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QCOM Qualcomm

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  • 172.230
  • +0.080+0.05%
Close Feb 14 16:00 ET
  • 172.180
  • -0.050-0.03%
Post 19:54 ET
190.49BMarket Cap18.44P/E (TTM)

Qualcomm Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Dec 29, 2024
(FY)Sep 29, 2024
(Q4)Sep 29, 2024
(Q3)Jun 23, 2024
(Q2)Mar 24, 2024
(Q1)Dec 24, 2023
(FY)Sep 24, 2023
(Q4)Sep 24, 2023
(Q3)Jun 25, 2023
(Q2)Mar 26, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
54.70%4.59B
5.09%12.29B
-35.36%2.65B
2.07%3.05B
143.56%3.63B
-5.06%2.97B
26.25%11.7B
153.40%4.1B
3.28%2.99B
-44.77%1.49B
Net income from continuing operations
13.13%3.18B
37.76%10.11B
78.94%2.92B
21.50%2.11B
33.73%2.28B
23.67%2.81B
-43.49%7.34B
-44.27%1.63B
-53.49%1.74B
-41.99%1.7B
Operating gains losses
36.62%-45M
-129.61%-349M
48.53%-35M
-5.13%-41M
-910.00%-202M
-184.00%-71M
-135.19%-152M
-217.24%-68M
-124.22%-39M
-106.33%-20M
Depreciation and amortization
-0.23%436M
-5.69%1.71B
-4.98%439M
-12.53%419M
-12.55%411M
9.80%437M
2.67%1.81B
-5.71%462M
9.36%479M
9.81%470M
Deferred tax
124.41%247M
-141.45%-3.06B
-21.48%-526M
-277.56%-774M
-47.16%-752M
-743.33%-1.01B
-819.57%-1.27B
-551.04%-433M
-221.30%-205M
24.30%-511M
Other non cash items
-355.56%-23M
-368.00%-67M
-300.00%-4M
-571.43%-33M
-179.59%-39M
127.27%9M
144.64%25M
113.33%2M
-53.33%7M
258.06%49M
Change In working capital
-82.54%33M
6.53%1.22B
-150.50%-859M
90.79%725M
225.73%1.17B
4,825.00%189M
114.72%1.15B
169.01%1.7B
117.64%380M
-17.15%-929M
-Change in receivables
220.62%392M
-131.07%-768M
-248.72%-989M
182.17%129M
54.44%417M
-119.19%-325M
219.65%2.47B
135.95%665M
-155.09%-157M
674.47%270M
-Change in inventory
-32.73%111M
62.50%13M
-292.00%-384M
-66.18%69M
103.75%163M
134.66%165M
100.26%8M
121.37%200M
123.61%204M
111.44%80M
-Change in payables and accrued expense
-268.25%-530M
191.96%1.73B
-50.71%383M
70.86%639M
126.42%391M
120.32%315M
-26,742.86%-1.88B
143.57%777M
140.04%374M
-559.63%-1.48B
-Change in other current assets
28.70%148M
-61.86%230M
11,100.00%110M
-818.18%-101M
-48.54%106M
-71.88%115M
126.61%603M
-101.06%-1M
97.99%-11M
166.88%206M
-Change in other working capital
-8.64%-88M
135.71%20M
-65.00%21M
63.33%-11M
1,920.00%91M
0.00%-81M
82.72%-56M
165.22%60M
67.74%-30M
91.80%-5M
Cash from discontinued investing activities
0
77.19%-91M
0
0
-127.27%-75M
42.86%-16M
-134.71%-399M
97.06%-5M
-333M
-33M
Operating cash flow
55.54%4.59B
7.99%12.2B
-35.28%2.65B
14.87%3.05B
143.93%3.55B
-4.72%2.95B
24.22%11.3B
182.85%4.09B
-8.22%2.66B
-46.00%1.46B
Investing cash flow
