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V Visa

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256.680 +2.450+0.96% Close 11/30 16:00 ET
256.630-0.050-0.02% Post 17:22 ET
256.770High253.170Low6.87MVolume

Visa Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)2023/09/30
(Q4)2023/09/30
(Q3)2023/06/30
(Q2)2023/03/31
(Q1)2022/12/31
(FY)2022/09/30
(Q4)2022/09/30
(Q3)2022/06/30
(Q2)2022/03/31
(Q1)2021/12/31
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
10.11%20.76B
17.89%6.93B
10.38%5.8B
10.63%3.86B
-1.44%4.17B
23.79%18.85B
47.97%5.88B
18.99%5.25B
4.81%3.49B
20.47%4.23B
Net income from continuing operations
15.48%17.27B
18.81%4.68B
21.84%4.16B
16.73%4.26B
5.56%4.18B
21.49%14.96B
9.93%3.94B
32.47%3.41B
20.52%3.65B
26.65%3.96B
Operating gains losses
-60.61%104M
-105.74%-7M
-134.55%-85M
-29.13%90M
145.89%106M
137.08%264M
220.79%122M
156.04%246M
181.41%127M
-1,343.75%-231M
Depreciation and amortization
9.52%943M
9.29%247M
2.17%235M
13.04%234M
14.65%227M
7.09%861M
11.88%226M
12.75%230M
2.99%207M
0.51%198M
Deferred tax
-43.75%-483M
-72.93%-230M
55.80%-99M
-161.11%-22M
-780.00%-132M
-138.49%-336M
-23.15%-133M
-122.22%-224M
212.50%36M
-400.00%-15M
Other non cash items
19.86%12.18B
18.41%3.35B
24.79%3.18B
18.16%2.9B
18.01%2.75B
25.24%10.16B
25.50%2.83B
22.65%2.55B
29.54%2.46B
23.45%2.33B
Change In working capital
-30.89%-10.02B
-3.80%-1.28B
-60.38%-1.78B
-20.48%-3.82B
-46.70%-3.14B
-14.25%-7.66B
37.10%-1.24B
5.14%-1.11B
-80.44%-3.17B
-18.18%-2.14B
-Change in receivables
17.00%-410M
215.06%191M
-331.01%-681M
63.03%194M
60.55%-114M
39.09%-494M
30.83%-166M
43.37%-158M
98.33%119M
17.90%-289M
-Change in payables and accrued expense
-50.04%1.43B
-9.90%1.31B
-10.81%1.56B
-0.20%-1B
-167.64%-441M
61.61%2.85B
156.89%1.45B
59.14%1.75B
-423.95%-1B
413.46%652M
-Change in other current assets
96.40%-24M
119.91%42M
106.71%11M
-85.16%-237M
198.16%160M
-353.06%-666M
-1,341.18%-211M
-241.67%-164M
63.53%-128M
-169.36%-163M
-Change in other working capital
-17.78%-11.01B
-22.18%-2.83B
-5.21%-2.67B
-28.37%-2.78B
-17.27%-2.74B
-24.51%-9.35B
-0.22%-2.31B
-30.67%-2.54B
-21.78%-2.16B
-57.51%-2.34B
Cash from discontinued investing activities
Operating cash flow
10.11%20.76B
17.89%6.93B
10.38%5.8B
10.63%3.86B
-1.44%4.17B
23.79%18.85B
47.97%5.88B
18.99%5.25B
4.81%3.49B
20.47%4.23B
Investing cash flow
Cash flow from continuing investing activities
53.22%-2.01B
-1,210.28%-1.19B
100.82%17M
81.79%-325M
6.76%-510M
-2,721.05%-4.29B
106.30%107M
-2,965.28%-2.06B
-313.77%-1.79B
-185.60%-547M
Net PPE purchase and sale
-9.18%-1.06B
-3.39%-305M
-25.53%-295M
21.35%-210M
-43.93%-249M
-37.59%-970M
-41.83%-295M
-31.28%-235M
-68.99%-267M
-8.13%-173M
Net business purchase and sale
--0
--0
--0
--0
--0
-2,497.33%-1.95B
---3M
--0
---1.11B
-1,009.33%-832M
Net investment purchase and sale
38.45%-922M
-306.42%-836M
116.48%309M
77.78%-92M
-178.50%-303M
-388.63%-1.5B
127.11%405M
-1,102.67%-1.88B
-141.57%-414M
-53.49%386M
Net other investing changes
-119.53%-25M
---47M
-93.62%3M
-355.56%-23M
-41.67%42M
17.43%128M
--0
-26.56%47M
400.00%9M
63.64%72M
Cash from discontinued investing activities
Investing cash flow
53.22%-2.01B
-1,210.28%-1.19B
100.82%17M
81.79%-325M
6.76%-510M
-2,721.05%-4.29B
106.30%107M
-2,965.28%-2.06B
-313.77%-1.79B
