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V Visa

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  • 253.740
  • -0.430-0.17%
Close Jul 25 16:00 ET
  • 254.250
  • +0.510+0.20%
Post 20:02 ET
501.37BMarket Cap27.17P/E (TTM)

Visa Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Sep 30, 2022
(Q4)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-11.44%5.13B
17.56%4.54B
-13.35%3.61B
10.11%20.76B
17.89%6.93B
10.38%5.8B
10.63%3.86B
-1.44%4.17B
23.79%18.85B
47.97%5.88B
Net income from continuing operations
17.23%4.87B
9.54%4.66B
17.01%4.89B
15.48%17.27B
18.81%4.68B
21.84%4.16B
16.73%4.26B
5.56%4.18B
21.49%14.96B
9.93%3.94B
Operating gains losses
125.88%22M
-66.67%30M
-103.77%-4M
-60.61%104M
-105.74%-7M
-134.55%-85M
-29.13%90M
145.89%106M
137.08%264M
220.79%122M
Depreciation and amortization
12.34%264M
6.41%249M
8.81%247M
9.52%943M
9.29%247M
2.17%235M
13.04%234M
14.65%227M
7.09%861M
11.88%226M
Deferred tax
68.69%-31M
-477.27%-127M
144.70%59M
-43.75%-483M
-72.93%-230M
55.80%-99M
-161.11%-22M
-780.00%-132M
-138.49%-336M
-23.15%-133M
Other non cash items
12.50%3.57B
12.61%3.27B
21.18%3.34B
19.86%12.18B
18.41%3.35B
24.79%3.18B
18.16%2.9B
18.01%2.75B
25.24%10.16B
25.50%2.83B
Change In working capital
-112.55%-3.78B
0.97%-3.79B
-63.22%-5.12B
-30.89%-10.02B
-3.80%-1.28B
-60.38%-1.78B
-20.48%-3.82B
-46.70%-3.14B
-14.25%-7.66B
37.10%-1.24B
-Change in receivables
273.13%1.18B
-537.63%-849M
-296.49%-452M
17.00%-410M
215.06%191M
-331.01%-681M
63.03%194M
60.55%-114M
39.09%-494M
30.83%-166M
-Change in payables and accrued expense
-216.15%-1.81B
160.12%603M
-96.15%-865M
-50.04%1.43B
-9.90%1.31B
-10.81%1.56B
-0.20%-1B
-167.64%-441M
61.61%2.85B
156.89%1.45B
-Change in other current assets
672.73%85M
77.22%-54M
-227.50%-204M
96.40%-24M
119.91%42M
106.71%11M
-85.16%-237M
198.16%160M
-353.06%-666M
-1,341.18%-211M
-Change in other working capital
-21.07%-3.23B
-25.52%-3.49B
-31.28%-3.6B
-17.78%-11.01B
-22.18%-2.83B
-5.21%-2.67B
-28.37%-2.78B
-17.27%-2.74B
-24.51%-9.35B
-0.22%-2.31B
Cash from discontinued investing activities
Operating cash flow
-11.44%5.13B
17.56%4.54B
-13.35%3.61B
10.11%20.76B
17.89%6.93B
10.38%5.8B
10.63%3.86B
-1.44%4.17B
23.79%18.85B
47.97%5.88B
Investing cash flow
Cash flow from continuing investing activities
3,164.71%555M
-261.85%-1.18B
-270.39%-1.89B
53.22%-2.01B
-1,210.28%-1.19B
100.82%17M
81.79%-325M
6.76%-510M
-2,721.05%-4.29B
106.30%107M
Net PPE purchase and sale
-35.59%-400M
-33.81%-281M
-7.23%-267M
-9.18%-1.06B
-3.39%-305M
-25.53%-295M
21.35%-210M
-43.93%-249M
-37.59%-970M
-41.83%-295M
Net business purchase and sale
--0
----
----
--0
--0
--0
----
----
-2,497.33%-1.95B
---3M
Net investment purchase and sale
210.36%959M
167.39%62M
-433.66%-1.62B
38.45%-922M
-306.42%-836M
116.48%309M
77.78%-92M
-178.50%-303M
-388.63%-1.5B
127.11%405M
Net other investing changes
-233.33%-4M
-82.61%-42M
-111.90%-5M
-119.53%-25M
---47M
-93.62%3M
-355.56%-23M
-41.67%42M
17.43%128M
--0
Cash from discontinued investing activities
Investing cash flow
3,164.71%555M
-261.85%-1.18B
-270.39%-1.89B
53.22%-2.01B
-1,210.28%-1.19B
100.82%17M
81.79%-325M
6.76%-510M
-2,721.05%-4.29B
106.30%107M
Financing cash flow
Cash flow from continuing financing activities
-35.52%-5.31B
-32.40%-3.87B
