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RJF Raymond James Financial

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  • 155.050
  • +4.190+2.78%
Close Dec 20 16:00 ET
  • 155.000
  • -0.050-0.03%
Post 20:01 ET
31.64BMarket Cap15.98P/E (TTM)

Raymond James Financial Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Sep 30, 2024
(Q4)Sep 30, 2024
(Q3)Jun 30, 2024
(Q2)Mar 31, 2024
(Q1)Dec 31, 2023
(FY)Sep 30, 2023
(Q4)Sep 30, 2023
(Q3)Jun 30, 2023
(Q2)Mar 31, 2023
(Q1)Dec 31, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
161.33%2.16B
17.51%510M
478.19%711M
162.66%391M
117.32%543M
-4,980.56%-3.51B
109.65%434M
-103.28%-188M
-155.86%-624M
-37.12%-3.14B
Net income from continuing operations
18.92%2.07B
38.71%602M
33.33%492M
11.48%476M
-2.16%498M
15.24%1.74B
-1.14%434M
22.59%369M
32.20%427M
14.13%509M
Depreciation and amortization
8.48%179M
11.90%47M
7.14%45M
9.76%45M
5.00%42M
13.79%165M
5.00%42M
16.67%42M
20.59%41M
14.29%40M
Deferred tax
5.68%-83M
16.67%-55M
88.89%-2M
41.38%-17M
-136.00%-9M
-450.00%-88M
-69.23%-66M
-263.64%-18M
-1,350.00%-29M
78.57%25M
Other non cashItems
-581.08%-252M
-196.25%-77M
35.29%-22M
-4.88%39M
-54.84%-192M
-114.45%-37M
-29.20%80M
-112.73%-34M
197.62%41M
-51.22%-124M
Change in working capital
100.07%4M
60.53%-75M
122.43%157M
83.67%-197M
103.24%119M
-168.76%-5.77B
96.29%-190M
-113.96%-700M
-266.12%-1.21B
-32.70%-3.68B
-Change in receivables
-240.86%-362M
173.87%147M
-80.71%60M
-162.95%-873M
-36.27%304M
226.60%257M
-36.30%-199M
28.51%311M
33.06%-332M
142.13%477M
-Change in payables and accrued expense
101.49%91M
105.86%19M
41.40%-511M
141.78%422M
104.15%161M
-44.51%-6.09B
95.50%-324M
75.58%-872M
-165.80%-1.01B
-177.32%-3.88B
-Change in loans
-68.67%47M
-476.80%-471M
241.03%275M
57.14%154M
-27.05%89M
195.54%150M
252.44%125M
-236.21%-195M
213.95%98M
76.81%122M
-Change in other current assets
117.31%9M
400.00%27M
-31.82%15M
109.59%7M
-600.00%-40M
-102.63%-52M
-100.46%-9M
-99.74%22M
81.89%-73M
100.10%8M
-Change in other current liabilities
228.46%404M
58.26%345M
-7.59%219M
46.93%263M
17.22%-423M
261.84%123M
17.84%218M
1,294.12%237M
52.99%179M
-29.37%-511M
-Change in other working capital
-13.50%-185M
-14,100.00%-142M
148.77%99M
-150.00%-170M
-74.31%28M
-130.93%-163M
-100.65%-1M
-541.30%-203M
-215.25%-68M
-59.18%109M
Cash from discontinued operating activities
Operating cash flow
161.33%2.16B
17.51%510M
478.19%711M
162.66%391M
117.32%543M
-4,980.56%-3.51B
109.65%434M
-103.28%-188M
-155.86%-624M
-37.12%-3.14B
Investing cash flow
Cash flow from continuing investing activities
-253.28%-968M
38.30%-211M
-267.44%-648M
-80.69%67M
73.57%-176M
96.17%-274M
83.17%-342M
114.25%387M
140.92%347M
57.17%-666M