-185.60%-547M
Financing cash flow
Cash flow from continuing financing activities
-39.98%-17.77B
-13.37%-4.58B
-1,256.06%-3.92B
13.94%-2.93B
-27.78%-6.35B
11.89%-12.7B
-11.63%-4.04B
89.85%-289M
-43.28%-3.4B
10.86%-4.97B
Net issuance payments of debt
-201.44%-2.25B
--0
--0
--0
---2.25B
173.93%2.22B
---1B
--2.92B
--300M
--0
Net common stock issuance
-4.42%-12.1B
-78.36%-3.75B
-24.99%-3.04B
25.60%-2.19B
24.10%-3.12B
-33.58%-11.59B
29.12%-2.1B
-10.59%-2.43B
-72.15%-2.95B
-128.51%-4.1B
Cash dividends paid
-17.11%-3.75B
-16.88%-928M
-17.42%-937M
-17.33%-941M
-16.81%-945M
-14.47%-3.2B
-14.08%-794M
-14.33%-798M
-14.41%-802M
-15.08%-809M
Proceeds from stock option exercised by employees
71.05%130M
65.00%66M
64.10%64M
9.80%56M
-3.70%-56M
18.75%76M
-9.09%40M
-25.00%39M
24.39%51M
26.03%-54M
Net other financing activities
201.01%200M
118.03%33M
---5M
--153M
--19M
---198M
---183M
----
----
----
Cash from discontinued financing activities
Financing cash flow
-39.98%-17.77B
-13.37%-4.58B
-1,256.06%-3.92B
13.94%-2.93B
-27.78%-6.35B
11.89%-12.7B
-11.63%-4.04B
89.85%-289M
-43.28%-3.4B
10.86%-4.97B
Net cash flow
Beginning cash position
2.92%20.38B
10.75%21.04B
15.81%19.13B
0.33%18.38B
2.92%20.38B
3.28%19.8B
-10.71%19B
-15.55%16.52B
1.48%18.32B
3.28%19.8B
Current changes in cash
-47.61%977M
-40.35%1.16B
-34.66%1.9B
135.91%609M
-109.52%-2.69B
180.45%1.87B
244.35%1.94B
76.83%2.9B
-194.70%-1.7B
9.72%-1.28B
Effect of exchange rate changes
149.42%636M
62.99%-208M
103.81%16M
222.52%136M
456.70%692M
-3,378.38%-1.29B
-335.66%-562M
-652.63%-420M
61.46%-111M
-163.82%-194M
End cash Position
7.92%21.99B
7.92%21.99B
10.75%21.04B
15.81%19.13B
0.33%18.38B
2.92%20.38B
2.92%20.38B
-10.71%19B
-15.55%16.52B
1.48%18.32B
Free cash flow
10.16%19.7B
18.65%6.62B
9.67%5.5B
13.28%3.65B
-3.38%3.92B
23.12%17.88B
48.31%5.58B
18.47%5.02B
1.61%3.22B
21.06%4.06B
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)2023/09/30(Q4)2023/09/30(Q3)2023/06/30(Q2)2023/03/31(Q1)2022/12/31(FY)2022/09/30(Q4)2022/09/30(Q3)2022/06/30(Q2)2022/03/31(Q1)2021/12/31
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 10.11%20.76B17.89%6.93B10.38%5.8B10.63%3.86B-1.44%4.17B23.79%18.85B47.97%5.88B18.99%5.25B4.81%3.49B20.47%4.23B
Net income from continuing operations 15.48%17.27B18.81%4.68B21.84%4.16B16.73%4.26B5.56%4.18B21.49%14.96B9.93%3.94B32.47%3.41B20.52%3.65B26.65%3.96B
Operating gains losses -60.61%104M-105.74%-7M-134.55%-85M-29.13%90M145.89%106M137.08%264M220.79%122M156.04%246M181.41%127M-1,343.75%-231M
Depreciation and amortization 9.52%943M9.29%247M2.17%235M13.04%234M14.65%227M7.09%861M11.88%226M12.75%230M2.99%207M0.51%198M
Deferred tax -43.75%-483M-72.93%-230M55.80%-99M-161.11%-22M-780.00%-132M-138.49%-336M-23.15%-133M-122.22%-224M212.50%36M-400.00%-15M
Other non cash items 19.86%12.18B18.41%3.35B24.79%3.18B18.16%2.9B18.01%2.75B25.24%10.16B25.50%2.83B22.65%2.55B29.54%2.46B23.45%2.33B
Change In working capital -30.89%-10.02B-3.80%-1.28B-60.38%-1.78B-20.48%-3.82B-46.70%-3.14B-14.25%-7.66B37.10%-1.24B5.14%-1.11B-80.44%-3.17B-18.18%-2.14B
-Change in receivables 17.00%-410M215.06%191M-331.01%-681M63.03%194M60.55%-114M39.09%-494M30.83%-166M43.37%-158M98.33%119M17.90%-289M
