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Nasdaq (NDAQ)

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  • 89.900
  • +2.860+3.29%
Close Apr 24 16:00 ET
  • 89.750
  • -0.150-0.17%
Post 20:01 ET
51.10BMarket Cap27.08P/E (TTM)

Nasdaq (NDAQ) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
16.30%2.26B
-11.35%625M
-9.43%221M
62.17%746M
25.09%663M
14.33%1.94B
69.06%705M
-18.67%244M
11.11%460M
-6.19%530M
Net income from continuing operations
60.27%1.79B
45.92%518M
38.69%423M
103.15%451M
69.53%395M
5.49%1.12B
81.12%355M
3.74%305M
-16.54%222M
-22.59%233M
Operating gains losses
-1,161.54%-164M
-800.00%-54M
-2,000.00%-21M
-1,966.67%-62M
-800.00%-27M
-140.63%-13M
-500.00%-6M
-109.09%-1M
-108.33%-3M
78.57%-3M
Depreciation and amortization
3.10%632M
5.23%161M
3.95%158M
2.61%157M
0.65%156M
89.78%613M
22.40%153M
137.50%152M
135.38%153M
124.64%155M
Deferred tax
171.64%48M
460.00%18M
181.82%18M
115.79%6M
400.00%6M
-198.53%-67M
-120.83%-5M
-257.14%-22M
-311.11%-38M
-116.67%-2M
Other non cash items
-78.85%22M
--23M
-86.67%8M
-88.24%2M
-140.74%-11M
147.62%104M
--0
5,900.00%60M
240.00%17M
-3.57%27M
Change In working capital
-610.87%-235M
-148.84%-84M
-41.96%-406M
108.57%146M
21.11%109M
17.95%46M
421.21%172M
-150.88%-286M
404.35%70M
-37.06%90M
-Change in receivables
147.15%91M
13.83%-81M
162.79%27M
348.72%97M
382.35%48M
-6,533.33%-193M
-30.56%-94M
-1,533.33%-43M
-162.90%-39M
-270.00%-17M
-Change in payables and accrued expense
-243.54%-300M
-73.71%66M
-717.78%-368M
4.00%208M
-4.57%-206M
10,350.00%209M
74.31%251M
-309.09%-45M
140.96%200M
7.94%-197M
-Change in other current assets
-92.00%-96M
-2,228.57%-163M
62.22%-17M
157.14%18M
1,420.00%66M
-655.56%-50M
56.25%-7M
-400.00%-45M
133.33%7M
-171.43%-5M
-Change in other current liabilities
-92.31%1M
140.54%15M
570.59%80M
-218.75%-38M
-260.00%-56M
120.63%13M
-76.19%-37M
22.73%-17M
153.33%32M
-12.50%35M
-Change in other working capital
2.99%69M
33.90%79M
5.88%-128M
-6.92%-139M
-6.20%257M
-23.86%67M
3,050.00%59M
-37.37%-136M
-17.12%-130M
-8.67%274M
Cash from discontinued investing activities
Operating cash flow
16.30%2.26B
-11.35%625M
-9.43%221M
62.17%746M
25.09%663M
14.33%1.94B
69.06%705M
-18.67%244M
11.11%460M
-6.19%530M
Investing cash flow
Cash flow from continuing investing activities
-15.42%-1.1B
36.71%-638M
-298.63%-145M
-127.57%-59M
-11.21%-258M
84.10%-953M
82.73%-1.01B
-45.52%73M
234.59%214M
-74.44%-232M
Net PPE purchase and sale
-28.50%-266M
-48.33%-89M
-23.21%-69M
-13.46%-59M
-25.64%-49M
-31.01%-207M
-42.86%-60M
-51.35%-56M
-33.33%-52M
2.50%-39M
Net business purchase and sale
--140M
--88M
--0
----
----
--0
--0
--0
----
----
Net investment purchase and sale
2,728.57%184M
550.00%26M
306.25%33M
12,400.00%125M
--0
-200.00%-7M
-96.36%4M
-233.33%-16M
100.99%1M
128.57%4M
Net other investing changes
-56.70%-1.16B
30.36%-663M
-175.17%-109M
-166.79%-177M
-6.09%-209M
-859.74%-739M
-589.86%-952M
-8.81%145M
1,494.74%265M
-149.37%-197M
Cash from discontinued investing activities
Investing cash flow
-15.42%-1.1B
36.71%-638M
-298.63%-145M
-127.57%-59M
-11.21%-258M
84.10%-953M
82.73%-1.01B
-45.52%73M
234.59%214M
-74.44%-232M
Financing cash flow
Cash flow from continuing financing activities
-15.31%-2.95B
-2,262.50%-567M
177.94%159M
