US Stock MarketDetailed Quotes

EADSY AIRBUS SE

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  • 41.590
  • +0.490+1.19%
15min DelayClose May 3 16:00 ET
131.58BMarket Cap31.27P/E (TTM)

AIRBUS SE Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q2)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
26.03%552M
-12.65%3.61B
-15.62%1.4B
20.19%762M
55.76%1.01B
-63.29%438M
-0.91%4.14B
4.61%1.66B
64.68%634M
-64.96%651M
Deferred tax
321.05%84M
23.11%1.16B
47.73%585M
89.17%-26M
42.38%635M
-111.28%-38M
10.08%939M
147.50%396M
-379.07%-240M
0.90%446M
Other non cash items
25.96%-288M
-53.12%-516M
190.95%191M
-101.74%-8M
-52.71%-310M
-1.30%-389M
45.38%-337M
-90.91%-210M
462.20%460M
40.82%-203M
Change In working capital
-209.91%-2.28B
-15.20%1.21B
59.87%2.15B
-548.98%-1.59B
40.61%1.39B
-11.33%-737M
33.18%1.42B
466.67%1.34B
-372.22%-245M
428.33%985M
-Change in receivables
----
324.35%258M
----
----
----
----
-130.34%-115M
----
----
----
-Change in inventory
----
42.39%-1.85B
----
----
----
----
-233.80%-3.22B
----
----
----
-Change in other current assets
-209.91%-2.28B
-4.50%1.38B
69.86%2.32B
-548.98%-1.59B
40.61%1.39B
-11.33%-737M
175.61%1.45B
149.87%1.37B
-372.22%-245M
428.33%985M
Cash from discontinued investing activities
Operating cash flow
-192.07%-1.4B
-0.52%6.26B
43.31%4.19B
-116.88%-240M
91.41%2.79B
-198.16%-479M
35.55%6.29B
126.59%2.92B
123.23%1.42B
18.58%1.46B
Investing cash flow
Cash flow from continuing investing activities
Net intangibles purchase and sale
3.46%-474M
-25.94%-2.98B
-16.52%-1.33B
-13.98%-587M
-43.72%-572M
-57.37%-491M
-37.70%-2.36B
-92.88%-1.14B
-40.33%-515M
-20.24%-398M
Net business purchase and sale
15.15%-112M
-1.98%-516M
-261.90%-152M
97.18%-5M
-55.48%-227M
6.38%-132M
-145.63%-506M
61.47%-42M
-164.18%-177M
-1,522.22%-146M
Net investment purchase and sale
-1,012.50%-979M
-128.49%-786M
11,200.00%111M
50.70%-315M
-342.16%-494M
-195.65%-88M
70.99%-344M
99.93%-1M
-1,961.29%-639M
185.36%204M
Cash from discontinued investing activities
Investing cash flow
-120.11%-1.57B
-32.61%-4.13B
-16.04%-1.37B
31.86%-907M
-370.37%-1.14B
-96.95%-711M
-14.49%-3.11B
29.12%-1.18B
-186.24%-1.33B
56.91%-243M
Financing cash flow
Cash flow from continuing financing activities
Net common stock issuance
--0
-827.78%-334M
---251M
0.00%-140M
0.00%140M
-130.56%-83M
-63.64%-36M
--0
-5.26%-140M
5.26%140M
Cash dividends paid
----
-20.32%-1.42B
--0
--0
----
----
---1.18B
--0
--0
----
Net other financing activities
-152.00%-65M
153.40%479M
537.50%510M
39.84%179M
76.17%-335M
-58.47%125M
58.41%-897M
-11.11%80M
445.95%128M
29.77%-1.41B
Cash from discontinued financing activities
Financing cash flow
-254.76%-65M
39.67%-1.28B
227.85%259M
425.00%39M
33.96%-1.62B
-84.15%42M
2.94%-2.12B
16.18%79M
92.94%-12M
-30.93%-2.45B
Net cash flow
Beginning cash position
4.11%16.47B
8.58%15.82B
-5.97%13.65B
2.80%14.54B
-3.49%14.52B
8.58%15.82B
0.92%14.57B
-2.28%14.52B
-3.52%14.15B
-5.81%15.05B
Current changes in cash
-163.85%-3.03B
-19.72%851M
68.91%3.08B
-1,502.53%-1.11B
102.11%26M
-392.86%-1.15B
509.27%1.06B
700.00%1.82B
3,850.00%79M
-2.40%-1.24B
Effect of exchange rate changes
212.90%175M
-205.24%-201M
50.19%-257M
-25.77%216M
-101.49%-5M
-291.36%-155M
-51.28%191M
-2,445.45%-516M
52.36%291M
416.04%335M
End cash Position
-6.21%13.62B
4.11%16.47B
4.11%16.47B
-5.97%13.65B
2.80%14.54B
-3.49%14.52B
8.58%15.82B
8.58%15.82B
-2.28%14.52B
-3.52%14.15B
Free cash flow
-94.36%-1.9B
