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SYF Synchrony Financial

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  • 65.590
  • +0.300+0.46%
Close Feb 19 16:00 ET
  • 65.130
  • -0.460-0.70%
Pre 05:20 ET
25.50BMarket Cap7.67P/E (TTM)

Synchrony Financial Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
14.60%9.85B
1.55%2.35B
11.32%2.76B
30.19%2.48B
19.19%2.25B
28.37%8.59B
25.45%2.32B
51.90%2.48B
5.01%1.91B
35.10%1.89B
Net income from continuing operations
56.34%3.5B
75.91%774M
25.64%789M
13.01%643M
115.14%1.29B
-25.80%2.24B
-23.74%440M
-10.67%628M
-29.23%569M
-35.52%601M
Operating gains losses
---1.07B
--0
--0
--0
---1.07B
----
----
----
----
----
Depreciation and amortization
5.02%481M
1.69%120M
4.31%121M
7.08%121M
7.21%119M
9.31%458M
16.83%118M
10.48%116M
6.60%113M
3.74%111M
Deferred tax
78.60%-98M
90.37%-18M
40.00%-72M
44.44%-35M
130.68%27M
-8.79%-458M
20.76%-187M
-8.11%-120M
48.78%-63M
-279.59%-88M
Other non cashItems
-31.02%507M
-20.62%154M
-18.08%145M
-73.50%53M
-5.49%155M
28.05%735M
-2.51%194M
-4.32%177M
365.12%200M
11.56%164M
Change in working capital
40.58%-205M
-357.69%-238M
-5.18%183M
103.74%11M
16.15%-161M
-28.25%-345M
-1,140.00%-52M
209.04%193M
-211.79%-294M
46.67%-192M
-Change in receivables
105.12%33M
38.82%-197M
115.00%21M
241.61%211M
94.12%-2M
-227.41%-645M
-18.82%-322M
33.01%-140M
-168.35%-149M
-152.31%-34M
-Change in payables and accrued expense
-141.30%-121M
-76.33%71M
-72.67%47M
-1,650.00%-35M
-15.25%-204M
415.05%293M
31.00%300M
149.28%172M
-109.09%-2M
57.14%-177M
-Change in other current assets
-1,771.43%-117M
-273.33%-112M
-28.57%115M
-15.38%-165M
136.84%45M
-66.67%7M
-163.83%-30M
535.14%161M
-721.74%-143M
258.33%19M
Cash from discontinued operating activities
Operating cash flow
14.60%9.85B
1.55%2.35B
11.32%2.76B
30.19%2.48B
19.19%2.25B
28.37%8.59B
25.45%2.32B
51.90%2.48B
5.01%1.91B
35.10%1.89B
Investing cash flow
Cash flow from continuing investing activities
37.45%-8.9B
30.77%-4.96B
13.12%-2.23B
51.69%-2.51B
15.32%798M
-39.09%-14.23B
-4.53%-7.17B
38.00%-2.57B
-393.25%-5.19B
-61.94%692M
Net investment purchase and sale
-42.00%805M
13.85%-734M
-72.80%390M
226.44%330M
-23.24%819M
1,076.27%1.39B
-1,126.51%-852M
1,380.36%1.43B
30.03%-261M
105.19%1.07B
Net proceeds payment for loan
49.15%-7.58B
33.95%-4.03B
35.16%-2.45B
45.69%-2.6B
742.74%1.5B
-51.99%-14.9B
9.37%-6.1B
4.32%-3.78B
-801.89%-4.78B
-116.54%-234M
Net business purchase and sale
---1.44B
--0
--0
--0
---1.44B
--0
--0
--0
--0
--0
Net other investing changes
4.71%-688M
7.48%-198M
23.29%-168M
-62.84%-241M
42.55%-81M
-31.51%-722M
-3.38%-214M
-188.16%-219M
0.67%-148M
-20.51%-141M
Cash from discontinued investing activities
Investing cash flow
37.45%-8.9B
30.77%-4.96B
13.12%-2.23B
51.69%-2.51B
15.32%798M
-39.09%-14.23B
-4.53%-7.17B
38.00%-2.57B
-393.25%-5.19B
-61.94%692M
Financing cash flow
Cash flow from continuing financing activities
-106.34%-611M
-117.77%-617M
-140.61%-1.23B
-732.87%-1.37B
-10.58%2.6B
