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SAP SAP SE

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  • 213.450
  • +2.640+1.25%
Close Jul 26 16:00 ET
  • 213.450
  • 0.0000.00%
Post 20:01 ET
248.99BMarket Cap91.10P/E (TTM)

SAP SE Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
82.37%1.54B
19.25%2.76B
9.46%6.21B
-4.65%1.93B
27.06%1.13B
182.61%845M
-6.28%2.31B
-8.22%5.67B
64.44%2.02B
-24.96%887M
Net income from continuing operations
26.80%918M
-304.47%-824M
249.18%5.96B
296.63%1.29B
1,534.82%3.54B
18.11%724M
-60.33%403M
-68.23%1.71B
-77.36%326M
-117.43%-247M
Depreciation and amortization
-10.32%313M
-14.25%313M
-12.49%1.37B
-14.91%331M
-19.21%328M
-10.74%349M
-4.70%365M
2.08%1.57B
69.87%389M
-7.09%406M
Deferred tax
27.37%470M
-157.30%-157M
20.40%1.74B
35.94%609M
47.29%489M
16.40%369M
-21.49%274M
-14.03%1.45B
-38.46%448M
0.00%332M
Other non cash items
-144.74%-837M
290.91%43M
-313.33%-2.98B
-107.40%-65M
-304.76%-2.58B
46.23%-342M
110.28%11M
178.72%1.4B
11.56%878M
274.52%1.26B
Change In working capital
548.70%691M
176.97%3.24B
81.12%-27M
24.69%-244M
21.94%-797M
-1,284.62%-154M
-1.77%1.17B
-167.14%-143M
65.12%-324M
-83.63%-1.02B
-Change in receivables
26.50%1.33B
-46.12%-960M
-300.51%-393M
5.47%-1.07B
-39.22%282M
-15.69%1.05B
-71.09%-657M
-60.56%196M
7.21%-1.13B
-27.95%464M
-Change in payables and accrued expense
-171.79%-318M
253.27%1.19B
311.04%633M
-7.54%1.1B
111.94%426M
23.53%-117M
28.33%-779M
-64.10%154M
6.71%1.19B
-40.00%201M
-Change in other current assets
84.42%-50M
111.83%33M
42.29%-700M
71.51%-145M
143.27%45M
-14.64%-321M
12.81%-279M
-88.06%-1.21B
-85.09%-509M
26.24%-104M
-Change in other working capital
64.50%-273M
2.95%2.97B
-39.86%433M
-204.80%-131M
2.02%-1.55B
4.23%-769M
-3.26%2.88B
1,158.82%720M
122.69%125M
-13.49%-1.58B
Cash from discontinued investing activities
0
0
520.69%122M
90.91%42M
0
158.06%18M
264.71%62M
-170.73%-29M
22M
-37M
Operating cash flow
77.83%1.54B
16.13%2.76B
12.13%6.33B
-3.77%1.97B
32.24%1.12B
223.13%866M
-4.43%2.37B
-9.26%5.65B
61.02%2.05B
-28.09%850M
Investing cash flow
Cash flow from continuing investing activities
-65.35%184M
-130.61%-1.13B
-759.60%-4.6B
-411.74%-1.89B
-337.94%-2.76B
-63.00%531M
31.18%-490M
124.45%698M
151.05%605M
33.12%-630M
Net intangibles purchase and sale
-9.49%-150M
31.33%-160M
12.28%-686M
-0.62%-163M
40.70%-153M
21.71%-137M
-24.60%-233M
-27.78%-782M
-20.00%-162M
-49.13%-258M
Net business purchase and sale
--0
---19M
-222.82%-1.26B
-504.15%-1.17B
-506.67%-91M
--0
--0
64.67%-390M
822.50%289M
78.26%-15M
Net investment purchase and sale
-50.00%334M
-270.04%-951M
-242.19%-2.66B
-216.11%-555M
-604.48%-2.52B
-58.56%668M
-287.59%-257M
264.18%1.87B
147.33%478M
49.00%-357M
Net other investing changes
----
----
----
----
----
----
----
--1M
----
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Cash from discontinued investing activities
Investing cash flow
-97.33%183M
-126.45%-1.13B
35.83%906M
-436.87%-2B
-444.41%-3.46B
380.94%6.86B
30.60%-499M
121.78%667M
142.64%594M
32.59%-635M
Financing cash flow
Cash flow from continuing financing activities