Net investment purchase and sale
170.00%1.49B
341.43%618M
387.25%497M
4.44%141M
32.37%229M
142.94%550M
-4.76%140M
133.12%102M
116.94%135M
153.56%173M
Net proceeds payment for loan
-275.26%-2.18B
-86.67%-784M
-445.11%-1.09B
-92.38%23M
57.87%-329M
91.71%-582M
77.12%-420M
112.83%317M
118.26%302M
26.46%-781M
Net PPE purchase and sale
-18.50%-205M
1.96%-50M
-5.66%-56M
-16.67%-49M
-85.19%-50M
-90.11%-173M
-121.74%-51M
-103.85%-53M
-82.61%-42M
-42.11%-27M
Net business purchase and sale
--0
----
----
----
----
--0
----
----
----
----
Net other investing changes
7.25%-64M
145.45%5M
-76.19%5M
0.00%-48M
16.13%-26M
68.35%-69M
8.33%-11M
310.00%21M
-6.67%-48M
79.47%-31M
Cash from discontinued investing activities
Investing cash flow
-253.28%-968M
38.30%-211M
-267.44%-648M
-80.69%67M
73.57%-176M
96.17%-274M
83.17%-342M
114.25%387M
140.92%347M
57.17%-666M
Financing cash flow
Cash flow from continuing financing activities
-69.54%438M
242.12%1.19B
28.68%-1.02B
-127.86%-641M
310.41%907M
-75.54%1.44B
-72.76%349M
-155.69%-1.43B
335.80%2.3B
-85.24%221M
Increase decrease in deposit
-36.28%1.81B
273.32%1.61B
4.12%-442M
-124.44%-550M
91.96%1.19B
-54.67%2.84B
-70.66%431M
-117.66%-461M
279.43%2.25B
-61.05%622M
Net issuance payments of debt
73.82%-50M
--0
54.55%-250M
-60.00%200M
--0
-429.31%-191M
--0
-554.55%-550M
50,100.00%500M
-14,000.00%-141M
Net commonstock issuance
-14.15%-984M
-16,350.00%-329M
19.54%-243M
42.28%-213M
-5.29%-199M
-299.07%-862M
96.43%-2M
-199.01%-302M
-4,512.50%-369M
-270.59%-189M
Net preferred stock issuance
--0
--0
----
----
----
---40M
--0
----
----
----
Cash dividends paid
-7.89%-383M
-6.74%-95M
-3.26%-95M
-3.23%-96M
-19.75%-97M
-28.16%-355M
-15.58%-89M
-33.33%-92M
-30.99%-93M
-35.00%-81M
Proceeds from stock option exercised by employees
0.00%46M
0.00%9M
-25.00%9M
28.57%18M
-9.09%10M
-11.54%46M
12.50%9M
0.00%12M
-6.67%14M
-35.29%11M
Net other financing activities
0.00%-2M
--0
---1M
--0
0.00%-1M
71.43%-2M
--0
--0
---1M
80.00%-1M
Cash from discontinued financing activities
Financing cash flow
-69.54%438M
242.12%1.19B
28.68%-1.02B
-127.86%-641M
310.41%907M
-75.54%1.44B
-72.76%349M
-155.69%-1.43B
335.80%2.3B
-85.24%221M
Net cash flow
Beginning cash position
-14.40%12.55B
4.27%12.74B
2.59%13.71B
23.41%13.94B
-14.40%12.55B
-10.88%14.66B
-39.56%12.21B
-10.05%13.36B
-19.95%11.29B
-10.88%14.66B
Current changes in cash
169.15%1.63B
238.55%1.49B
22.29%-959M
-109.04%-183M
135.58%1.27B
-95.83%-2.35B
108.40%441M
-122.05%-1.23B
153.95%2.02B
-52.71%-3.58B
Effect of exchange rate changes
-26.78%175M
211.21%119M
-112.50%-11M
-211.63%-48M
-46.51%115M
140.51%239M
64.45%-107M
136.67%88M
182.69%43M
7,066.67%215M
End cash position
14.34%14.35B
14.34%14.35B
4.27%12.74B
2.59%13.71B