82.29%9.63B
45.92%3.47B
-36.58%3.03B
124.03%216M
398.36%2.91B
Increase decrease in deposit
-90.69%879M
-107.82%-241M
-135.60%-818M
-134.28%-458M
-11.91%2.4B
-0.17%9.44B
-7.36%3.08B
-37.74%2.3B
18.02%1.34B
108.91%2.72B
Net issuance payments of debt
-130.16%-536M
-123.43%-175M
-100.80%-8M
29.28%-500M
-80.14%147M
640.12%1.78B
657.46%747M
-53.89%997M
41.43%-707M
164.35%740M
Net commonstock issuance
9.35%-1.01B
60.08%-101M
-98.68%-302M
-0.66%-305M
25.74%-300M
66.51%-1.11B
63.91%-253M
84.00%-152M
56.78%-303M
58.26%-404M
Net preferred stock issuance
--488M
--0
--0
--0
--488M
--0
--0
--0
--0
--0
Cash dividends paid
-4.91%-470M
-3.51%-118M
-5.26%-120M
-9.17%-119M
-1.80%-113M
5.88%-448M
-0.88%-114M
5.00%-114M
8.40%-109M
10.48%-111M
Net other financing activities
263.64%36M
80.00%18M
750.00%17M
1,600.00%15M
57.58%-14M
50.00%-22M
--10M
150.00%2M
75.00%-1M
8.33%-33M
Cash from discontinued financing activities
Financing cash flow
-106.34%-611M
-117.77%-617M
-140.61%-1.23B
-732.87%-1.37B
-10.58%2.6B
82.29%9.63B
45.92%3.47B
-36.58%3.03B
124.03%216M
398.36%2.91B
Net cash flow
Beginning cash position
38.26%14.42B
13.80%17.98B
45.31%18.68B
26.07%20.07B
38.26%14.42B
20.08%10.43B
20.97%15.8B
19.14%12.86B
45.73%15.92B
20.08%10.43B
Current changes in cash
-91.63%334M
-134.01%-3.23B
-123.74%-699M
54.65%-1.39B
2.91%5.65B
128.84%3.99B
47.59%-1.38B
29.68%2.95B
-2,187.31%-3.07B
145.31%5.49B
End cash position
2.32%14.76B
2.32%14.76B
13.80%17.98B
45.31%18.68B
26.07%20.07B
38.26%14.42B
38.26%14.42B
20.97%15.8B
19.14%12.86B
45.73%15.92B
Free cash flow
14.60%9.85B
1.55%2.35B
11.32%2.76B
30.19%2.48B
19.19%2.25B
28.37%8.59B
25.45%2.32B
51.90%2.48B
5.01%1.91B
35.10%1.89B
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)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities 14.60%9.85B1.55%2.35B11.32%2.76B30.19%2.48B19.19%2.25B28.37%8.59B25.45%2.32B51.90%2.48B5.01%1.91B35.10%1.89B
Net income from continuing operations 56.34%3.5B75.91%774M25.64%789M13.01%643M115.14%1.29B-25.80%2.24B-23.74%440M-10.67%628M-29.23%569M-35.52%601M
Operating gains losses ---1.07B--0--0--0---1.07B--------------------
Depreciation and amortization 5.02%481M1.69%120M4.31%121M7.08%121M7.21%119M9.31%458M16.83%118M10.48%116M6.60%113M3.74%111M
Deferred tax 78.60%-98M90.37%-18M40.00%-72M44.44%-35M130.68%27M-8.79%-458M20.76%-187M-8.11%-120M48.78%-63M-279.59%-88M
Other non cashItems -31.02%507M-20.62%154M-18.08%145M-73.50%53M-5.49%155M28.05%735M-2.51%194M-4.32%177M365.12%200M11.56%164M
Change in working capital 40.58%-205M-357.69%-238M-5.18%183M103.74%11M16.15%-161M-28.25%-345M-1,140.00%-52M209.04%193M-211.79%-294M46.67%-192M
-Change in receivables 105.12%33M38.82%-197M115.00%21M241.61%211M94.12%-2M-227.41%-645M-18.82%-322M33.01%-140M-168.35%-149M-152.31%-34M
-Change in payables and accrued expense -141.30%-121M-76.33%71M-72.67%47M-1,650.00%-35M-15.25%-204M415.05%293M31.00%300M149.28%172M-109.09%-2M57.14%-177M
