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WBD Warner Bros Discovery

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  • 9.220
  • -0.640-6.49%
Close Nov 15 16:00 ET
  • 9.240
  • +0.020+0.22%
Post 20:01 ET
22.62BMarket Cap-2013P/E (TTM)

Warner Bros Discovery Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-66.34%847M
-39.03%1.23B
192.71%585M
73.72%7.48B
25.72%3.58B
1,929.03%2.52B
99.21%2.01B
-295.36%-631M
53.82%4.3B
221.95%2.85B
Net income from continuing operations
134.64%141M
-721.97%-10.03B
9.91%-955M
57.80%-3.08B
81.14%-392M
82.19%-407M
64.20%-1.22B
-323.16%-1.06B
-709.61%-7.3B
-2,384.62%-2.08B
Operating gains losses
15.38%15M
-2,127.27%-735M
-61.54%15M
101.23%6M
70.45%-13M
-85.87%13M
25.00%-33M
107.91%39M
-625.81%-489M
-134.38%-44M
Depreciation and amortization
-5.43%4.89B
-13.55%5.66B
-15.72%5.72B
12.43%24.01B
12.52%5.5B
-26.94%5.18B
-16.89%6.55B
352.67%6.78B
320.11%21.35B
273.78%4.89B
Deferred tax
28.37%-462M
35.27%-490M
40.36%-399M
17.52%-2.34B
62.96%-273M
45.80%-645M
5.02%-757M
-466.95%-669M
-456.16%-2.84B
-8,088.89%-737M
Other non cash items
-33.33%38M
59.38%51M
-92.78%7M
-90.72%374M
-93.85%188M
-53.66%57M
-96.10%32M
193.94%97M
6,009.09%4.03B
1,405.42%3.06B
Change In working capital
-113.83%-3.94B
-2.41%-2.8B
34.25%-3.9B
-9.17%-11.99B
39.55%-1.48B
51.55%-1.84B
23.93%-2.73B
-423.85%-5.93B
-239.26%-10.98B
-203.59%-2.45B
-Change in receivables
77.00%708M
113.21%113M
37.45%-304M
72.38%312M
7.81%345M
31.15%400M
112.07%53M
-9,620.00%-486M
285.11%181M
10,566.67%320M
-Change in payables and accrued expense
-252.59%-1.36B
-21.69%621M
54.42%-753M
-18.96%-13.13B
-9.48%-11.88B
-103.16%-386M
500.76%793M
-1,232.26%-1.65B
-245.21%-11.03B
-226.84%-10.85B
-Change in other working capital
-1.33%-9.64B
-30.89%2.82B
25.05%-2.84B
733.85%824M
24.42%10.05B
-142.64%-9.51B
224.00%4.08B
-278.07%-3.79B
-47.73%-130M
221.95%8.08B
Cash from discontinued investing activities
Operating cash flow
-66.34%847M
-39.03%1.23B
192.71%585M
73.72%7.48B
25.72%3.58B
1,929.03%2.52B
99.21%2.01B
-295.36%-631M
53.82%4.3B
221.95%2.85B
Investing cash flow
Cash flow from continuing investing activities
52.40%-218M
122.58%70M
19.46%-207M
-135.73%-1.26B
-7.34%-234M
-153.13%-458M
-113.19%-310M
-148.58%-257M
6,392.86%3.52B
-738.46%-218M
Net PPE purchase and sale
52.95%-215M
13.70%-252M
34.78%-195M
-33.33%-1.32B
26.37%-268M
-44.62%-457M
-31.53%-292M
-251.76%-299M
-164.61%-987M
-264.00%-364M
Net business purchase and sale
21.74%-36M
53.13%-15M
-307.69%-53M
-104.70%-162M
-153.57%-71M
-103.96%-46M
-101.36%-32M
69.05%-13M
1,951.61%3.44B
42.86%-28M
Net investment purchase and sale
--0
----
----
-88.56%121M
-30.46%121M
--0
----
----
158.05%1.06B
48.72%174M
Net other investing changes
-26.67%33M
-7.14%13M
-25.45%41M
988.89%98M
---16M
600.00%45M
1,300.00%14M
223.53%55M
-90.32%9M
--0
Cash from discontinued investing activities
Investing cash flow
52.40%-218M
122.58%70M