Cash flow from continuing investing activities
46.58%-671M
-483.74%-3.63B
35.81%-389M
-404.39%-1.04B
-319.20%-939M
-844.36%-1.26B
89.27%-621M
-121.17%-606M
107.01%342M
57.41%-224M
Capital expenditure reported
-29.44%-277M
28.21%-1.04B
12.63%-256M
-26.47%-387M
59.38%-184M
46.23%-214M
35.90%-1.45B
53.79%-293M
44.77%-306M
7.74%-453M
Net PPE purchase and sale
----
-92.13%10M
--0
--2M
----
----
2,440.00%127M
20.00%6M
--0
--10M
Net business purchase and sale
-333.33%-260M
-8.09%-254M
84.38%-20M
-50.00%-69M
-228.13%-105M
-106.90%-60M
95.22%-235M
24.26%-128M
98.97%-46M
36.00%-32M
Net investment purchase and sale
83.62%-162M
-350.98%-2.3B
41.15%-113M
-193.49%-589M
-316.61%-613M
-602.03%-989M
-31.49%918M
-136.64%-192M
584.78%630M
1,786.67%283M
Net other investing changes
300.00%28M
-289.47%-36M
--0
-96.88%2M
-40.63%-45M
150.00%7M
-53.66%19M
--1M
--64M
---32M
Cash from discontinued investing activities
Investing cash flow
46.58%-671M
-575.46%-3.62B
37.70%-385M
-160.05%-1.04B
-319.20%-939M
-844.36%-1.26B
113.13%762M
-113.10%-618M
135.62%1.74B
57.41%-224M
Financing cash flow
Cash flow from continuing financing activities
-47.38%-3.01B
-40.62%-9.29B
-96.87%-2.2B
-79.69%-3.47B
37.87%-1.58B
-101.08%-2.04B
8.26%-6.61B
6.61%-1.12B
1.53%-1.93B
-59.14%-2.54B
Net issuance payments of debt
--0
-1,328.13%-914M
--0
-83.53%-914M
--0
--0
84.58%-64M
--0
-20.58%-498M
---949M
Net common stock issuance
-123.21%-1.75B
-47.22%-3.74B
-460.80%-1.12B
-226.32%-1.3B
20.12%-536M
38.27%-784M
8.44%-2.54B
40.06%-199M
20.04%-399M
12.17%-671M
Cash dividends paid
-5.25%-942M
-6.50%-3.69B
-6.16%-948M
-6.27%-949M
-7.31%-895M
-6.29%-895M
-7.78%-3.46B
-6.18%-893M
-6.06%-893M
-9.16%-834M
Net other financing activities
12.71%-316M
-75.74%-949M
-440.00%-135M
-116.43%-303M
-67.42%-149M
-26.57%-362M
32.50%-540M
-19.05%-25M
32.04%-140M
-27.14%-89M
Cash from discontinued financing activities
132.76%19M
0
-1,550.00%-58M
0
Financing cash flow
-47.38%-3.01B
-39.11%-9.27B
-96.87%-2.2B
-73.49%-3.45B
37.87%-1.58B
-101.08%-2.04B
7.41%-6.66B
6.29%-1.12B
-1.43%-1.99B
-59.14%-2.54B
Net cash flow
Beginning cash position
-7.95%7.85B
175.15%8.53B
25.79%7.77B
143.76%9.22B
61.52%8.19B
175.15%8.53B
-56.45%3.1B
93.15%6.18B
-47.27%3.78B
-23.22%5.07B
Current changes in cash
360.92%908M
-112.78%-690M
-97.32%63M
-159.85%-1.44B
179.01%1.04B
-117.87%-348M
238.27%5.4B
6,641.67%2.36B
161.05%2.41B
-328.22%-1.31B
Effect of exchange rate changes
-393.33%-44M
-60.00%12M
420.00%16M
18.18%-9M
-152.63%-10M
-44.44%15M
126.55%30M
92.06%-5M
67.65%-11M
337.50%19M
End cash Position
6.33%8.71B
-7.95%7.85B
-7.95%7.85B
