US Stock MarketDetailed Quotes

YUM Yum! Brands

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  • 137.260
  • -0.330-0.24%
Close Aug 14 16:00 ET
38.59BMarket Cap25.14P/E (TTM)

Yum! Brands 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
Assets
Current assets
Cash, cash equivalents and short term investments
18.99%520M
86.82%652M
39.51%512M
39.51%512M
60.00%656M
6.07%437M
-4.38%349M
-24.49%367M
-24.49%367M
-59.04%410M
-Cash and cash equivalents
-7.55%404M
86.82%652M
39.51%512M
39.51%512M
60.00%656M
6.07%437M
-4.38%349M
-24.49%367M
-24.49%367M
-59.04%410M
-Short-term investments
--116M
----
----
----
----
----
----
----
----
----
Receivables
11.74%733M
10.29%686M
11.32%757M
11.32%757M
11.74%647M
9.70%656M
10.09%622M
5.26%680M
5.26%680M
5.66%579M
-Accounts receivable
8.69%713M
10.29%686M
13.73%737M
13.73%737M
11.74%647M
9.70%656M
10.09%622M
8.72%648M
8.72%648M
5.66%579M
-Taxes receivable
--20M
----
-37.50%20M
-37.50%20M
----
----
----
-36.00%32M
-36.00%32M
----
Restricted cash
--183M
----
-19.55%177M
-19.55%177M
----
----
----
-12.00%220M
-12.00%220M
----
Other current assets
-52.84%199M
-24.17%436M
4.61%159M
4.61%159M
-33.66%402M
0.72%422M
34.98%575M
10.14%152M
10.14%152M
18.13%606M
Total current assets
7.92%1.64B
14.75%1.77B
0.00%1.61B
0.00%1.61B
6.90%1.71B
6.02%1.52B
14.01%1.55B
5.03%1.61B
5.03%1.61B
-22.65%1.6B
Non current assets
Net PPE
11.59%2.14B
1.57%1.95B
2.51%1.96B
2.51%1.96B
3.90%1.92B
-2.69%1.92B
-2.89%1.92B
-5.11%1.91B
-5.11%1.91B
-8.88%1.85B
-Gross PPE
8.67%3.5B
2.27%3.29B
3.04%3.29B
3.04%3.29B
3.70%3.23B
-1.47%3.22B
-1.26%3.22B
-2.74%3.2B
-2.74%3.2B
-5.81%3.11B
-Accumulated depreciation
-4.37%-1.36B
-3.30%-1.35B
-3.82%-1.33B
-3.82%-1.33B
-3.41%-1.31B
-0.38%-1.3B
-1.24%-1.3B
-1.02%-1.28B
-1.02%-1.28B
0.94%-1.26B
Goodwill and other intangible assets
12.38%1.14B
2.12%1.01B
2.72%1.02B
2.72%1.02B
3.39%1.01B
0.00%1.01B
-1.98%990M
-2.36%992M
-2.36%992M
-3.66%974M
-Goodwill
12.01%718M
0.31%641M
0.63%642M
0.63%642M
0.79%638M
-1.23%641M
-2.59%639M
-2.89%638M
-2.89%638M
-2.62%633M
-Other intangible assets
13.01%417M
5.41%370M
6.50%377M
6.50%377M
8.21%369M
2.22%369M
-0.85%351M
-1.39%354M
-1.39%354M
-5.54%341M
Investments and advances
--0
--0
6.90%124M
6.90%124M
7.87%137M
17.31%122M
-23.77%93M
-1.69%116M
-1.69%116M
--127M
Non current deferred assets
24.00%1.02B
35.77%1.02B
39.33%1.05B
39.33%1.05B
26.24%842M
16.95%821M
-4.08%752M
3.59%750M
3.59%750M
-3.89%667M
Other non current assets
1.08%470M
4.42%473M
1.50%473M
1.50%473M
-19.01%460M
-19.41%465M
-20.80%453M
-16.79%466M
-16.79%466M
-8.97%568M
Total non current assets
9.85%4.76B
5.88%4.45B
9.09%4.62B
9.09%4.62B
4.35%4.37B
-0.64%4.33B
-5.76%4.2B
-4.44%4.24B
-4.44%4.24B
-3.97%4.18B
Total assets
9.35%6.4B