-4.22%-3.19B
57.42%-522M
-27.71%-7.76B
-133.58%-960M
-269.85%-2.52B
9.13%-3.06B
24.32%-1.23B
-110.54%-6.07B
78.44%-411M
-172.00%-680M
Net issuance payments of debt
89.77%-71M
92.61%-90M
-159.28%-4.4B
-67.96%-692M
-956.47%-1.8B
-789.74%-694M
-17.45%-1.22B
-162.29%-1.7B
-1,772.73%-412M
31.17%-170M
Net common stock issuance
---543M
---432M
36.73%-949M
---231M
-43.60%-718M
--0
--0
---1.5B
--0
---500M
Cash dividends paid
----
----
16.40%-2.4B
--0
--0
----
----
-31.30%-2.87B
--0
--0
Net other financing activities
----
----
-16.67%-14M
-3,900.00%-38M
--0
3,300.00%32M
-300.00%-8M
78.18%-12M
100.05%1M
-233.33%-10M
Cash from discontinued financing activities
0
0
109.13%24M
0
0
129.73%11M
107.56%13M
-109.30%-263M
-35M
-19M
Financing cash flow
-4.60%-3.19B
56.97%-522M
-22.05%-7.73B
-115.47%-961M
-259.66%-2.51B
10.41%-3.05B
32.31%-1.21B
-11,216.07%-6.34B
-148.32%-446M
-179.60%-699M
Net cash flow
Beginning cash position
-2.23%9.3B
-9.81%8.12B
1.24%9.01B
28.18%9.38B
89.27%14.14B
6.50%9.51B
1.24%9.01B
67.54%8.9B
-7.89%7.32B
-3.76%7.47B
Current changes in cash
-131.24%-1.46B
67.58%1.11B
-1,966.67%-496M
-145.35%-994M
-899.59%-4.85B
375.32%4.69B
2,375.86%660M
-100.77%-24M
175.03%2.19B
-5,962.50%-485M
Effect of exchange rate changes
176.47%39M
140.37%65M
-389.55%-388M
48.00%-260M
-74.47%84M
-120.65%-51M
-377.59%-161M
-72.31%134M
-416.46%-500M
75.94%329M
End cash Position
-44.35%7.87B
-2.23%9.3B
-9.81%8.12B
-9.81%8.12B
28.18%9.38B
89.27%14.14B
6.50%9.51B
1.24%9.01B
1.24%9.01B
-7.89%7.32B
Free cash flow
91.83%1.36B
21.40%2.57B
16.29%5.55B
-4.05%1.78B
64.40%942M
886.11%710M
-6.82%2.12B
-13.62%4.77B
66.19%1.85B
-41.53%573M
Currency Unit
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
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
--
--
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 82.37%1.54B19.25%2.76B9.46%6.21B-4.65%1.93B27.06%1.13B182.61%845M-6.28%2.31B-8.22%5.67B64.44%2.02B-24.96%887M
Net income from continuing operations 26.80%918M-304.47%-824M249.18%5.96B296.63%1.29B1,534.82%3.54B18.11%724M-60.33%403M-68.23%1.71B-77.36%326M-117.43%-247M
Depreciation and amortization -10.32%313M-14.25%313M-12.49%1.37B-14.91%331M-19.21%328M-10.74%349M-4.70%365M2.08%1.57B69.87%389M-7.09%406M
Deferred tax 27.37%470M-157.30%-157M20.40%1.74B35.94%609M47.29%489M16.40%369M-21.49%274M-14.03%1.45B-38.46%448M0.00%332M
Other non cash items -144.74%-837M290.91%43M-313.33%-2.98B-107.40%-65M-304.76%-2.58B46.23%-342M110.28%11M178.72%1.4B11.56%878M274.52%1.26B
Change In working capital 548.70%691M176.97%3.24B81.12%-27M24.69%-244M21.94%-797M-1,284.62%-154M-1.77%1.17B-167.14%-143M65.12%-324M-83.63%-1.02B
-Change in receivables 26.50%1.33B-46.12%-960M-300.51%-393M5.47%-1.07B-39.22%282M-15.69%1.05B-71.09%-657M-60.56%196M7.21%-1.13B-27.95%464M
-Change in payables and accrued expense -171.79%-318M253.27%1.19B311.04%633M-7.54%1.1B111.94%426M23.53%-117M28.33%-779M-64.10%154M6.71%1.19B-40.00%201M
-Change in other current assets 84.42%-50M111.83%33M42.29%-700M71.51%-145M143.27%45M-14.64%-321M12.81%-279M-88.06%-1.21B-85.09%-509M26.24%-104M