19.46%-207M
-135.73%-1.26B
-7.34%-234M
-153.13%-458M
-113.19%-310M
-148.58%-257M
6,392.86%3.52B
-738.46%-218M
Financing cash flow
Cash flow from continuing financing activities
66.67%-875M
17.11%-1.04B
-186.34%-1.24B
24.61%-5.84B
-20.20%-1.53B
-13.49%-2.63B
64.96%-1.25B
26.41%-432M
-807.62%-7.74B
-2,928.57%-1.27B
Net issuance payments of debt
64.93%-847M
37.26%-1.04B
-878.50%-1.05B
26.60%-5.37B
-20.51%-1.19B
3.40%-2.42B
52.69%-1.66B
67.28%-107M
-1,174.74%-7.32B
---990M
Net other financing activities
86.67%-28M
-99.51%2M
41.54%-190M
-9.65%-466M
-19.15%-336M
-212.30%-210M
678.57%405M
-25.00%-325M
-52.33%-425M
-571.43%-282M
Cash from discontinued financing activities
Financing cash flow
66.67%-875M
17.11%-1.04B
-186.34%-1.24B
24.61%-5.84B
-20.20%-1.53B
-13.49%-2.63B
64.96%-1.25B
26.41%-432M
-807.62%-7.74B
-2,928.57%-1.27B
Net cash flow
Beginning cash position
17.55%3.62B
28.31%3.39B
9.90%4.32B
0.64%3.93B
-3.30%2.43B
-21.02%3.08B
-36.64%2.64B
0.64%3.93B
84.02%3.91B
-19.61%2.51B
Current changes in cash
56.61%-246M
-42.38%261M
34.92%-859M
343.02%381M
33.85%1.82B
57.27%-567M
317.79%453M
-598.11%-1.32B
-95.45%86M
66.18%1.36B
Effect of exchange rate changes
248.75%119M
-100.00%-30M
-355.17%-74M
113.11%8M
21.31%74M
-42.86%-80M
75.41%-15M
680.00%29M
42.45%-61M
264.86%61M
End cash Position
43.62%3.49B
17.55%3.62B
28.31%3.39B
9.90%4.32B
9.90%4.32B
-3.30%2.43B
-21.02%3.08B
-36.64%2.64B
0.64%3.93B
0.64%3.93B
Free cash flow
-69.31%632M
-43.32%976M
141.94%390M
85.74%6.16B
33.36%3.31B
1,172.40%2.06B
118.25%1.72B
-490.76%-930M
36.78%3.32B
216.58%2.48B
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)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(FY)Dec 31, 2022(Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -66.34%847M-39.03%1.23B192.71%585M73.72%7.48B25.72%3.58B1,929.03%2.52B99.21%2.01B-295.36%-631M53.82%4.3B221.95%2.85B
Net income from continuing operations 134.64%141M-721.97%-10.03B9.91%-955M57.80%-3.08B81.14%-392M82.19%-407M64.20%-1.22B-323.16%-1.06B-709.61%-7.3B-2,384.62%-2.08B
Operating gains losses 15.38%15M-2,127.27%-735M-61.54%15M101.23%6M70.45%-13M-85.87%13M25.00%-33M107.91%39M-625.81%-489M-134.38%-44M
Depreciation and amortization -5.43%4.89B-13.55%5.66B-15.72%5.72B12.43%24.01B12.52%5.5B-26.94%5.18B-16.89%6.55B352.67%6.78B320.11%21.35B273.78%4.89B
Deferred tax 28.37%-462M35.27%-490M40.36%-399M17.52%-2.34B62.96%-273M45.80%-645M5.02%-757M-466.95%-669M-456.16%-2.84B-8,088.89%-737M
Other non cash items -33.33%38M59.38%51M-92.78%7M-90.72%374M-93.85%188M-53.66%57M-96.10%32M193.94%97M6,009.09%4.03B1,405.42%3.06B
Change In working capital -113.83%-3.94B-2.41%-2.8B34.25%-3.9B-9.17%-11.99B39.55%-1.48B51.55%-1.84B23.93%-2.73B-423.85%-5.93B-239.26%-10.98B-203.59%-2.45B
-Change in receivables 77.00%708M113.21%113M37.45%-304M72.38%312M7.81%345M31.15%400M112.07%53M-9,620.00%-486M285.11%181M10,566.67%320M
