US Stock MarketDetailed Quotes

WDC Western Digital

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  • 71.500
  • -1.520-2.08%
Close Nov 27 16:00 ET
  • 71.700
  • +0.200+0.28%
Post 18:14 ET
24.72BMarket Cap78.57P/E (TTM)

Western Digital Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Sep 27, 2024
(FY)Jun 28, 2024
(Q4)Jun 28, 2024
(Q3)Mar 29, 2024
(Q2)Dec 29, 2023
(Q1)Sep 27, 2023
(FY)Jun 30, 2023
(Q4)Jun 30, 2023
(Q3)Mar 31, 2023
(Q2)Dec 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
105.43%34M
27.94%-294M
638.24%366M
115.22%58M
-362.86%-92M
-10,533.33%-626M
-121.70%-408M
-123.05%-68M
-195.73%-381M
-94.74%35M
Net income from continuing operations
171.97%493M
52.61%-798M
105.50%39M
123.64%135M
33.41%-287M
-2,637.04%-685M
-208.93%-1.68B
-304.32%-709M
-2,384.00%-571M
-176.42%-431M
Operating gains losses
98.85%-1M
-1,142.86%-87M
--0
--0
--0
-8,800.00%-87M
72.00%-7M
--0
46.67%-8M
--0
Depreciation and amortization
-8.16%135M
-31.40%568M
-25.41%138M
-34.27%140M
-33.18%143M
-31.94%147M
-10.87%828M
-16.29%185M
-1.39%213M
-11.57%214M
Deferred tax
217.39%54M
-235.42%-161M
47.44%-41M
-677.78%-52M
-134.92%-22M
-9.52%-46M
-141.38%-48M
-204.00%-78M
200.00%9M
472.73%63M
Other non cash items
340.00%22M
-48.65%38M
-94.52%4M
195.00%57M
-300.00%-28M
-89.36%5M
17.46%74M
661.54%73M
-242.86%-60M
-61.11%14M
Change In working capital
-470.45%-753M
-433.70%-307M
-74.74%98M
-639.02%-303M
-59.46%30M
59.88%-132M
108.56%92M
196.76%388M
-200.00%-41M
126.91%74M
-Change in receivables
-298.64%-292M
-147.10%-568M
-5,128.57%-366M
-188.22%-277M
-113.93%-72M
-61.52%147M
320.88%1.21B
98.44%-7M
-19.49%314M
273.49%517M
-Change in inventory
-137.81%-76M
693.33%356M
-145.20%-127M
100.49%1M
215.73%281M
189.73%201M
-172.73%-60M
1,121.74%281M
-1,273.33%-206M
186.41%89M
-Change in payables and accrued expense
90.04%-25M
128.36%247M
463.43%755M
90.03%-30M
56.60%-227M
-38.67%-251M
-451.27%-871M
-4.96%134M
17.98%-301M
-325.43%-523M
-Change in other working capital
-57.21%-360M
-86.89%-342M
-720.00%-164M
-98.03%3M
633.33%48M
25.16%-229M
47.56%-183M
82.61%-20M
360.61%152M
91.51%-9M
Cash from discontinued investing activities
Operating cash flow
105.43%34M
27.94%-294M
638.24%366M
115.22%58M
-362.86%-92M
-10,533.33%-626M
-121.70%-408M
-123.05%-68M
-195.73%-381M
-94.74%35M
Investing cash flow
Cash flow from continuing investing activities
-153.57%-45M
96.46%-27M
59.15%-58M
105.07%7M
76.74%-60M
137.50%84M
36.07%-762M
61.62%-142M
45.45%-138M
-0.39%-258M
Net PPE purchase and sale
-237.68%-95M
63.82%-292M
2.52%-116M
13.64%-95M
41.86%-150M
121.56%69M
27.10%-807M
57.19%-119M
62.07%-110M
12.24%-258M
Net business purchase and sale
----
--0
----
----
----
----
--0
----
----
----
Net investment purchase and sale
50.00%3M
-16.13%26M
188.89%26M
-273.33%-26M
140.00%24M
166.67%2M
219.23%31M
190.00%9M
600.00%15M
400.00%10M
Net other investing changes
261.54%47M
1,607.14%239M
200.00%32M
455.56%128M
488.24%66M
-86.87%13M
115.38%14M
71.93%-32M
-190.00%-36M
-148.57%-17M
Cash from discontinued investing activities
Investing cash flow
-153.57%-45M
96.46%-27M
59.15%-58M
105.07%7M