-Change in payables and accrued expense -50.04%1.43B-9.90%1.31B-10.81%1.56B-0.20%-1B-167.64%-441M61.61%2.85B156.89%1.45B59.14%1.75B-423.95%-1B413.46%652M
-Change in other current assets 96.40%-24M119.91%42M106.71%11M-85.16%-237M198.16%160M-353.06%-666M-1,341.18%-211M-241.67%-164M63.53%-128M-169.36%-163M
-Change in other working capital -17.78%-11.01B-22.18%-2.83B-5.21%-2.67B-28.37%-2.78B-17.27%-2.74B-24.51%-9.35B-0.22%-2.31B-30.67%-2.54B-21.78%-2.16B-57.51%-2.34B
Cash from discontinued investing activities
Operating cash flow 10.11%20.76B17.89%6.93B10.38%5.8B10.63%3.86B-1.44%4.17B23.79%18.85B47.97%5.88B18.99%5.25B4.81%3.49B20.47%4.23B
Investing cash flow
Cash flow from continuing investing activities 53.22%-2.01B-1,210.28%-1.19B100.82%17M81.79%-325M6.76%-510M-2,721.05%-4.29B106.30%107M-2,965.28%-2.06B-313.77%-1.79B-185.60%-547M
Net PPE purchase and sale -9.18%-1.06B-3.39%-305M-25.53%-295M21.35%-210M-43.93%-249M-37.59%-970M-41.83%-295M-31.28%-235M-68.99%-267M-8.13%-173M
Net business purchase and sale --0--0--0--0--0-2,497.33%-1.95B---3M--0---1.11B-1,009.33%-832M
Net investment purchase and sale 38.45%-922M-306.42%-836M116.48%309M77.78%-92M-178.50%-303M-388.63%-1.5B127.11%405M-1,102.67%-1.88B-141.57%-414M-53.49%386M
Net other investing changes -119.53%-25M---47M-93.62%3M-355.56%-23M-41.67%42M17.43%128M--0-26.56%47M400.00%9M63.64%72M
Cash from discontinued investing activities
Investing cash flow 53.22%-2.01B-1,210.28%-1.19B100.82%17M81.79%-325M6.76%-510M-2,721.05%-4.29B106.30%107M-2,965.28%-2.06B-313.77%-1.79B-185.60%-547M
Financing cash flow
Cash flow from continuing financing activities -39.98%-17.77B-13.37%-4.58B-1,256.06%-3.92B13.94%-2.93B-27.78%-6.35B11.89%-12.7B-11.63%-4.04B89.85%-289M-43.28%-3.4B10.86%-4.97B
Net issuance payments of debt -201.44%-2.25B--0--0--0---2.25B173.93%2.22B---1B--2.92B--300M--0
Net common stock issuance -4.42%-12.1B-78.36%-3.75B-24.99%-3.04B25.60%-2.19B24.10%-3.12B-33.58%-11.59B29.12%-2.1B-10.59%-2.43B-72.15%-2.95B-128.51%-4.1B
Cash dividends paid -17.11%-3.75B-16.88%-928M-17.42%-937M-17.33%-941M-16.81%-945M-14.47%-3.2B-14.08%-794M-14.33%-798M-14.41%-802M-15.08%-809M
Proceeds from stock option exercised by employees 71.05%130M65.00%66M64.10%64M9.80%56M-3.70%-56M18.75%76M-9.09%40M-25.00%39M24.39%51M26.03%-54M
Net other financing activities 201.01%200M118.03%33M---5M--153M--19M---198M---183M------------
Cash from discontinued financing activities
Financing cash flow -39.98%-17.77B-13.37%-4.58B-1,256.06%-3.92B13.94%-2.93B-27.78%-6.35B11.89%-12.7B-11.63%-4.04B89.85%-289M-43.28%-3.4B10.86%-4.97B
Net cash flow
Beginning cash position 2.92%20.38B10.75%21.04B15.81%19.13B0.33%18.38B2.92%20.38B3.28%19.8B-10.71%19B-15.55%16.52B1.48%18.32B3.28%19.8B
Current changes in cash -47.61%977M-40.35%1.16B-34.66%1.9B135.91%609M-109.52%-2.69B180.45%1.87B244.35%1.94B76.83%2.9B-194.70%-1.7B9.72%-1.28B
Effect of exchange rate changes 149.42%636M62.99%-208M103.81%16M222.52%136M456.70%692M-3,378.38%-1.29B-335.66%-562M-652.63%-420M61.46%-111M-163.82%-194M
End cash Position 7.92%21.99B7.92%21.99B10.75%21.04B15.81%19.13B0.33%18.38B2.92%20.38B2.92%20.38B-10.71%19B-15.55%16.52B1.48%18.32B
Free cash flow 10.16%19.7B18.65%6.62B9.67%5.5B13.28%3.65B-3.38%3.92B23.12%17.88B48.31%5.58B18.47%5.02B1.61%3.22B21.06%4.06B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------