-Change in other current assets -1,771.43%-117M-273.33%-112M-28.57%115M-15.38%-165M136.84%45M-66.67%7M-163.83%-30M535.14%161M-721.74%-143M258.33%19M
Cash from discontinued operating activities
Operating cash flow 14.60%9.85B1.55%2.35B11.32%2.76B30.19%2.48B19.19%2.25B28.37%8.59B25.45%2.32B51.90%2.48B5.01%1.91B35.10%1.89B
Investing cash flow
Cash flow from continuing investing activities 37.45%-8.9B30.77%-4.96B13.12%-2.23B51.69%-2.51B15.32%798M-39.09%-14.23B-4.53%-7.17B38.00%-2.57B-393.25%-5.19B-61.94%692M
Net investment purchase and sale -42.00%805M13.85%-734M-72.80%390M226.44%330M-23.24%819M1,076.27%1.39B-1,126.51%-852M1,380.36%1.43B30.03%-261M105.19%1.07B
Net proceeds payment for loan 49.15%-7.58B33.95%-4.03B35.16%-2.45B45.69%-2.6B742.74%1.5B-51.99%-14.9B9.37%-6.1B4.32%-3.78B-801.89%-4.78B-116.54%-234M
Net business purchase and sale ---1.44B--0--0--0---1.44B--0--0--0--0--0
Net other investing changes 4.71%-688M7.48%-198M23.29%-168M-62.84%-241M42.55%-81M-31.51%-722M-3.38%-214M-188.16%-219M0.67%-148M-20.51%-141M
Cash from discontinued investing activities
Investing cash flow 37.45%-8.9B30.77%-4.96B13.12%-2.23B51.69%-2.51B15.32%798M-39.09%-14.23B-4.53%-7.17B38.00%-2.57B-393.25%-5.19B-61.94%692M
Financing cash flow
Cash flow from continuing financing activities -106.34%-611M-117.77%-617M-140.61%-1.23B-732.87%-1.37B-10.58%2.6B82.29%9.63B45.92%3.47B-36.58%3.03B124.03%216M398.36%2.91B
Increase decrease in deposit -90.69%879M-107.82%-241M-135.60%-818M-134.28%-458M-11.91%2.4B-0.17%9.44B-7.36%3.08B-37.74%2.3B18.02%1.34B108.91%2.72B
Net issuance payments of debt -130.16%-536M-123.43%-175M-100.80%-8M29.28%-500M-80.14%147M640.12%1.78B657.46%747M-53.89%997M41.43%-707M164.35%740M
Net commonstock issuance 9.35%-1.01B60.08%-101M-98.68%-302M-0.66%-305M25.74%-300M66.51%-1.11B63.91%-253M84.00%-152M56.78%-303M58.26%-404M
Net preferred stock issuance --488M--0--0--0--488M--0--0--0--0--0
Cash dividends paid -4.91%-470M-3.51%-118M-5.26%-120M-9.17%-119M-1.80%-113M5.88%-448M-0.88%-114M5.00%-114M8.40%-109M10.48%-111M
Net other financing activities 263.64%36M80.00%18M750.00%17M1,600.00%15M57.58%-14M50.00%-22M--10M150.00%2M75.00%-1M8.33%-33M
Cash from discontinued financing activities
Financing cash flow -106.34%-611M-117.77%-617M-140.61%-1.23B-732.87%-1.37B-10.58%2.6B82.29%9.63B45.92%3.47B-36.58%3.03B124.03%216M398.36%2.91B
Net cash flow
Beginning cash position 38.26%14.42B13.80%17.98B45.31%18.68B26.07%20.07B38.26%14.42B20.08%10.43B20.97%15.8B19.14%12.86B45.73%15.92B20.08%10.43B
Current changes in cash -91.63%334M-134.01%-3.23B-123.74%-699M54.65%-1.39B2.91%5.65B128.84%3.99B47.59%-1.38B29.68%2.95B-2,187.31%-3.07B145.31%5.49B
End cash position 2.32%14.76B2.32%14.76B13.80%17.98B45.31%18.68B26.07%20.07B38.26%14.42B38.26%14.42B20.97%15.8B19.14%12.86B45.73%15.92B
Free cash flow 14.60%9.85B1.55%2.35B11.32%2.76B30.19%2.48B19.19%2.25B28.37%8.59B25.45%2.32B51.90%2.48B5.01%1.91B35.10%1.89B
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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