76.74%-60M
137.50%84M
36.07%-762M
61.62%-142M
45.45%-138M
-0.39%-258M
Financing cash flow
Cash flow from continuing financing activities
-118.41%-102M
-78.63%187M
-1,778.95%-319M
-174.31%-645M
1,471.05%597M
1,208.00%554M
150.93%875M
120.00%19M
619.76%868M
103.26%38M
Net issuance payments of debt
-106.33%-38M
--391M
---337M
---629M
--757M
--600M
--0
--0
--0
--0
Net preferred stock issuance
--0
-100.57%-5M
--0
--0
---2M
---3M
--881M
---1M
--882M
--0
Proceeds from stock option exercised by employees
----
-13.98%80M
-9.09%40M
--0
----
----
-23.77%93M
-26.67%44M
-50.00%1M
----
Net other financing activities
-48.84%-64M
-181.82%-279M
8.33%-22M
-6.67%-16M
-1,880.00%-198M
14.00%-43M
12.39%-99M
-380.00%-24M
21.05%-15M
9.09%-10M
Cash from discontinued financing activities
Financing cash flow
-118.41%-102M
-78.63%187M
-1,778.95%-319M
-174.31%-645M
1,471.05%597M
1,208.00%554M
150.93%875M
120.00%19M
619.76%868M
103.26%38M
Net cash flow
Beginning cash position
-7.12%1.88B
-13.06%2.02B
-14.68%1.89B
32.60%2.48B
-0.83%2.03B
-13.06%2.02B
-30.95%2.33B
-11.38%2.22B
-26.08%1.87B
-37.72%2.05B
Current changes in cash
-1,041.67%-113M
54.58%-134M
94.24%-11M
-266.19%-580M
340.54%445M
104.48%12M
71.36%-295M
-12.35%-191M
1,686.36%349M
75.59%-185M
Effect of exchange rate changes
433.33%10M
-11.11%-10M
33.33%-4M
---7M
-42.86%4M
70.00%-3M
30.77%-9M
25.00%-6M
--0
800.00%7M
End cash Position
-16.09%1.71B
-7.12%1.88B
-7.12%1.88B
-14.68%1.89B
32.60%2.48B
-0.83%2.03B
-13.06%2.02B
-13.06%2.02B
-11.38%2.22B
-26.08%1.87B
Free cash flow
91.73%-62M
36.45%-781M
233.69%250M
92.28%-39M
-8.52%-242M
-138.85%-750M
-262.14%-1.23B
-1,346.67%-187M
-571.96%-505M
-161.94%-223M
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 with Explanatory Notes
--
--
--
(Q1)Sep 27, 2024(FY)Jun 28, 2024(Q4)Jun 28, 2024(Q3)Mar 29, 2024(Q2)Dec 29, 2023(Q1)Sep 27, 2023(FY)Jun 30, 2023(Q4)Jun 30, 2023(Q3)Mar 31, 2023(Q2)Dec 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 105.43%34M27.94%-294M638.24%366M115.22%58M-362.86%-92M-10,533.33%-626M-121.70%-408M-123.05%-68M-195.73%-381M-94.74%35M
Net income from continuing operations 171.97%493M52.61%-798M105.50%39M123.64%135M33.41%-287M-2,637.04%-685M-208.93%-1.68B-304.32%-709M-2,384.00%-571M-176.42%-431M
Operating gains losses 98.85%-1M-1,142.86%-87M--0--0--0-8,800.00%-87M72.00%-7M--046.67%-8M--0
Depreciation and amortization -8.16%135M-31.40%568M-25.41%138M-34.27%140M-33.18%143M-31.94%147M-10.87%828M-16.29%185M-1.39%213M-11.57%214M
Deferred tax 217.39%54M-235.42%-161M47.44%-41M-677.78%-52M-134.92%-22M-9.52%-46M-141.38%-48M-204.00%-78M200.00%9M472.73%63M
Other non cash items 340.00%22M-48.65%38M-94.52%4M195.00%57M-300.00%-28M-89.36%5M17.46%74M661.54%73M-242.86%-60M-61.11%14M
Change In working capital -470.45%-753M-433.70%-307M-74.74%98M-639.02%-303M-59.46%30M59.88%-132M108.56%92M196.76%388M-200.00%-41M126.91%74M
-Change in receivables -298.64%-292M-147.10%-568M-5,128.57%-366M-188.22%-277M-113.93%-72M-61.52%147M320.88%1.21B98.44%-7M-19.49%314M273.49%517M
-Change in inventory -137.81%-76M693.33%356M-145.20%-127M100.49%1M215.73%281M189.73%201M-172.73%-60M1,121.74%281M-1,273.33%-206M186.41%89M