-219.21%-1.46B
42.24%-1.08B
-160.69%-2.56B
-102.00%-24M
85.40%-204M
-109.11%-458M
-205.87%-1.88B
Net issuance payments of debt
-1.72%-826M
44.75%-100M
-38.00%-69M
-129.89%-400M
36.86%-257M
-116.32%-812M
-128.82%-181M
65.03%-50M
-103.62%-174M
-28.39%-407M
Net common stock issuance
-324.83%-616M
---286M
-32.18%-115M
-72.41%-100M
---115M
46.10%-145M
--0
---87M
---58M
--0
Cash dividends paid
-11.09%-601M
-10.87%-153M
-12.32%-155M
-12.32%-155M
-8.66%-138M
-22.68%-541M
-8.66%-138M
-27.78%-138M
-27.78%-138M
-29.59%-127M
Proceeds from stock option exercised by employees
-15.00%-69M
-19.75%-97M
9.26%59M
33.33%-6M
-4.17%-25M
16.67%-60M
10.00%-81M
-20.59%54M
10.00%-9M
40.00%-24M
Net other financing activities
16.15%-841M
-81.65%69M
2,482.35%439M
-913.92%-801M
58.39%-548M
-4,112.00%-1B
-58.22%376M
101.40%17M
-123.37%-79M
-131,800.00%-1.32B
Cash from discontinued financing activities
Financing cash flow
-15.31%-2.95B
-2,262.50%-567M
177.94%159M
-219.21%-1.46B
42.24%-1.08B
-160.69%-2.56B
-102.00%-24M
85.40%-204M
-109.11%-458M
-205.87%-1.88B
Net cash flow
Beginning cash position
-29.67%5.01B
-23.36%4.44B
-23.30%4.2B
-9.54%4.73B
-29.67%5.01B
1.77%7.12B
-46.51%5.8B
-53.85%5.48B
-23.56%5.23B
1.77%7.12B
Current changes in cash
-14.16%-1.8B
-77.37%-580M
107.96%235M
-458.80%-775M
57.01%-678M
-1,919.23%-1.58B
92.25%-327M
111.73%113M
-95.91%216M
-771.27%-1.58B
Effect of exchange rate changes
235.20%726M
115.80%73M
-97.56%5M
690.32%245M
229.58%403M
-365.84%-537M
-192.03%-462M
392.86%205M
111.97%31M
-1,172.41%-311M
End cash Position
-21.41%3.93B
-21.41%3.93B
-23.36%4.44B
-23.30%4.2B
-9.54%4.73B
-29.67%5.01B
-29.67%5.01B
-46.51%5.8B
-53.85%5.48B
-23.56%5.23B
Free cash flow
14.84%1.99B
-16.90%536M
-19.15%152M
68.38%687M
25.05%614M
12.61%1.73B
72.00%645M
-28.52%188M
8.80%408M
-6.48%491M
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
--
--
--
--
(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 16.30%2.26B-11.35%625M-9.43%221M62.17%746M25.09%663M14.33%1.94B69.06%705M-18.67%244M11.11%460M-6.19%530M
Net income from continuing operations 60.27%1.79B45.92%518M38.69%423M103.15%451M69.53%395M5.49%1.12B81.12%355M3.74%305M-16.54%222M-22.59%233M
Operating gains losses -1,161.54%-164M-800.00%-54M-2,000.00%-21M-1,966.67%-62M-800.00%-27M-140.63%-13M-500.00%-6M-109.09%-1M-108.33%-3M78.57%-3M
Depreciation and amortization 3.10%632M5.23%161M3.95%158M2.61%157M0.65%156M89.78%613M22.40%153M137.50%152M135.38%153M124.64%155M
Deferred tax 171.64%48M460.00%18M181.82%18M115.79%6M400.00%6M-198.53%-67M-120.83%-5M-257.14%-22M-311.11%-38M-116.67%-2M
Other non cash items -78.85%22M--23M-86.67%8M-88.24%2M-140.74%-11M147.62%104M--05,900.00%60M240.00%17M-3.57%27M
Change In working capital -610.87%-235M-148.84%-84M-41.96%-406M108.57%146M21.11%109M17.95%46M421.21%172M-150.88%-286M404.35%70M-37.06%90M
-Change in receivables 147.15%91M13.83%-81M162.79%27M348.72%97M382.35%48M-6,533.33%-193M-30.56%-94M-1,533.33%-43M-162.90%-39M-270.00%-17M
-Change in payables and accrued expense -243.54%-300M-73.71%66M-717.78%-368M4.00%208M-4.57%-206M10,350.00%209M74.31%251M-309.09%-45M140.96%200M7.94%-197M
-Change in other current assets -92.00%-96M-2,228.57%-163M62.22%-17M157.14%18M1,420.00%66M-655.56%-50M56.25%-7M-400.00%-45M133.33%7M-171.43%-5M