23.41%13.94B
-14.40%12.55B
-14.40%12.55B
-39.56%12.21B
-10.05%13.36B
-19.95%11.29B
Free cash flow
152.89%1.95B
20.10%460M
371.78%655M
151.35%342M
115.59%493M
-19,305.26%-3.69B
108.47%383M
-104.22%-241M
-160.88%-666M
-37.16%-3.16B
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
--
--
--
--
(FY)Sep 30, 2024(Q4)Sep 30, 2024(Q3)Jun 30, 2024(Q2)Mar 31, 2024(Q1)Dec 31, 2023(FY)Sep 30, 2023(Q4)Sep 30, 2023(Q3)Jun 30, 2023(Q2)Mar 31, 2023(Q1)Dec 31, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities 161.33%2.16B17.51%510M478.19%711M162.66%391M117.32%543M-4,980.56%-3.51B109.65%434M-103.28%-188M-155.86%-624M-37.12%-3.14B
Net income from continuing operations 18.92%2.07B38.71%602M33.33%492M11.48%476M-2.16%498M15.24%1.74B-1.14%434M22.59%369M32.20%427M14.13%509M
Depreciation and amortization 8.48%179M11.90%47M7.14%45M9.76%45M5.00%42M13.79%165M5.00%42M16.67%42M20.59%41M14.29%40M
Deferred tax 5.68%-83M16.67%-55M88.89%-2M41.38%-17M-136.00%-9M-450.00%-88M-69.23%-66M-263.64%-18M-1,350.00%-29M78.57%25M
Other non cashItems -581.08%-252M-196.25%-77M35.29%-22M-4.88%39M-54.84%-192M-114.45%-37M-29.20%80M-112.73%-34M197.62%41M-51.22%-124M
Change in working capital 100.07%4M60.53%-75M122.43%157M83.67%-197M103.24%119M-168.76%-5.77B96.29%-190M-113.96%-700M-266.12%-1.21B-32.70%-3.68B
-Change in receivables -240.86%-362M173.87%147M-80.71%60M-162.95%-873M-36.27%304M226.60%257M-36.30%-199M28.51%311M33.06%-332M142.13%477M
-Change in payables and accrued expense 101.49%91M105.86%19M41.40%-511M141.78%422M104.15%161M-44.51%-6.09B95.50%-324M75.58%-872M-165.80%-1.01B-177.32%-3.88B
-Change in loans -68.67%47M-476.80%-471M241.03%275M57.14%154M-27.05%89M195.54%150M252.44%125M-236.21%-195M213.95%98M76.81%122M
-Change in other current assets 117.31%9M400.00%27M-31.82%15M109.59%7M-600.00%-40M-102.63%-52M-100.46%-9M-99.74%22M81.89%-73M100.10%8M
-Change in other current liabilities 228.46%404M58.26%345M-7.59%219M46.93%263M17.22%-423M261.84%123M17.84%218M1,294.12%237M52.99%179M-29.37%-511M
-Change in other working capital -13.50%-185M-14,100.00%-142M148.77%99M-150.00%-170M-74.31%28M-130.93%-163M-100.65%-1M-541.30%-203M-215.25%-68M-59.18%109M
Cash from discontinued operating activities
Operating cash flow 161.33%2.16B17.51%510M478.19%711M162.66%391M117.32%543M-4,980.56%-3.51B109.65%434M-103.28%-188M-155.86%-624M-37.12%-3.14B
Investing cash flow
Cash flow from continuing investing activities -253.28%-968M38.30%-211M-267.44%-648M-80.69%67M73.57%-176M96.17%-274M83.17%-342M114.25%387M140.92%347M57.17%-666M
Net investment purchase and sale 170.00%1.49B341.43%618M387.25%497M4.44%141M32.37%229M142.94%550M-4.76%140M133.12%102M116.94%135M153.56%173M
