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UPS United Parcel Service Inc

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  • 16.710
  • -0.130-0.77%
15min DelayMarket Closed Sep 13 15:59 ET
149.70BMarket Cap20.84P/E (TTM)

United Parcel Service Inc 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
-38.43%1.99B
40.69%3.32B
-27.41%10.24B
-27.64%2.41B
-9.92%2.23B
-15.11%3.24B
-47.39%2.36B
-6.02%14.1B
2.65%3.33B
-25.04%2.48B
Net income from continuing operations
-32.29%1.41B
-41.27%1.11B
-41.91%6.71B
-53.52%1.61B
-56.39%1.13B
-26.96%2.08B
-28.81%1.9B
-10.41%11.55B
11.64%3.45B
10.95%2.58B
Operating gains losses
-17.19%159M
120.21%209M
97.45%-63M
155.38%571M
111.89%208M
24.68%192M
-762.82%-1.03B
18.50%-2.47B
-2,191.11%-1.03B
-1,467.19%-1.75B
Depreciation and amortization
7.13%887M
7.67%898M
5.58%3.37B
-2.36%867M
8.14%837M
8.66%828M
9.16%834M
7.96%3.19B
17.77%888M
4.88%774M
Remuneration paid in stock
-178.57%-66M
235.00%27M
385.00%57M
88.12%-24M
-75.71%17M
-46.50%84M
55.56%-20M
-111.24%-20M
-460.71%-202M
975.00%70M
Remuneration paid in stock
-23.08%30M
-121.43%-27M
-85.97%220M
-95.26%34M
-90.99%21M
-83.12%39M
-67.36%126M
78.59%1.57B
303.37%718M
30.17%233M
Deferred tax
-55.36%50M
-60.71%22M
-62.52%199M
-296.92%-128M
50.00%159M
-25.83%112M
-73.21%56M
-67.72%531M
-82.62%65M
-26.39%106M
Other non cashItems
172.55%37M
386.67%129M
-4.65%123M
-43.14%116M
1,387.50%103M
45.74%-51M
-266.67%-45M
-18.87%129M
61.90%204M
-122.86%-8M
Change In working capital
-968.75%-513M
73.39%945M
-0.81%-372M
17.43%-630M
-150.85%-239M
87.91%-48M
69.78%545M
44.43%-369M
40.85%-763M
297.48%470M
-Change in receivables
-94.72%34M
-33.81%1.49B
490.06%1.26B
-20.83%-1.62B
-108.91%-18M
258.23%644M
83.70%2.25B
85.00%-322M
36.78%-1.34B
143.91%202M
-Change in payables and accrued expense
185.36%239M
63.83%-787M
-979.35%-1.67B
-36.92%540M
256.77%243M
-221.74%-280M
-100.37%-2.18B
-115.20%-155M
23.34%856M
-460.47%-155M
-Change in other current assets
-85.60%18M
-11.29%55M
-25.64%87M
57.67%339M
-1,119.44%-439M
281.16%125M
785.71%62M
-62.50%117M
283.93%215M
-141.38%-36M
-Change in other current liabilities
-49.72%-804M
-54.32%185M
-366.67%-42M
123.47%115M
-105.45%-25M
-255.63%-537M
134.10%405M
-105.96%-9M
-669.77%-490M
398.91%459M
Cash from discontinued investing activities
Operating cash flow
-38.43%1.99B
40.69%3.32B
-27.41%10.24B
-27.64%2.41B
-9.92%2.23B
-15.11%3.24B
-47.39%2.36B
-6.02%14.1B
2.65%3.33B
-25.04%2.48B
Investing cash flow
Cash flow from continuing investing activities
12.72%-913M
186.38%1.57B
4.54%-7.13B
36.73%-3.2B
-17.71%-1.07B
-12.84%-1.05B
-216.96%-1.81B
-95.70%-7.47B
-128.31%-5.06B
-4.97%-909M
Capital expenditure reported
22.96%-933M
-69.95%-1.04B
-8.16%-5.16B
17.74%-2.05B
-44.83%-1.29B
-44.17%-1.21B
-11.13%-609M
-13.71%-4.77B
-53.39%-2.49B
1.11%-890M
Net business purchase and sale
-115.56%-7M
-6.90%-31M
-52.89%-1.14B
-94.76%-1.26B
2,900.00%112M
149.45%45M
-3,000.00%-29M
-375.19%-743M
-10.37%-649M
---4M
Net investment purchase and sale
-86.40%17M
321.98%2.65B
50.33%-820M
107.88%130M
--117M
1,983.33%125M
-14,800.00%-1.19B
-3,157.41%-1.65B
-27,383.33%-1.65B
--0
Net other investing changes
300.00%10M
-182.35%-14M
93.85%-19M
92.36%-21M
33.33%-10M
-150.00%-5M
200.00%17M
-694.23%-309M
---275M
-131.91%-15M
Cash from discontinued investing activities
Investing cash flow
12.72%-913M
186.38%1.57B
4.54%-7.13B
36.73%-3.2B