-Change in other current liabilities -92.31%1M140.54%15M570.59%80M-218.75%-38M-260.00%-56M120.63%13M-76.19%-37M22.73%-17M153.33%32M-12.50%35M
-Change in other working capital 2.99%69M33.90%79M5.88%-128M-6.92%-139M-6.20%257M-23.86%67M3,050.00%59M-37.37%-136M-17.12%-130M-8.67%274M
Cash from discontinued investing activities
Operating cash flow 16.30%2.26B-11.35%625M-9.43%221M62.17%746M25.09%663M14.33%1.94B69.06%705M-18.67%244M11.11%460M-6.19%530M
Investing cash flow
Cash flow from continuing investing activities -15.42%-1.1B36.71%-638M-298.63%-145M-127.57%-59M-11.21%-258M84.10%-953M82.73%-1.01B-45.52%73M234.59%214M-74.44%-232M
Net PPE purchase and sale -28.50%-266M-48.33%-89M-23.21%-69M-13.46%-59M-25.64%-49M-31.01%-207M-42.86%-60M-51.35%-56M-33.33%-52M2.50%-39M
Net business purchase and sale --140M--88M--0----------0--0--0--------
Net investment purchase and sale 2,728.57%184M550.00%26M306.25%33M12,400.00%125M--0-200.00%-7M-96.36%4M-233.33%-16M100.99%1M128.57%4M
Net other investing changes -56.70%-1.16B30.36%-663M-175.17%-109M-166.79%-177M-6.09%-209M-859.74%-739M-589.86%-952M-8.81%145M1,494.74%265M-149.37%-197M
Cash from discontinued investing activities
Investing cash flow -15.42%-1.1B36.71%-638M-298.63%-145M-127.57%-59M-11.21%-258M84.10%-953M82.73%-1.01B-45.52%73M234.59%214M-74.44%-232M
Financing cash flow
Cash flow from continuing financing activities -15.31%-2.95B-2,262.50%-567M177.94%159M-219.21%-1.46B42.24%-1.08B-160.69%-2.56B-102.00%-24M85.40%-204M-109.11%-458M-205.87%-1.88B
Net issuance payments of debt -1.72%-826M44.75%-100M-38.00%-69M-129.89%-400M36.86%-257M-116.32%-812M-128.82%-181M65.03%-50M-103.62%-174M-28.39%-407M
Net common stock issuance -324.83%-616M---286M-32.18%-115M-72.41%-100M---115M46.10%-145M--0---87M---58M--0
Cash dividends paid -11.09%-601M-10.87%-153M-12.32%-155M-12.32%-155M-8.66%-138M-22.68%-541M-8.66%-138M-27.78%-138M-27.78%-138M-29.59%-127M
Proceeds from stock option exercised by employees -15.00%-69M-19.75%-97M9.26%59M33.33%-6M-4.17%-25M16.67%-60M10.00%-81M-20.59%54M10.00%-9M40.00%-24M
Net other financing activities 16.15%-841M-81.65%69M2,482.35%439M-913.92%-801M58.39%-548M-4,112.00%-1B-58.22%376M101.40%17M-123.37%-79M-131,800.00%-1.32B
Cash from discontinued financing activities
Financing cash flow -15.31%-2.95B-2,262.50%-567M177.94%159M-219.21%-1.46B42.24%-1.08B-160.69%-2.56B-102.00%-24M85.40%-204M-109.11%-458M-205.87%-1.88B
Net cash flow
Beginning cash position -29.67%5.01B-23.36%4.44B-23.30%4.2B-9.54%4.73B-29.67%5.01B1.77%7.12B-46.51%5.8B-53.85%5.48B-23.56%5.23B1.77%7.12B
Current changes in cash -14.16%-1.8B-77.37%-580M107.96%235M-458.80%-775M57.01%-678M-1,919.23%-1.58B92.25%-327M111.73%113M-95.91%216M-771.27%-1.58B
Effect of exchange rate changes 235.20%726M115.80%73M-97.56%5M690.32%245M229.58%403M-365.84%-537M-192.03%-462M392.86%205M111.97%31M-1,172.41%-311M
End cash Position -21.41%3.93B-21.41%3.93B-23.36%4.44B-23.30%4.2B-9.54%4.73B-29.67%5.01B-29.67%5.01B-46.51%5.8B-53.85%5.48B-23.56%5.23B
Free cash flow 14.84%1.99B-16.90%536M-19.15%152M68.38%687M25.05%614M12.61%1.73B72.00%645M-28.52%188M8.80%408M-6.48%491M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------
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