31.01%-4.38B
-39.98%-17.77B
-13.37%-4.58B
-1,256.06%-3.92B
13.94%-2.93B
-27.78%-6.35B
11.89%-12.7B
-11.63%-4.04B
Net issuance payments of debt
--0
--0
--0
-201.44%-2.25B
--0
--0
--0
---2.25B
173.93%2.22B
---1B
Net common stock issuance
-48.87%-4.53B
-25.71%-2.76B
-14.93%-3.58B
-4.42%-12.1B
-78.36%-3.75B
-24.99%-3.04B
25.60%-2.19B
24.10%-3.12B
-33.58%-11.59B
29.12%-2.1B
Cash dividends paid
-12.70%-1.06B
-12.65%-1.06B
-12.17%-1.06B
-17.11%-3.75B
-16.88%-928M
-17.42%-937M
-17.33%-941M
-16.81%-945M
-14.47%-3.2B
-14.08%-794M
Proceeds from stock option exercised by employees
18.75%76M
25.00%70M
-21.43%-68M
71.05%130M
65.00%66M
64.10%64M
9.80%56M
-3.70%-56M
18.75%76M
-9.09%40M
Net other financing activities
4,020.00%196M
-182.35%-126M
1,631.58%329M
201.01%200M
118.03%33M
---5M
--153M
--19M
---198M
---183M
Cash from discontinued financing activities
Financing cash flow
-35.52%-5.31B
-32.40%-3.87B
31.01%-4.38B
-39.98%-17.77B
-13.37%-4.58B
-1,256.06%-3.92B
13.94%-2.93B
-27.78%-6.35B
11.89%-12.7B
-11.63%-4.04B
Net cash flow
Beginning cash position
-0.94%18.95B
6.82%19.64B
7.92%21.99B
2.92%20.38B
10.75%21.04B
15.81%19.13B
0.33%18.38B
2.92%20.38B
3.28%19.8B
-10.71%19B
Current changes in cash
-80.05%378M
-184.07%-512M
1.19%-2.65B
-47.61%977M
-40.35%1.16B
-34.66%1.9B
135.91%609M
-109.52%-2.69B
180.45%1.87B
244.35%1.94B
Effect of exchange rate changes
-412.50%-50M
-229.41%-176M
-56.65%300M
149.42%636M
62.99%-208M
103.81%16M
222.52%136M
456.70%692M
-3,378.38%-1.29B
-335.66%-562M
End cash Position
-8.38%19.28B
-0.94%18.95B
6.82%19.64B
7.92%21.99B
7.92%21.99B
10.75%21.04B
15.81%19.13B
0.33%18.38B
2.92%20.38B
2.92%20.38B
Free cash flow
-13.96%4.73B
16.63%4.26B
-14.66%3.35B
10.16%19.7B
18.65%6.62B
9.67%5.5B
13.28%3.65B
-3.38%3.92B
23.12%17.88B
48.31%5.58B
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
--
(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(FY)Sep 30, 2022(Q4)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -11.44%5.13B17.56%4.54B-13.35%3.61B10.11%20.76B17.89%6.93B10.38%5.8B10.63%3.86B-1.44%4.17B23.79%18.85B47.97%5.88B
Net income from continuing operations 17.23%4.87B9.54%4.66B17.01%4.89B15.48%17.27B18.81%4.68B21.84%4.16B16.73%4.26B5.56%4.18B21.49%14.96B9.93%3.94B
Operating gains losses 125.88%22M-66.67%30M-103.77%-4M-60.61%104M-105.74%-7M-134.55%-85M-29.13%90M145.89%106M137.08%264M220.79%122M
Depreciation and amortization 12.34%264M6.41%249M8.81%247M9.52%943M9.29%247M2.17%235M13.04%234M14.65%227M7.09%861M11.88%226M
Deferred tax 68.69%-31M-477.27%-127M144.70%59M-43.75%-483M-72.93%-230M55.80%-99M-161.11%-22M-780.00%-132M-138.49%-336M-23.15%-133M
Other non cash items 12.50%3.57B12.61%3.27B21.18%3.34B19.86%12.18B18.41%3.35B24.79%3.18B18.16%2.9B18.01%2.75B25.24%10.16B25.50%2.83B
Change In working capital -112.55%-3.78B0.97%-3.79B-63.22%-5.12B-30.89%-10.02B-3.80%-1.28B-60.38%-1.78B-20.48%-3.82B-46.70%-3.14B-14.25%-7.66B37.10%-1.24B
-Change in receivables 273.13%1.18B-537.63%-849M-296.49%-452M17.00%-410M215.06%191M-331.01%-681M63.03%194M60.55%-114M39.09%-494M30.83%-166M
-Change in payables and accrued expense -216.15%-1.81B160.12%603M-96.15%-865M-50.04%1.43B-9.90%1.31B-10.81%1.56B-0.20%-1B-167.64%-441M61.61%2.85B156.89%1.45B