25.79%7.77B
143.76%9.22B
61.52%8.19B
175.15%8.53B
175.15%8.53B
93.15%6.18B
-47.27%3.78B
Free cash flow
57.59%4.31B
13.32%11.16B
-37.03%2.39B
13.36%2.67B
235.66%3.37B
1.41%2.74B
44.12%9.85B
367.61%3.8B
0.43%2.35B
-54.51%1B
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)Dec 29, 2024(FY)Sep 29, 2024(Q4)Sep 29, 2024(Q3)Jun 23, 2024(Q2)Mar 24, 2024(Q1)Dec 24, 2023(FY)Sep 24, 2023(Q4)Sep 24, 2023(Q3)Jun 25, 2023(Q2)Mar 26, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 54.70%4.59B5.09%12.29B-35.36%2.65B2.07%3.05B143.56%3.63B-5.06%2.97B26.25%11.7B153.40%4.1B3.28%2.99B-44.77%1.49B
Net income from continuing operations 13.13%3.18B37.76%10.11B78.94%2.92B21.50%2.11B33.73%2.28B23.67%2.81B-43.49%7.34B-44.27%1.63B-53.49%1.74B-41.99%1.7B
Operating gains losses 36.62%-45M-129.61%-349M48.53%-35M-5.13%-41M-910.00%-202M-184.00%-71M-135.19%-152M-217.24%-68M-124.22%-39M-106.33%-20M
Depreciation and amortization -0.23%436M-5.69%1.71B-4.98%439M-12.53%419M-12.55%411M9.80%437M2.67%1.81B-5.71%462M9.36%479M9.81%470M
Deferred tax 124.41%247M-141.45%-3.06B-21.48%-526M-277.56%-774M-47.16%-752M-743.33%-1.01B-819.57%-1.27B-551.04%-433M-221.30%-205M24.30%-511M
Other non cash items -355.56%-23M-368.00%-67M-300.00%-4M-571.43%-33M-179.59%-39M127.27%9M144.64%25M113.33%2M-53.33%7M258.06%49M
Change In working capital -82.54%33M6.53%1.22B-150.50%-859M90.79%725M225.73%1.17B4,825.00%189M114.72%1.15B169.01%1.7B117.64%380M-17.15%-929M
-Change in receivables 220.62%392M-131.07%-768M-248.72%-989M182.17%129M54.44%417M-119.19%-325M219.65%2.47B135.95%665M-155.09%-157M674.47%270M
-Change in inventory -32.73%111M62.50%13M-292.00%-384M-66.18%69M103.75%163M134.66%165M100.26%8M121.37%200M123.61%204M111.44%80M
-Change in payables and accrued expense -268.25%-530M191.96%1.73B-50.71%383M70.86%639M126.42%391M120.32%315M-26,742.86%-1.88B143.57%777M140.04%374M-559.63%-1.48B
-Change in other current assets 28.70%148M-61.86%230M11,100.00%110M-818.18%-101M-48.54%106M-71.88%115M126.61%603M-101.06%-1M97.99%-11M166.88%206M
-Change in other working capital -8.64%-88M135.71%20M-65.00%21M63.33%-11M1,920.00%91M0.00%-81M82.72%-56M165.22%60M67.74%-30M91.80%-5M
Cash from discontinued investing activities 077.19%-91M00-127.27%-75M42.86%-16M-134.71%-399M97.06%-5M-333M-33M
Operating cash flow 55.54%4.59B7.99%12.2B-35.28%2.65B14.87%3.05B143.93%3.55B-4.72%2.95B24.22%11.3B182.85%4.09B-8.22%2.66B-46.00%1.46B
Investing cash flow
Cash flow from continuing investing activities 46.58%-671M-483.74%-3.63B35.81%-389M-404.39%-1.04B-319.20%-939M-844.36%-1.26B89.27%-621M-121.17%-606M107.01%342M57.41%-224M