8.26%6.22B
6.59%6.23B
6.59%6.23B
5.05%6.07B
1.00%5.85B
-1.15%5.75B
-2.01%5.85B
-2.01%5.85B
-9.97%5.78B
Liabilities
Current liabilities
Payables
-0.09%1.11B
-2.33%1.13B
10.42%286M
10.42%286M
-3.50%1.13B
0.18%1.11B
-5.86%1.16B
7.92%259M
7.92%259M
-9.22%1.17B
-accounts payable
3.29%1.1B
-2.93%1.1B
-4.94%231M
-4.94%231M
-3.20%1.12B
-2.48%1.06B
-6.16%1.13B
7.05%243M
7.05%243M
-8.62%1.16B
-Total tax payable
-72.00%14M
20.69%35M
243.75%55M
243.75%55M
-25.00%12M
138.10%50M
7.41%29M
23.08%16M
23.08%16M
-38.46%16M
Current accrued expenses
----
----
-11.63%228M
-11.63%228M
----
----
----
-15.96%258M
-15.96%258M
----
Current debt and capital lease obligation
-93.58%24M
-85.43%58M
-72.33%132M
-72.33%132M
418.06%373M
419.44%374M
445.21%398M
205.77%477M
205.77%477M
12.50%72M
-Current debt
-93.58%24M
-85.43%58M
-88.46%45M
-88.46%45M
418.06%373M
419.44%374M
445.21%398M
473.53%390M
473.53%390M
12.50%72M
-Current capital lease obligation
----
----
0.00%87M
0.00%87M
----
----
----
-1.14%87M
-1.14%87M
----
Other current liabilities
----
----
-12.24%373M
-12.24%373M
----
----
----
1.19%425M
1.19%425M
----
Current liabilities
-23.60%1.14B
-23.60%1.19B
-23.30%1.28B
-23.30%1.28B
20.90%1.5B
25.70%1.49B
19.43%1.56B
17.67%1.67B
17.67%1.67B
-8.19%1.24B
Non current liabilities
Long term debt and capital lease obligation
-0.48%11.14B
-1.93%11.13B
-2.34%11.9B
-2.34%11.9B
-3.17%11.15B
-3.00%11.19B
0.15%11.35B
1.78%12.18B
1.78%12.18B
2.93%11.52B
-Long term debt
-0.48%11.14B
-1.93%11.13B
-2.67%11.1B
-2.67%11.1B
-3.17%11.15B
-3.00%11.19B
0.15%11.35B
2.54%11.4B
2.54%11.4B
2.93%11.52B
-Long term capital lease obligation
----
----
2.44%799M
2.44%799M
----
----
----
-8.24%780M
-8.24%780M
----
Other non current liabilities
9.11%1.75B
2.66%1.66B
4.58%913M
4.58%913M
2.88%1.61B
-1.96%1.6B
-3.23%1.62B
-8.39%873M
-8.39%873M
-9.83%1.56B
Total non current liabilities
0.72%12.89B
-1.36%12.79B
-1.88%12.81B
-1.88%12.81B
-2.45%12.76B
-2.87%12.8B
-0.28%12.97B
1.03%13.06B
1.03%13.06B
1.22%13.08B
Total liabilities
-1.81%14.03B
-3.74%13.98B
-4.30%14.09B
-4.30%14.09B
-0.42%14.26B
-0.52%14.28B
1.51%14.52B
2.67%14.72B
2.67%14.72B
0.33%14.32B
Shareholders'equity
Share capital
--0
--45M
--60M
--60M
--33M
--13M
--0
--0
--0
--0
-common stock
--0
--45M
--60M
--60M
--33M
--13M
--0
--0
--0
--0
Retained earnings
10.24%-7.32B
10.84%-7.49B
10.47%-7.62B
10.47%-7.62B
4.06%-7.91B
1.43%-8.16B
-2.49%-8.4B
-5.70%-8.51B
-5.70%-8.51B
-9.57%-8.24B
Gains losses not affecting retained earnings
-5.46%-309M
16.71%-309M
18.16%-302M
18.16%-302M
-5.37%-314M
0.34%-293M
-27.05%-371M
-13.54%-369M
-13.54%-369M
9.97%-298M
Total stockholders'equity
9.55%-7.63B
11.60%-7.76B
11.47%-7.86B
11.47%-7.86B
4.12%-8.19B
1.54%-8.44B
-3.33%-8.77B
-6.01%-8.88B