-17.71%-1.07B
-12.84%-1.05B
-216.96%-1.81B
-95.70%-7.47B
-128.31%-5.06B
-4.97%-909M
Financing cash flow
Cash flow from continuing financing activities
125.07%899M
-91,750.00%-3.67B
50.52%-5.53B
90.59%-349M
26.77%-1.6B
-8.14%-3.59B
100.20%4M
-63.93%-11.19B
-283.66%-3.71B
-20.41%-2.19B
Net issuance payments of debt
243.89%2.2B
-190.16%-2.2B
198.61%2.27B
179.32%936M
2,357.89%429M
-40.85%-1.53B
13,644.44%2.44B
16.91%-2.3B
-637.50%-1.18B
96.29%-19M
Net common stock issuance
111.37%77M
107.69%54M
38.17%-2B
104.67%58M
23.48%-681M
26.33%-677M
-275.40%-702M
-1,200.40%-3.24B
-2,358.18%-1.24B
-100.00%-890M
Cash dividends paid
-0.59%-1.35B
0.00%-1.35B
-5.04%-5.37B
-5.19%-1.34B
-5.18%-1.34B
-4.83%-1.35B
-4.98%-1.35B
-48.79%-5.11B
-48.08%-1.27B
-48.26%-1.28B
Net other financing activities
15.15%-28M
54.69%-174M
18.34%-432M
68.75%-5M
-100.00%-10M
-22.22%-33M
20.17%-384M
-45.33%-529M
-433.33%-16M
-400.00%-5M
Cash from discontinued financing activities
Financing cash flow
125.07%899M
-91,750.00%-3.67B
50.52%-5.53B
90.59%-349M
26.77%-1.6B
-8.14%-3.59B
100.20%4M
-63.93%-11.19B
-283.66%-3.71B
-20.41%-2.19B
Net cash flow
Beginning cash position
-29.34%4.37B
-42.77%3.21B
-45.37%5.6B
-60.97%4.31B
-58.99%4.81B
-49.30%6.19B
-45.37%5.6B
73.52%10.26B
8.16%11.05B
22.14%11.74B
Current changes in cash
241.86%1.98B
121.90%1.22B
46.65%-2.43B
79.02%-1.14B
28.92%-440M
-224.42%-1.4B
-71.72%548M
-204.28%-4.55B
-9,021.31%-5.44B
-199.36%-619M
Effect of exchange rate changes
-241.18%-24M
-220.00%-48M
133.00%33M
3,800.00%37M
14.08%-61M
139.53%17M
166.67%40M
-376.19%-100M
94.44%-1M
-273.68%-71M
End cash Position
31.32%6.32B
-29.34%4.37B
-42.77%3.21B
-42.77%3.21B
-60.97%4.31B
-58.99%4.81B
-49.30%6.19B
-45.37%5.6B
-45.37%5.6B
8.16%11.05B
Free cash from
-47.68%1.06B
30.49%2.28B
-45.58%5.08B
-56.96%362M
-40.59%944M
-31.85%2.03B
-55.54%1.75B
-13.67%9.34B
-48.15%841M
-33.98%1.59B
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(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 -38.43%1.99B40.69%3.32B-27.41%10.24B-27.64%2.41B-9.92%2.23B-15.11%3.24B-47.39%2.36B-6.02%14.1B2.65%3.33B-25.04%2.48B
Net income from continuing operations -32.29%1.41B-41.27%1.11B-41.91%6.71B-53.52%1.61B-56.39%1.13B-26.96%2.08B-28.81%1.9B-10.41%11.55B11.64%3.45B10.95%2.58B
Operating gains losses -17.19%159M120.21%209M97.45%-63M155.38%571M111.89%208M24.68%192M-762.82%-1.03B18.50%-2.47B-2,191.11%-1.03B-1,467.19%-1.75B
Depreciation and amortization 7.13%887M7.67%898M5.58%3.37B-2.36%867M8.14%837M8.66%828M9.16%834M7.96%3.19B17.77%888M4.88%774M
Remuneration paid in stock -178.57%-66M235.00%27M385.00%57M88.12%-24M-75.71%17M-46.50%84M55.56%-20M-111.24%-20M-460.71%-202M975.00%70M
Remuneration paid in stock -23.08%30M-121.43%-27M-85.97%220M-95.26%34M-90.99%21M-83.12%39M-67.36%126M78.59%1.57B303.37%718M30.17%233M
Deferred tax -55.36%50M-60.71%22M-62.52%199M-296.92%-128M50.00%159M-25.83%112M-73.21%56M-67.72%531M-82.62%65M-26.39%106M
Other non cashItems 172.55%37M386.67%129M-4.65%123M-43.14%116M1,387.50%103M45.74%-51M-266.67%-45M-18.87%129M61.90%204M-122.86%-8M
Change In working capital -968.75%-513M73.39%945M-0.81%-372M17.43%-630M-150.85%-239M87.91%-48M69.78%545M44.43%-369M40.85%-763M297.48%470M
-Change in receivables -94.72%34M-33.81%1.49B490.06%1.26B-20.83%-1.62B-108.91%-18M258.23%644M83.70%2.25B85.00%-322M36.78%-1.34B143.91%202M
