M-1.01%-100M
Proceeds from stock option exercised by employees 15.85%285M13.52%403M--08.33%156M0.00%1M20.59%246M26.33%355M50.00%6M-3.36%144M-50.00%1M
Net other financing activities -240.04%-1.79B-86.19%-2.86B-148.15%-871M-149.04%-777M-114.78%-683M4.87%-527M23.02%-1.54B45.83%-351M32.32%-312M17.83%-318M
Cash from discontinued financing activities
Financing cash flow -2,359.21%-9.35B-17.35%-13.63B-119.14%-3.63B-20.57%-4.53B-35.54%-5.1B84.46%-380M-722.90%-11.62B-122.28%-1.66B-164.30%-3.75B-183.58%-3.76B
Net cash flow
Beginning cash position 114.81%7.28B70.30%3.39B97.11%5.52B95.22%5.88B30.67%5.08B70.30%3.39B134.95%1.99B117.39%2.8B-46.46%3.01B297.44%3.89B
Current changes in cash -81.83%307M178.13%3.89B198.98%1.76B-70.42%-363M191.88%803M-10.91%1.69B22.40%1.4B-16.10%589M95.09%-213M-118.80%-874M
End cash Position 49.38%7.59B114.81%7.28B114.81%7.28B97.11%5.52B95.22%5.88B30.67%5.08B70.30%3.39B70.30%3.39B117.39%2.8B-46.46%3.01B
Free cash flow 462.37%14.98B609.59%27.02B546.64%11.25B5,211.59%7.05B623.89%6.06B94.38%2.66B-53.17%3.81B-36.99%1.74B-110.64%-138M-66.51%837M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

Analysis

Analyst Rating

No Data

Price Target

No Data

Business Data

Operating earnings

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