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PANW Palo Alto Networks

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  • 190.430
  • +2.930+1.56%
Close Feb 28 16:00 ET
  • 190.510
  • +0.080+0.04%
Post 20:01 ET
126.08BMarket Cap107.59P/E (TTM)

Palo Alto Networks Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jan 31, 2025
(Q1)Oct 31, 2024
(FY)Jul 31, 2024
(Q4)Jul 31, 2024
(Q3)Apr 30, 2024
(Q2)Jan 31, 2024
(Q1)Oct 31, 2023
(FY)Jul 31, 2023
(Q4)Jul 31, 2023
(Q3)Apr 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-19.29%556.9M
-1.07%1.51B
17.29%3.26B
23.81%512.7M
22.40%528.9M
-0.66%690M
23.39%1.53B
39.95%2.78B
-20.93%414.1M
10.94%432.1M
Net income from continuing operations
-84.70%267.3M
80.59%350.7M
486.22%2.58B
57.09%357.7M
158.63%278.8M
1,974.70%1.75B
871.00%194.2M
264.68%439.7M
6,800.00%227.7M
247.27%107.8M
Operating gains losses
16.79%16M
29.03%16M
10.82%55.3M
10.61%14.6M
20.66%14.6M
9.60%13.7M
2.48%12.4M
-8.27%49.9M
-21.89%13.2M
-2.42%12.1M
Depreciation and amortization
27.70%87.6M
30.48%83.9M
0.39%283.3M
9.81%76.1M
2.77%74.3M
-1.86%68.6M
-9.05%64.3M
-0.14%282.2M
-4.41%69.3M
1.26%72.3M
Deferred tax
89.39%-179.4M
-45,700.00%-137.4M
-16,369.60%-2.03B
-3,091.67%-215.4M
-4,635.71%-127M
---1.69B
---300K
503.23%12.5M
--7.2M
--2.8M
Other non cash items
13.27%124.6M
10.05%117.2M
7.00%449.5M
3.83%121.9M
7.66%111.1M
9.24%110M
7.79%106.5M
13.76%420.1M
14.20%117.4M
13.53%103.2M
Change In working capital
-137.04%-68.9M
-10.39%799.9M
65.27%910.3M
62.08%-97.5M
39.49%-70.8M
18.10%186M
16.31%892.6M
5.13%550.8M
-389.85%-257.1M
-412.00%-117M
-Change in receivables
20.32%-384M
48.66%1.5B
3.66%-1.02B
4.89%-1.36B
54.14%-188.5M
-323.09%-481.9M
12.85%1.01B
-13.61%-1.06B
-53.02%-1.43B
-42.51%-411M
-Change in prepaid assets
1,241.98%92.5M
-106.67%-3.6M
50.44%-134.1M
-79.15%-181.3M
101.43%1.3M
83.70%-8.1M
288.15%54M
-146.00%-270.6M
-811.71%-101.2M
-250.00%-91M
-Change in payables and accrued expense
-57.89%168.4M
21.39%-197.4M
3,421.70%373.3M
35.38%331.4M
-102.85%-106.9M
902.26%399.9M
-13.41%-251.1M
-80.66%10.6M
147.52%244.8M
-210.71%-52.7M
-Change in other working capital
-80.37%54.2M
-696.27%-495.5M
-9.55%1.69B
8.13%1.11B
-48.98%223.3M
-1.81%276.1M
-33.78%83.1M
23.73%1.87B
9.92%1.03B
43.84%437.7M
Cash from discontinued investing activities
Operating cash flow
-19.29%556.9M
-1.07%1.51B
17.29%3.26B
23.81%512.7M
22.40%528.9M
-0.66%690M
23.39%1.53B
39.95%2.78B
-20.93%414.1M
10.94%432.1M
Investing cash flow
Cash flow from continuing investing activities
71.27%-380.8M
-321.55%-543.8M
25.76%-1.51B
-146.47%-168.5M
28.67%113.1M
-13.83%-1.33B
90.23%-129M
-117.89%-2.03B
176.81%362.6M
104.90%87.9M
Net PPE purchase and sale
-34.94%-47.5M
-19.84%-44.1M
-7.18%-156.8M
-27.42%-47.4M
-19.87%-37.4M
8.09%-35.2M
7.07%-36.8M
24.12%-146.3M
5.10%-37.2M
18.54%-31.2M
Net business purchase and sale
100.08%500K
---500M
-198.58%-610.6M
--0
--0
---610.6M
--0
-452.70%-204.5M
--0
---18.9M
Net investment purchase and sale
50.89%-333.8M
100.33%300K
55.88%-742.5M
-130.29%-121.1M
9.06%150.5M
27.74%-679.7M
92.80%-92.2M
-139.20%-1.68B
196.73%399.8M
69.95%138M
Cash from discontinued investing activities