-6.01%-8.88B
-8.75%-8.54B
Total equity
9.55%-7.63B
11.60%-7.76B
11.47%-7.86B
11.47%-7.86B
4.12%-8.19B
1.54%-8.44B
-3.33%-8.77B
-6.01%-8.88B
-6.01%-8.88B
-8.75%-8.54B
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
--
--
--
--
--
--
--
(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
Assets
Current assets
Cash, cash equivalents and short term investments 18.99%520M86.82%652M39.51%512M39.51%512M60.00%656M6.07%437M-4.38%349M-24.49%367M-24.49%367M-59.04%410M
-Cash and cash equivalents -7.55%404M86.82%652M39.51%512M39.51%512M60.00%656M6.07%437M-4.38%349M-24.49%367M-24.49%367M-59.04%410M
-Short-term investments --116M------------------------------------
Receivables 11.74%733M10.29%686M11.32%757M11.32%757M11.74%647M9.70%656M10.09%622M5.26%680M5.26%680M5.66%579M
-Accounts receivable 8.69%713M10.29%686M13.73%737M13.73%737M11.74%647M9.70%656M10.09%622M8.72%648M8.72%648M5.66%579M
-Taxes receivable --20M-----37.50%20M-37.50%20M-------------36.00%32M-36.00%32M----
Restricted cash --183M-----19.55%177M-19.55%177M-------------12.00%220M-12.00%220M----
Other current assets -52.84%199M-24.17%436M4.61%159M4.61%159M-33.66%402M0.72%422M34.98%575M10.14%152M10.14%152M18.13%606M
Total current assets 7.92%1.64B14.75%1.77B0.00%1.61B0.00%1.61B6.90%1.71B6.02%1.52B14.01%1.55B5.03%1.61B5.03%1.61B-22.65%1.6B
Non current assets
Net PPE 11.59%2.14B1.57%1.95B2.51%1.96B2.51%1.96B3.90%1.92B-2.69%1.92B-2.89%1.92B-5.11%1.91B-5.11%1.91B-8.88%1.85B
-Gross PPE 8.67%3.5B2.27%3.29B3.04%3.29B3.04%3.29B3.70%3.23B-1.47%3.22B-1.26%3.22B-2.74%3.2B-2.74%3.2B-5.81%3.11B
-Accumulated depreciation -4.37%-1.36B-3.30%-1.35B-3.82%-1.33B-3.82%-1.33B-3.41%-1.31B-0.38%-1.3B-1.24%-1.3B-1.02%-1.28B-1.02%-1.28B0.94%-1.26B
Goodwill and other intangible assets 12.38%1.14B2.12%1.01B2.72%1.02B2.72%1.02B3.39%1.01B0.00%1.01B-1.98%990M-2.36%992M-2.36%992M-3.66%974M
-Goodwill 12.01%718M0.31%641M0.63%642M0.63%642M0.79%638M-1.23%641M-2.59%639M-2.89%638M-2.89%638M-2.62%633M
-Other intangible assets 13.01%417M5.41%370M6.50%377M6.50%377M8.21%369M2.22%369M-0.85%351M-1.39%354M-1.39%354M-5.54%341M
Investments and advances --0--06.90%124M6.90%124M7.87%137M17.31%122M-23.77%93M-1.69%116M-1.69%116M--127M
Non current deferred assets 24.00%1.02B35.77%1.02B39.33%1.05B39.33%1.05B26.24%842M16.95%821M-4.08%752M3.59%750M3.59%750M-3.89%667M
Other non current assets 1.08%470M4.42%473M1.50%473M1.50%473M-19.01%460M-19.41%465M-20.80%453M-16.79%466M-16.79%466M-8.97%568M
Total non current assets 9.85%4.76B5.88%4.45B9.09%4.62B9.09%4.62B4.35%4.37B-0.64%4.33B-5.76%4.2B-4.44%4.24B-4.44%4.24B-3.97%4.18B
Total assets 9.35%6.4B8.26%6.22B6.59%6.23B6.59%6.23B5.05%6.07B1.00%5.85B-1.15%5.75B-2.01%5.85B-2.01%5.85B-9.97%5.78B
Liabilities
Current liabilities