-Change in other working capital 64.50%-273M2.95%2.97B-39.86%433M-204.80%-131M2.02%-1.55B4.23%-769M-3.26%2.88B1,158.82%720M122.69%125M-13.49%-1.58B
Cash from discontinued investing activities 00520.69%122M90.91%42M0158.06%18M264.71%62M-170.73%-29M22M-37M
Operating cash flow 77.83%1.54B16.13%2.76B12.13%6.33B-3.77%1.97B32.24%1.12B223.13%866M-4.43%2.37B-9.26%5.65B61.02%2.05B-28.09%850M
Investing cash flow
Cash flow from continuing investing activities -65.35%184M-130.61%-1.13B-759.60%-4.6B-411.74%-1.89B-337.94%-2.76B-63.00%531M31.18%-490M124.45%698M151.05%605M33.12%-630M
Net intangibles purchase and sale -9.49%-150M31.33%-160M12.28%-686M-0.62%-163M40.70%-153M21.71%-137M-24.60%-233M-27.78%-782M-20.00%-162M-49.13%-258M
Net business purchase and sale --0---19M-222.82%-1.26B-504.15%-1.17B-506.67%-91M--0--064.67%-390M822.50%289M78.26%-15M
Net investment purchase and sale -50.00%334M-270.04%-951M-242.19%-2.66B-216.11%-555M-604.48%-2.52B-58.56%668M-287.59%-257M264.18%1.87B147.33%478M49.00%-357M
Net other investing changes ------------------------------1M--------
Cash from discontinued investing activities
Investing cash flow -97.33%183M-126.45%-1.13B35.83%906M-436.87%-2B-444.41%-3.46B380.94%6.86B30.60%-499M121.78%667M142.64%594M32.59%-635M
Financing cash flow
Cash flow from continuing financing activities -4.22%-3.19B57.42%-522M-27.71%-7.76B-133.58%-960M-269.85%-2.52B9.13%-3.06B24.32%-1.23B-110.54%-6.07B78.44%-411M-172.00%-680M
Net issuance payments of debt 89.77%-71M92.61%-90M-159.28%-4.4B-67.96%-692M-956.47%-1.8B-789.74%-694M-17.45%-1.22B-162.29%-1.7B-1,772.73%-412M31.17%-170M
Net common stock issuance ---543M---432M36.73%-949M---231M-43.60%-718M--0--0---1.5B--0---500M
Cash dividends paid --------16.40%-2.4B--0--0---------31.30%-2.87B--0--0
Net other financing activities ---------16.67%-14M-3,900.00%-38M--03,300.00%32M-300.00%-8M78.18%-12M100.05%1M-233.33%-10M
Cash from discontinued financing activities 00109.13%24M00129.73%11M107.56%13M-109.30%-263M-35M-19M
Financing cash flow -4.60%-3.19B56.97%-522M-22.05%-7.73B-115.47%-961M-259.66%-2.51B10.41%-3.05B32.31%-1.21B-11,216.07%-6.34B-148.32%-446M-179.60%-699M
Net cash flow
Beginning cash position -2.23%9.3B-9.81%8.12B1.24%9.01B28.18%9.38B89.27%14.14B6.50%9.51B1.24%9.01B67.54%8.9B-7.89%7.32B-3.76%7.47B
Current changes in cash -131.24%-1.46B67.58%1.11B-1,966.67%-496M-145.35%-994M-899.59%-4.85B375.32%4.69B2,375.86%660M-100.77%-24M175.03%2.19B-5,962.50%-485M
Effect of exchange rate changes 176.47%39M140.37%65M-389.55%-388M48.00%-260M-74.47%84M-120.65%-51M-377.59%-161M-72.31%134M-416.46%-500M75.94%329M
End cash Position -44.35%7.87B-2.23%9.3B-9.81%8.12B-9.81%8.12B28.18%9.38B89.27%14.14B6.50%9.51B1.24%9.01B1.24%9.01B-7.89%7.32B
Free cash flow 91.83%1.36B21.40%2.57B16.29%5.55B-4.05%1.78B64.40%942M886.11%710M-6.82%2.12B-13.62%4.77B66.19%1.85B-41.53%573M
Currency Unit EUREUREUREUREUREUREUREUREUREUR
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --------------Unqualified Opinion----

Analysis

Analyst Rating

No Data

Price Target

No Data

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