Investing cash flow
71.27%-380.8M
-321.55%-543.8M
25.76%-1.51B
-146.47%-168.5M
28.67%113.1M
-13.83%-1.33B
90.23%-129M
-117.89%-2.03B
176.81%362.6M
104.90%87.9M
Financing cash flow
Cash flow from continuing financing activities
-219.83%-232.2M
-425.60%-219.7M
22.20%-1.34B
89.03%-179.3M
-918.56%-1.05B
71.05%-72.6M
-234.41%-41.8M
-114.02%-1.73B
-362.98%-1.63B
93.36%128.2M
Net issuance payments of debt
11.01%-112.4M
-593.48%-319M
38.91%-1.03B
88.20%-199.6M
---661.8M
---126.3M
---46M
-281,900.00%-1.69B
---1.69B
--0
Net common stock issuance
--0
--0
-107.81%-566.7M
--0
---500M
--0
-193.83%-66.7M
69.44%-272.7M
--0
--0
Proceeds from stock option exercised by employees
-36.35%36.6M
39.70%120.7M
9.70%283.9M
-59.73%24.2M
-11.13%115.8M
8,114.29%57.5M
27.62%86.4M
89.46%258.8M
19,933.33%60.1M
68.13%130.3M
Net other financing activities
-4,015.79%-156.4M
-38.06%-21.4M
-30.39%-26.6M
-34.48%-3.9M
-61.90%-3.4M
-153.33%-3.8M
-11.51%-15.5M
59.44%-20.4M
72.38%-2.9M
81.25%-2.1M
Cash from discontinued financing activities
Financing cash flow
-219.83%-232.2M
-425.60%-219.7M
22.20%-1.34B
89.03%-179.3M
-918.56%-1.05B
71.05%-72.6M
-234.41%-41.8M
-114.02%-1.73B
-362.98%-1.63B
93.36%128.2M
Net cash flow
Beginning cash position
-8.19%2.29B
35.42%1.55B
-46.24%1.14B
-30.92%1.38B
32.33%1.79B
20.48%2.5B
-46.24%1.14B
13.02%2.12B
-17.56%2B
-29.86%1.35B
Current changes in cash
92.08%-56.1M
-44.95%746.1M
141.18%404.6M
119.22%164.9M
-162.85%-407.4M
1.75%-708.1M
2,706.15%1.36B
-501.55%-982.6M
-184.61%-858.1M
29.98%648.2M
End cash Position
25.01%2.24B
-8.19%2.29B
35.42%1.55B
35.42%1.55B
-30.92%1.38B
32.33%1.79B
20.48%2.5B
-46.24%1.14B
-46.24%1.14B
-17.56%2B
Free cash flow
-22.21%509.4M
-1.59%1.47B
17.85%3.1B
23.45%465.3M
22.60%491.5M
-0.23%654.8M
24.40%1.49B
46.84%2.63B
-22.21%376.9M
14.15%400.9M
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)Jan 31, 2025(Q1)Oct 31, 2024(FY)Jul 31, 2024(Q4)Jul 31, 2024(Q3)Apr 30, 2024(Q2)Jan 31, 2024(Q1)Oct 31, 2023(FY)Jul 31, 2023(Q4)Jul 31, 2023(Q3)Apr 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -19.29%556.9M-1.07%1.51B17.29%3.26B23.81%512.7M22.40%528.9M-0.66%690M23.39%1.53B39.95%2.78B-20.93%414.1M10.94%432.1M
Net income from continuing operations -84.70%267.3M80.59%350.7M486.22%2.58B57.09%357.7M158.63%278.8M1,974.70%1.75B871.00%194.2M264.68%439.7M6,800.00%227.7M247.27%107.8M
Operating gains losses 16.79%16M29.03%16M10.82%55.3M10.61%14.6M20.66%14.6M9.60%13.7M2.48%12.4M-8.27%49.9M-21.89%13.2M-2.42%12.1M
Depreciation and amortization 27.70%87.6M30.48%83.9M0.39%283.3M9.81%76.1M2.77%74.3M-1.86%68.6M-9.05%64.3M-0.14%282.2M-4.41%69.3M1.26%72.3M
Deferred tax 89.39%-179.4M-45,700.00%-137.4M-16,369.60%-2.03B-3,091.67%-215.4M-4,635.71%-127M---1.69B---300K503.23%12.5M--7.2M--2.8M
Other non cash items 13.27%124.6M10.05%117.2M7.00%449.5M3.83%121.9M7.66%111.1M9.24%110M7.79%106.5M13.76%420.1M14.20%117.4M13.53%103.2M
Change In working capital -137.04%-68.9M-10.39%799.9M65.27%910.3M62.08%-97.5M39.49%-70.8M18.10%186M16.31%892.6M5.13%550.8M-389.85%-257.1M-412.00%-117M
-Change in receivables 20.32%-384M48.66%1.5B3.66%-1.02B4.89%-1.36B54.14%-188.5M-323.09%-481.9M12.85%1.01B-13.61%-1.06B-53.02%-1.43B-42.51%-411M