Net proceeds payment for loan -275.26%-2.18B-86.67%-784M-445.11%-1.09B-92.38%23M57.87%-329M91.71%-582M77.12%-420M112.83%317M118.26%302M26.46%-781M
Net PPE purchase and sale -18.50%-205M1.96%-50M-5.66%-56M-16.67%-49M-85.19%-50M-90.11%-173M-121.74%-51M-103.85%-53M-82.61%-42M-42.11%-27M
Net business purchase and sale --0------------------0----------------
Net other investing changes 7.25%-64M145.45%5M-76.19%5M0.00%-48M16.13%-26M68.35%-69M8.33%-11M310.00%21M-6.67%-48M79.47%-31M
Cash from discontinued investing activities
Investing cash flow -253.28%-968M38.30%-211M-267.44%-648M-80.69%67M73.57%-176M96.17%-274M83.17%-342M114.25%387M140.92%347M57.17%-666M
Financing cash flow
Cash flow from continuing financing activities -69.54%438M242.12%1.19B28.68%-1.02B-127.86%-641M310.41%907M-75.54%1.44B-72.76%349M-155.69%-1.43B335.80%2.3B-85.24%221M
Increase decrease in deposit -36.28%1.81B273.32%1.61B4.12%-442M-124.44%-550M91.96%1.19B-54.67%2.84B-70.66%431M-117.66%-461M279.43%2.25B-61.05%622M
Net issuance payments of debt 73.82%-50M--054.55%-250M-60.00%200M--0-429.31%-191M--0-554.55%-550M50,100.00%500M-14,000.00%-141M
Net commonstock issuance -14.15%-984M-16,350.00%-329M19.54%-243M42.28%-213M-5.29%-199M-299.07%-862M96.43%-2M-199.01%-302M-4,512.50%-369M-270.59%-189M
Net preferred stock issuance --0--0---------------40M--0------------
Cash dividends paid -7.89%-383M-6.74%-95M-3.26%-95M-3.23%-96M-19.75%-97M-28.16%-355M-15.58%-89M-33.33%-92M-30.99%-93M-35.00%-81M
Proceeds from stock option exercised by employees 0.00%46M0.00%9M-25.00%9M28.57%18M-9.09%10M-11.54%46M12.50%9M0.00%12M-6.67%14M-35.29%11M
Net other financing activities 0.00%-2M--0---1M--00.00%-1M71.43%-2M--0--0---1M80.00%-1M
Cash from discontinued financing activities
Financing cash flow -69.54%438M242.12%1.19B28.68%-1.02B-127.86%-641M310.41%907M-75.54%1.44B-72.76%349M-155.69%-1.43B335.80%2.3B-85.24%221M
Net cash flow
Beginning cash position -14.40%12.55B4.27%12.74B2.59%13.71B23.41%13.94B-14.40%12.55B-10.88%14.66B-39.56%12.21B-10.05%13.36B-19.95%11.29B-10.88%14.66B
Current changes in cash 169.15%1.63B238.55%1.49B22.29%-959M-109.04%-183M135.58%1.27B-95.83%-2.35B108.40%441M-122.05%-1.23B153.95%2.02B-52.71%-3.58B
Effect of exchange rate changes -26.78%175M211.21%119M-112.50%-11M-211.63%-48M-46.51%115M140.51%239M64.45%-107M136.67%88M182.69%43M7,066.67%215M
End cash position 14.34%14.35B14.34%14.35B4.27%12.74B2.59%13.71B23.41%13.94B-14.40%12.55B-14.40%12.55B-39.56%12.21B-10.05%13.36B-19.95%11.29B
Free cash flow 152.89%1.95B20.10%460M371.78%655M151.35%342M115.59%493M-19,305.26%-3.69B108.47%383M-104.22%-241M-160.88%-666M-37.16%-3.16B
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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