Payables -0.09%1.11B-2.33%1.13B10.42%286M10.42%286M-3.50%1.13B0.18%1.11B-5.86%1.16B7.92%259M7.92%259M-9.22%1.17B
-accounts payable 3.29%1.1B-2.93%1.1B-4.94%231M-4.94%231M-3.20%1.12B-2.48%1.06B-6.16%1.13B7.05%243M7.05%243M-8.62%1.16B
-Total tax payable -72.00%14M20.69%35M243.75%55M243.75%55M-25.00%12M138.10%50M7.41%29M23.08%16M23.08%16M-38.46%16M
Current accrued expenses ---------11.63%228M-11.63%228M-------------15.96%258M-15.96%258M----
Current debt and capital lease obligation -93.58%24M-85.43%58M-72.33%132M-72.33%132M418.06%373M419.44%374M445.21%398M205.77%477M205.77%477M12.50%72M
-Current debt -93.58%24M-85.43%58M-88.46%45M-88.46%45M418.06%373M419.44%374M445.21%398M473.53%390M473.53%390M12.50%72M
-Current capital lease obligation --------0.00%87M0.00%87M-------------1.14%87M-1.14%87M----
Other current liabilities ---------12.24%373M-12.24%373M------------1.19%425M1.19%425M----
Current liabilities -23.60%1.14B-23.60%1.19B-23.30%1.28B-23.30%1.28B20.90%1.5B25.70%1.49B19.43%1.56B17.67%1.67B17.67%1.67B-8.19%1.24B
Non current liabilities
Long term debt and capital lease obligation -0.48%11.14B-1.93%11.13B-2.34%11.9B-2.34%11.9B-3.17%11.15B-3.00%11.19B0.15%11.35B1.78%12.18B1.78%12.18B2.93%11.52B
-Long term debt -0.48%11.14B-1.93%11.13B-2.67%11.1B-2.67%11.1B-3.17%11.15B-3.00%11.19B0.15%11.35B2.54%11.4B2.54%11.4B2.93%11.52B
-Long term capital lease obligation --------2.44%799M2.44%799M-------------8.24%780M-8.24%780M----
Other non current liabilities 9.11%1.75B2.66%1.66B4.58%913M4.58%913M2.88%1.61B-1.96%1.6B-3.23%1.62B-8.39%873M-8.39%873M-9.83%1.56B
Total non current liabilities 0.72%12.89B-1.36%12.79B-1.88%12.81B-1.88%12.81B-2.45%12.76B-2.87%12.8B-0.28%12.97B1.03%13.06B1.03%13.06B1.22%13.08B
Total liabilities -1.81%14.03B-3.74%13.98B-4.30%14.09B-4.30%14.09B-0.42%14.26B-0.52%14.28B1.51%14.52B2.67%14.72B2.67%14.72B0.33%14.32B
Shareholders'equity
Share capital --0--45M--60M--60M--33M--13M--0--0--0--0
-common stock --0--45M--60M--60M--33M--13M--0--0--0--0
Retained earnings 10.24%-7.32B10.84%-7.49B10.47%-7.62B10.47%-7.62B4.06%-7.91B1.43%-8.16B-2.49%-8.4B-5.70%-8.51B-5.70%-8.51B-9.57%-8.24B
Gains losses not affecting retained earnings -5.46%-309M16.71%-309M18.16%-302M18.16%-302M-5.37%-314M0.34%-293M-27.05%-371M-13.54%-369M-13.54%-369M9.97%-298M
Total stockholders'equity 9.55%-7.63B11.60%-7.76B11.47%-7.86B11.47%-7.86B4.12%-8.19B1.54%-8.44B-3.33%-8.77B-6.01%-8.88B-6.01%-8.88B-8.75%-8.54B
Total equity 9.55%-7.63B11.60%-7.76B11.47%-7.86B11.47%-7.86B4.12%-8.19B1.54%-8.44B-3.33%-8.77B-6.01%-8.88B-6.01%-8.88B-8.75%-8.54B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------------

Analysis

Analyst Rating

No Data

Price Target

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