-Change in payables and accrued expense 90.04%-25M128.36%247M463.43%755M90.03%-30M56.60%-227M-38.67%-251M-451.27%-871M-4.96%134M17.98%-301M-325.43%-523M
-Change in other working capital -57.21%-360M-86.89%-342M-720.00%-164M-98.03%3M633.33%48M25.16%-229M47.56%-183M82.61%-20M360.61%152M91.51%-9M
Cash from discontinued investing activities
Operating cash flow 105.43%34M27.94%-294M638.24%366M115.22%58M-362.86%-92M-10,533.33%-626M-121.70%-408M-123.05%-68M-195.73%-381M-94.74%35M
Investing cash flow
Cash flow from continuing investing activities -153.57%-45M96.46%-27M59.15%-58M105.07%7M76.74%-60M137.50%84M36.07%-762M61.62%-142M45.45%-138M-0.39%-258M
Net PPE purchase and sale -237.68%-95M63.82%-292M2.52%-116M13.64%-95M41.86%-150M121.56%69M27.10%-807M57.19%-119M62.07%-110M12.24%-258M
Net business purchase and sale ------0------------------0------------
Net investment purchase and sale 50.00%3M-16.13%26M188.89%26M-273.33%-26M140.00%24M166.67%2M219.23%31M190.00%9M600.00%15M400.00%10M
Net other investing changes 261.54%47M1,607.14%239M200.00%32M455.56%128M488.24%66M-86.87%13M115.38%14M71.93%-32M-190.00%-36M-148.57%-17M
Cash from discontinued investing activities
Investing cash flow -153.57%-45M96.46%-27M59.15%-58M105.07%7M76.74%-60M137.50%84M36.07%-762M61.62%-142M45.45%-138M-0.39%-258M
Financing cash flow
Cash flow from continuing financing activities -118.41%-102M-78.63%187M-1,778.95%-319M-174.31%-645M1,471.05%597M1,208.00%554M150.93%875M120.00%19M619.76%868M103.26%38M
Net issuance payments of debt -106.33%-38M--391M---337M---629M--757M--600M--0--0--0--0
Net preferred stock issuance --0-100.57%-5M--0--0---2M---3M--881M---1M--882M--0
Proceeds from stock option exercised by employees -----13.98%80M-9.09%40M--0---------23.77%93M-26.67%44M-50.00%1M----
Net other financing activities -48.84%-64M-181.82%-279M8.33%-22M-6.67%-16M-1,880.00%-198M14.00%-43M12.39%-99M-380.00%-24M21.05%-15M9.09%-10M
Cash from discontinued financing activities
Financing cash flow -118.41%-102M-78.63%187M-1,778.95%-319M-174.31%-645M1,471.05%597M1,208.00%554M150.93%875M120.00%19M619.76%868M103.26%38M
Net cash flow
Beginning cash position -7.12%1.88B-13.06%2.02B-14.68%1.89B32.60%2.48B-0.83%2.03B-13.06%2.02B-30.95%2.33B-11.38%2.22B-26.08%1.87B-37.72%2.05B
Current changes in cash -1,041.67%-113M54.58%-134M94.24%-11M-266.19%-580M340.54%445M104.48%12M71.36%-295M-12.35%-191M1,686.36%349M75.59%-185M
Effect of exchange rate changes 433.33%10M-11.11%-10M33.33%-4M---7M-42.86%4M70.00%-3M30.77%-9M25.00%-6M--0800.00%7M
End cash Position -16.09%1.71B-7.12%1.88B-7.12%1.88B-14.68%1.89B32.60%2.48B-0.83%2.03B-13.06%2.02B-13.06%2.02B-11.38%2.22B-26.08%1.87B
Free cash flow 91.73%-62M36.45%-781M233.69%250M92.28%-39M-8.52%-242M-138.85%-750M-262.14%-1.23B-1,346.67%-187M-571.96%-505M-161.94%-223M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------------Unqualified Opinion with Explanatory Notes------

Analysis

Analyst Rating

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Price Target

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