-16.21%3.2B
59.80%2.82B
-196.53%-834M
110.16%2.19B
-746.36%-976M
41.05%3.82B
214.80%1.77B
260.00%864M
17.85%1.04B
Currency Unit
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
(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(Q2)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations 26.03%552M-12.65%3.61B-15.62%1.4B20.19%762M55.76%1.01B-63.29%438M-0.91%4.14B4.61%1.66B64.68%634M-64.96%651M
Deferred tax 321.05%84M23.11%1.16B47.73%585M89.17%-26M42.38%635M-111.28%-38M10.08%939M147.50%396M-379.07%-240M0.90%446M
Other non cash items 25.96%-288M-53.12%-516M190.95%191M-101.74%-8M-52.71%-310M-1.30%-389M45.38%-337M-90.91%-210M462.20%460M40.82%-203M
Change In working capital -209.91%-2.28B-15.20%1.21B59.87%2.15B-548.98%-1.59B40.61%1.39B-11.33%-737M33.18%1.42B466.67%1.34B-372.22%-245M428.33%985M
-Change in receivables ----324.35%258M-----------------130.34%-115M------------
-Change in inventory ----42.39%-1.85B-----------------233.80%-3.22B------------
-Change in other current assets -209.91%-2.28B-4.50%1.38B69.86%2.32B-548.98%-1.59B40.61%1.39B-11.33%-737M175.61%1.45B149.87%1.37B-372.22%-245M428.33%985M
Cash from discontinued investing activities
Operating cash flow -192.07%-1.4B-0.52%6.26B43.31%4.19B-116.88%-240M91.41%2.79B-198.16%-479M35.55%6.29B126.59%2.92B123.23%1.42B18.58%1.46B
Investing cash flow
Cash flow from continuing investing activities
Net intangibles purchase and sale 3.46%-474M-25.94%-2.98B-16.52%-1.33B-13.98%-587M-43.72%-572M-57.37%-491M-37.70%-2.36B-92.88%-1.14B-40.33%-515M-20.24%-398M
Net business purchase and sale 15.15%-112M-1.98%-516M-261.90%-152M97.18%-5M-55.48%-227M6.38%-132M-145.63%-506M61.47%-42M-164.18%-177M-1,522.22%-146M
Net investment purchase and sale -1,012.50%-979M-128.49%-786M11,200.00%111M50.70%-315M-342.16%-494M-195.65%-88M70.99%-344M99.93%-1M-1,961.29%-639M185.36%204M
Cash from discontinued investing activities
Investing cash flow -120.11%-1.57B-32.61%-4.13B-16.04%-1.37B31.86%-907M-370.37%-1.14B-96.95%-711M-14.49%-3.11B29.12%-1.18B-186.24%-1.33B56.91%-243M
Financing cash flow
Cash flow from continuing financing activities
Net common stock issuance --0-827.78%-334M---251M0.00%-140M0.00%140M-130.56%-83M-63.64%-36M--0-5.26%-140M5.26%140M
Cash dividends paid -----20.32%-1.42B--0--0-----------1.18B--0--0----
Net other financing activities -152.00%-65M153.40%479M537.50%510M39.84%179M76.17%-335M-58.47%125M58.41%-897M-11.11%80M445.95%128M29.77%-1.41B
Cash from discontinued financing activities
Financing cash flow -254.76%-65M39.67%-1.28B227.85%259M425.00%39M33.96%-1.62B-84.15%42M2.94%-2.12B16.18%79M92.94%-12M-30.93%-2.45B
Net cash flow
Beginning cash position 4.11%16.47B8.58%15.82B-5.97%13.65B2.80%14.54B-3.49%14.52B8.58%15.82B0.92%14.57B-2.28%14.52B-3.52%14.15B-5.81%15.05B
Current changes in cash -163.85%-3.03B-19.72%851M68.91%3.08B-1,502.53%-1.11B102.11%26M-392.86%-1.15B509.27%1.06B700.00%1.82B3,850.00%79M-2.40%-1.24B
Effect of exchange rate changes 212.90%175M-205.24%-201M50.19%-257M-25.77%216M-101.49%-5M-291.36%-155M-51.28%191M-2,445.45%-516M52.36%291M416.04%335M
End cash Position -6.21%13.62B4.11%16.47B4.11%16.47B-5.97%13.65B2.80%14.54B-3.49%14.52B8.58%15.82B8.58%15.82B-2.28%14.52B-3.52%14.15B
Free cash flow -94.36%-1.9B-16.21%3.2B59.80%2.82B-196.53%-834M110.16%2.19B-746.36%-976M41.05%3.82B214.80%1.77B260.00%864M17.85%1.04B
Currency Unit EUREUREUREUREUREUREUREUREUREUR

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