-Change in other current assets 672.73%85M77.22%-54M-227.50%-204M96.40%-24M119.91%42M106.71%11M-85.16%-237M198.16%160M-353.06%-666M-1,341.18%-211M
-Change in other working capital -21.07%-3.23B-25.52%-3.49B-31.28%-3.6B-17.78%-11.01B-22.18%-2.83B-5.21%-2.67B-28.37%-2.78B-17.27%-2.74B-24.51%-9.35B-0.22%-2.31B
Cash from discontinued investing activities
Operating cash flow -11.44%5.13B17.56%4.54B-13.35%3.61B10.11%20.76B17.89%6.93B10.38%5.8B10.63%3.86B-1.44%4.17B23.79%18.85B47.97%5.88B
Investing cash flow
Cash flow from continuing investing activities 3,164.71%555M-261.85%-1.18B-270.39%-1.89B53.22%-2.01B-1,210.28%-1.19B100.82%17M81.79%-325M6.76%-510M-2,721.05%-4.29B106.30%107M
Net PPE purchase and sale -35.59%-400M-33.81%-281M-7.23%-267M-9.18%-1.06B-3.39%-305M-25.53%-295M21.35%-210M-43.93%-249M-37.59%-970M-41.83%-295M
Net business purchase and sale --0----------0--0--0---------2,497.33%-1.95B---3M
Net investment purchase and sale 210.36%959M167.39%62M-433.66%-1.62B38.45%-922M-306.42%-836M116.48%309M77.78%-92M-178.50%-303M-388.63%-1.5B127.11%405M
Net other investing changes -233.33%-4M-82.61%-42M-111.90%-5M-119.53%-25M---47M-93.62%3M-355.56%-23M-41.67%42M17.43%128M--0
Cash from discontinued investing activities
Investing cash flow 3,164.71%555M-261.85%-1.18B-270.39%-1.89B53.22%-2.01B-1,210.28%-1.19B100.82%17M81.79%-325M6.76%-510M-2,721.05%-4.29B106.30%107M
Financing cash flow
Cash flow from continuing financing activities -35.52%-5.31B-32.40%-3.87B31.01%-4.38B-39.98%-17.77B-13.37%-4.58B-1,256.06%-3.92B13.94%-2.93B-27.78%-6.35B11.89%-12.7B-11.63%-4.04B
Net issuance payments of debt --0--0--0-201.44%-2.25B--0--0--0---2.25B173.93%2.22B---1B
Net common stock issuance -48.87%-4.53B-25.71%-2.76B-14.93%-3.58B-4.42%-12.1B-78.36%-3.75B-24.99%-3.04B25.60%-2.19B24.10%-3.12B-33.58%-11.59B29.12%-2.1B
Cash dividends paid -12.70%-1.06B-12.65%-1.06B-12.17%-1.06B-17.11%-3.75B-16.88%-928M-17.42%-937M-17.33%-941M-16.81%-945M-14.47%-3.2B-14.08%-794M
Proceeds from stock option exercised by employees 18.75%76M25.00%70M-21.43%-68M71.05%130M65.00%66M64.10%64M9.80%56M-3.70%-56M18.75%76M-9.09%40M
Net other financing activities 4,020.00%196M-182.35%-126M1,631.58%329M201.01%200M118.03%33M---5M--153M--19M---198M---183M
Cash from discontinued financing activities
Financing cash flow -35.52%-5.31B-32.40%-3.87B31.01%-4.38B-39.98%-17.77B-13.37%-4.58B-1,256.06%-3.92B13.94%-2.93B-27.78%-6.35B11.89%-12.7B-11.63%-4.04B
Net cash flow
Beginning cash position -0.94%18.95B6.82%19.64B7.92%21.99B2.92%20.38B10.75%21.04B15.81%19.13B0.33%18.38B2.92%20.38B3.28%19.8B-10.71%19B
Current changes in cash -80.05%378M-184.07%-512M1.19%-2.65B-47.61%977M-40.35%1.16B-34.66%1.9B135.91%609M-109.52%-2.69B180.45%1.87B244.35%1.94B
Effect of exchange rate changes -412.50%-50M-229.41%-176M-56.65%300M149.42%636M62.99%-208M103.81%16M222.52%136M456.70%692M-3,378.38%-1.29B-335.66%-562M
End cash Position -8.38%19.28B-0.94%18.95B6.82%19.64B7.92%21.99B7.92%21.99B10.75%21.04B15.81%19.13B0.33%18.38B2.92%20.38B2.92%20.38B
Free cash flow -13.96%4.73B16.63%4.26B-14.66%3.35B10.16%19.7B18.65%6.62B9.67%5.5B13.28%3.65B-3.38%3.92B23.12%17.88B48.31%5.58B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--

Analysis

Analyst Rating

No Data

Price Target

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