-Change in payables and accrued expense -252.59%-1.36B-21.69%621M54.42%-753M-18.96%-13.13B-9.48%-11.88B-103.16%-386M500.76%793M-1,232.26%-1.65B-245.21%-11.03B-226.84%-10.85B
-Change in other working capital -1.33%-9.64B-30.89%2.82B25.05%-2.84B733.85%824M24.42%10.05B-142.64%-9.51B224.00%4.08B-278.07%-3.79B-47.73%-130M221.95%8.08B
Cash from discontinued investing activities
Operating cash flow -66.34%847M-39.03%1.23B192.71%585M73.72%7.48B25.72%3.58B1,929.03%2.52B99.21%2.01B-295.36%-631M53.82%4.3B221.95%2.85B
Investing cash flow
Cash flow from continuing investing activities 52.40%-218M122.58%70M19.46%-207M-135.73%-1.26B-7.34%-234M-153.13%-458M-113.19%-310M-148.58%-257M6,392.86%3.52B-738.46%-218M
Net PPE purchase and sale 52.95%-215M13.70%-252M34.78%-195M-33.33%-1.32B26.37%-268M-44.62%-457M-31.53%-292M-251.76%-299M-164.61%-987M-264.00%-364M
Net business purchase and sale 21.74%-36M53.13%-15M-307.69%-53M-104.70%-162M-153.57%-71M-103.96%-46M-101.36%-32M69.05%-13M1,951.61%3.44B42.86%-28M
Net investment purchase and sale --0---------88.56%121M-30.46%121M--0--------158.05%1.06B48.72%174M
Net other investing changes -26.67%33M-7.14%13M-25.45%41M988.89%98M---16M600.00%45M1,300.00%14M223.53%55M-90.32%9M--0
Cash from discontinued investing activities
Investing cash flow 52.40%-218M122.58%70M19.46%-207M-135.73%-1.26B-7.34%-234M-153.13%-458M-113.19%-310M-148.58%-257M6,392.86%3.52B-738.46%-218M
Financing cash flow
Cash flow from continuing financing activities 66.67%-875M17.11%-1.04B-186.34%-1.24B24.61%-5.84B-20.20%-1.53B-13.49%-2.63B64.96%-1.25B26.41%-432M-807.62%-7.74B-2,928.57%-1.27B
Net issuance payments of debt 64.93%-847M37.26%-1.04B-878.50%-1.05B26.60%-5.37B-20.51%-1.19B3.40%-2.42B52.69%-1.66B67.28%-107M-1,174.74%-7.32B---990M
Net other financing activities 86.67%-28M-99.51%2M41.54%-190M-9.65%-466M-19.15%-336M-212.30%-210M678.57%405M-25.00%-325M-52.33%-425M-571.43%-282M
Cash from discontinued financing activities
Financing cash flow 66.67%-875M17.11%-1.04B-186.34%-1.24B24.61%-5.84B-20.20%-1.53B-13.49%-2.63B64.96%-1.25B26.41%-432M-807.62%-7.74B-2,928.57%-1.27B
Net cash flow
Beginning cash position 17.55%3.62B28.31%3.39B9.90%4.32B0.64%3.93B-3.30%2.43B-21.02%3.08B-36.64%2.64B0.64%3.93B84.02%3.91B-19.61%2.51B
Current changes in cash 56.61%-246M-42.38%261M34.92%-859M343.02%381M33.85%1.82B57.27%-567M317.79%453M-598.11%-1.32B-95.45%86M66.18%1.36B
Effect of exchange rate changes 248.75%119M-100.00%-30M-355.17%-74M113.11%8M21.31%74M-42.86%-80M75.41%-15M680.00%29M42.45%-61M264.86%61M
End cash Position 43.62%3.49B17.55%3.62B28.31%3.39B9.90%4.32B9.90%4.32B-3.30%2.43B-21.02%3.08B-36.64%2.64B0.64%3.93B0.64%3.93B
Free cash flow -69.31%632M-43.32%976M141.94%390M85.74%6.16B33.36%3.31B1,172.40%2.06B118.25%1.72B-490.76%-930M36.78%3.32B216.58%2.48B
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

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Price Target

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