-Change in payables and accrued expense 185.36%239M63.83%-787M-979.35%-1.67B-36.92%540M256.77%243M-221.74%-280M-100.37%-2.18B-115.20%-155M23.34%856M-460.47%-155M
-Change in other current assets -85.60%18M-11.29%55M-25.64%87M57.67%339M-1,119.44%-439M281.16%125M785.71%62M-62.50%117M283.93%215M-141.38%-36M
-Change in other current liabilities -49.72%-804M-54.32%185M-366.67%-42M123.47%115M-105.45%-25M-255.63%-537M134.10%405M-105.96%-9M-669.77%-490M398.91%459M
Cash from discontinued investing activities
Operating cash flow -38.43%1.99B40.69%3.32B-27.41%10.24B-27.64%2.41B-9.92%2.23B-15.11%3.24B-47.39%2.36B-6.02%14.1B2.65%3.33B-25.04%2.48B
Investing cash flow
Cash flow from continuing investing activities 12.72%-913M186.38%1.57B4.54%-7.13B36.73%-3.2B-17.71%-1.07B-12.84%-1.05B-216.96%-1.81B-95.70%-7.47B-128.31%-5.06B-4.97%-909M
Capital expenditure reported 22.96%-933M-69.95%-1.04B-8.16%-5.16B17.74%-2.05B-44.83%-1.29B-44.17%-1.21B-11.13%-609M-13.71%-4.77B-53.39%-2.49B1.11%-890M
Net business purchase and sale -115.56%-7M-6.90%-31M-52.89%-1.14B-94.76%-1.26B2,900.00%112M149.45%45M-3,000.00%-29M-375.19%-743M-10.37%-649M---4M
Net investment purchase and sale -86.40%17M321.98%2.65B50.33%-820M107.88%130M--117M1,983.33%125M-14,800.00%-1.19B-3,157.41%-1.65B-27,383.33%-1.65B--0
Net other investing changes 300.00%10M-182.35%-14M93.85%-19M92.36%-21M33.33%-10M-150.00%-5M200.00%17M-694.23%-309M---275M-131.91%-15M
Cash from discontinued investing activities
Investing cash flow 12.72%-913M186.38%1.57B4.54%-7.13B36.73%-3.2B-17.71%-1.07B-12.84%-1.05B-216.96%-1.81B-95.70%-7.47B-128.31%-5.06B-4.97%-909M
Financing cash flow
Cash flow from continuing financing activities 125.07%899M-91,750.00%-3.67B50.52%-5.53B90.59%-349M26.77%-1.6B-8.14%-3.59B100.20%4M-63.93%-11.19B-283.66%-3.71B-20.41%-2.19B
Net issuance payments of debt 243.89%2.2B-190.16%-2.2B198.61%2.27B179.32%936M2,357.89%429M-40.85%-1.53B13,644.44%2.44B16.91%-2.3B-637.50%-1.18B96.29%-19M
Net common stock issuance 111.37%77M107.69%54M38.17%-2B104.67%58M23.48%-681M26.33%-677M-275.40%-702M-1,200.40%-3.24B-2,358.18%-1.24B-100.00%-890M
Cash dividends paid -0.59%-1.35B0.00%-1.35B-5.04%-5.37B-5.19%-1.34B-5.18%-1.34B-4.83%-1.35B-4.98%-1.35B-48.79%-5.11B-48.08%-1.27B-48.26%-1.28B
Net other financing activities 15.15%-28M54.69%-174M18.34%-432M68.75%-5M-100.00%-10M-22.22%-33M20.17%-384M-45.33%-529M-433.33%-16M-400.00%-5M
Cash from discontinued financing activities
Financing cash flow 125.07%899M-91,750.00%-3.67B50.52%-5.53B90.59%-349M26.77%-1.6B-8.14%-3.59B100.20%4M-63.93%-11.19B-283.66%-3.71B-20.41%-2.19B
Net cash flow
Beginning cash position -29.34%4.37B-42.77%3.21B-45.37%5.6B-60.97%4.31B-58.99%4.81B-49.30%6.19B-45.37%5.6B73.52%10.26B8.16%11.05B22.14%11.74B
Current changes in cash 241.86%1.98B121.90%1.22B46.65%-2.43B79.02%-1.14B28.92%-440M-224.42%-1.4B-71.72%548M-204.28%-4.55B-9,021.31%-5.44B-199.36%-619M
Effect of exchange rate changes -241.18%-24M-220.00%-48M133.00%33M3,800.00%37M14.08%-61M139.53%17M166.67%40M-376.19%-100M94.44%-1M-273.68%-71M
End cash Position 31.32%6.32B-29.34%4.37B-42.77%3.21B-42.77%3.21B-60.97%4.31B-58.99%4.81B-49.30%6.19B-45.37%5.6B-45.37%5.6B8.16%11.05B
Free cash from -47.68%1.06B30.49%2.28B-45.58%5.08B-56.96%362M-40.59%944M-31.85%2.03B-55.54%1.75B-13.67%9.34B-48.15%841M-33.98%1.59B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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