Capital expenditure reported -29.44%-277M28.21%-1.04B12.63%-256M-26.47%-387M59.38%-184M46.23%-214M35.90%-1.45B53.79%-293M44.77%-306M7.74%-453M
Net PPE purchase and sale -----92.13%10M--0--2M--------2,440.00%127M20.00%6M--0--10M
Net business purchase and sale -333.33%-260M-8.09%-254M84.38%-20M-50.00%-69M-228.13%-105M-106.90%-60M95.22%-235M24.26%-128M98.97%-46M36.00%-32M
Net investment purchase and sale 83.62%-162M-350.98%-2.3B41.15%-113M-193.49%-589M-316.61%-613M-602.03%-989M-31.49%918M-136.64%-192M584.78%630M1,786.67%283M
Net other investing changes 300.00%28M-289.47%-36M--0-96.88%2M-40.63%-45M150.00%7M-53.66%19M--1M--64M---32M
Cash from discontinued investing activities
Investing cash flow 46.58%-671M-575.46%-3.62B37.70%-385M-160.05%-1.04B-319.20%-939M-844.36%-1.26B113.13%762M-113.10%-618M135.62%1.74B57.41%-224M
Financing cash flow
Cash flow from continuing financing activities -47.38%-3.01B-40.62%-9.29B-96.87%-2.2B-79.69%-3.47B37.87%-1.58B-101.08%-2.04B8.26%-6.61B6.61%-1.12B1.53%-1.93B-59.14%-2.54B
Net issuance payments of debt --0-1,328.13%-914M--0-83.53%-914M--0--084.58%-64M--0-20.58%-498M---949M
Net common stock issuance -123.21%-1.75B-47.22%-3.74B-460.80%-1.12B-226.32%-1.3B20.12%-536M38.27%-784M8.44%-2.54B40.06%-199M20.04%-399M12.17%-671M
Cash dividends paid -5.25%-942M-6.50%-3.69B-6.16%-948M-6.27%-949M-7.31%-895M-6.29%-895M-7.78%-3.46B-6.18%-893M-6.06%-893M-9.16%-834M
Net other financing activities 12.71%-316M-75.74%-949M-440.00%-135M-116.43%-303M-67.42%-149M-26.57%-362M32.50%-540M-19.05%-25M32.04%-140M-27.14%-89M
Cash from discontinued financing activities 132.76%19M0-1,550.00%-58M0
Financing cash flow -47.38%-3.01B-39.11%-9.27B-96.87%-2.2B-73.49%-3.45B37.87%-1.58B-101.08%-2.04B7.41%-6.66B6.29%-1.12B-1.43%-1.99B-59.14%-2.54B
Net cash flow
Beginning cash position -7.95%7.85B175.15%8.53B25.79%7.77B143.76%9.22B61.52%8.19B175.15%8.53B-56.45%3.1B93.15%6.18B-47.27%3.78B-23.22%5.07B
Current changes in cash 360.92%908M-112.78%-690M-97.32%63M-159.85%-1.44B179.01%1.04B-117.87%-348M238.27%5.4B6,641.67%2.36B161.05%2.41B-328.22%-1.31B
Effect of exchange rate changes -393.33%-44M-60.00%12M420.00%16M18.18%-9M-152.63%-10M-44.44%15M126.55%30M92.06%-5M67.65%-11M337.50%19M
End cash Position 6.33%8.71B-7.95%7.85B-7.95%7.85B25.79%7.77B143.76%9.22B61.52%8.19B175.15%8.53B175.15%8.53B93.15%6.18B-47.27%3.78B
Free cash flow 57.59%4.31B13.32%11.16B-37.03%2.39B13.36%2.67B235.66%3.37B1.41%2.74B44.12%9.85B367.61%3.8B0.43%2.35B-54.51%1B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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