-Change in prepaid assets 1,241.98%92.5M-106.67%-3.6M50.44%-134.1M-79.15%-181.3M101.43%1.3M83.70%-8.1M288.15%54M-146.00%-270.6M-811.71%-101.2M-250.00%-91M
-Change in payables and accrued expense -57.89%168.4M21.39%-197.4M3,421.70%373.3M35.38%331.4M-102.85%-106.9M902.26%399.9M-13.41%-251.1M-80.66%10.6M147.52%244.8M-210.71%-52.7M
-Change in other working capital -80.37%54.2M-696.27%-495.5M-9.55%1.69B8.13%1.11B-48.98%223.3M-1.81%276.1M-33.78%83.1M23.73%1.87B9.92%1.03B43.84%437.7M
Cash from discontinued investing activities
Operating cash flow -19.29%556.9M-1.07%1.51B17.29%3.26B23.81%512.7M22.40%528.9M-0.66%690M23.39%1.53B39.95%2.78B-20.93%414.1M10.94%432.1M
Investing cash flow
Cash flow from continuing investing activities 71.27%-380.8M-321.55%-543.8M25.76%-1.51B-146.47%-168.5M28.67%113.1M-13.83%-1.33B90.23%-129M-117.89%-2.03B176.81%362.6M104.90%87.9M
Net PPE purchase and sale -34.94%-47.5M-19.84%-44.1M-7.18%-156.8M-27.42%-47.4M-19.87%-37.4M8.09%-35.2M7.07%-36.8M24.12%-146.3M5.10%-37.2M18.54%-31.2M
Net business purchase and sale 100.08%500K---500M-198.58%-610.6M--0--0---610.6M--0-452.70%-204.5M--0---18.9M
Net investment purchase and sale 50.89%-333.8M100.33%300K55.88%-742.5M-130.29%-121.1M9.06%150.5M27.74%-679.7M92.80%-92.2M-139.20%-1.68B196.73%399.8M69.95%138M
Cash from discontinued investing activities
Investing cash flow 71.27%-380.8M-321.55%-543.8M25.76%-1.51B-146.47%-168.5M28.67%113.1M-13.83%-1.33B90.23%-129M-117.89%-2.03B176.81%362.6M104.90%87.9M
Financing cash flow
Cash flow from continuing financing activities -219.83%-232.2M-425.60%-219.7M22.20%-1.34B89.03%-179.3M-918.56%-1.05B71.05%-72.6M-234.41%-41.8M-114.02%-1.73B-362.98%-1.63B93.36%128.2M
Net issuance payments of debt 11.01%-112.4M-593.48%-319M38.91%-1.03B88.20%-199.6M---661.8M---126.3M---46M-281,900.00%-1.69B---1.69B--0
Net common stock issuance --0--0-107.81%-566.7M--0---500M--0-193.83%-66.7M69.44%-272.7M--0--0
Proceeds from stock option exercised by employees -36.35%36.6M39.70%120.7M9.70%283.9M-59.73%24.2M-11.13%115.8M8,114.29%57.5M27.62%86.4M89.46%258.8M19,933.33%60.1M68.13%130.3M
Net other financing activities -4,015.79%-156.4M-38.06%-21.4M-30.39%-26.6M-34.48%-3.9M-61.90%-3.4M-153.33%-3.8M-11.51%-15.5M59.44%-20.4M72.38%-2.9M81.25%-2.1M
Cash from discontinued financing activities
Financing cash flow -219.83%-232.2M-425.60%-219.7M22.20%-1.34B89.03%-179.3M-918.56%-1.05B71.05%-72.6M-234.41%-41.8M-114.02%-1.73B-362.98%-1.63B93.36%128.2M
Net cash flow
Beginning cash position -8.19%2.29B35.42%1.55B-46.24%1.14B-30.92%1.38B32.33%1.79B20.48%2.5B-46.24%1.14B13.02%2.12B-17.56%2B-29.86%1.35B
Current changes in cash 92.08%-56.1M-44.95%746.1M141.18%404.6M119.22%164.9M-162.85%-407.4M1.75%-708.1M2,706.15%1.36B-501.55%-982.6M-184.61%-858.1M29.98%648.2M
End cash Position 25.01%2.24B-8.19%2.29B35.42%1.55B35.42%1.55B-30.92%1.38B32.33%1.79B20.48%2.5B-46.24%1.14B-46.24%1.14B-17.56%2B
Free cash flow -22.21%509.4M-1.59%1.47B17.85%3.1B23.45%465.3M22.60%491.5M-0.23%654.8M24.40%1.49B46.84%2.63B-22.21%376.9M14.15%400.9M
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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