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COM:AGILENT

Agilent Technologies

  • Stock

USD

Last Close

132.06

22/11 21:00

Market Cap

37.07B

Beta: -

Volume Today

1.79M

Avg: -

Preview

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Oct '14
Oct '15
Oct '16
Oct '17
Oct '18
Oct '19
Oct '20
Oct '21
Oct '22
Oct '23
Oct '24
net income
497M
-
398M
19.92%
460M
15.58%
684M
48.70%
316M
53.80%
1.07B
238.92%
719M
32.87%
1.21B
68.29%
1.25B
3.64%
1.24B
1.12%
1.29B
3.95%
depreciation and amortization
383M
-
253M
33.94%
246M
2.77%
212M
13.82%
210M
0.94%
238M
13.33%
308M
29.41%
321M
4.22%
317M
1.25%
271M
14.51%
257M
5.17%
deferred income tax
-132M
-
70M
153.03%
3M
95.71%
102M
3,300%
-16M
115.69%
-255M
1,493.75%
29M
111.37%
14M
51.72%
8M
42.86%
-56M
800%
-64M
14.29%
stock based compensation
96M
-
54M
43.75%
58M
7.41%
60M
3.45%
70M
16.67%
72M
2.86%
83M
15.28%
110M
32.53%
125M
13.64%
111M
11.20%
129M
16.22%
change in working capital
-341M
-
-255M
25.22%
-25M
90.20%
-98M
292%
455M
564.29%
-388M
185.27%
-296M
23.71%
-88M
70.27%
-478M
443.18%
-116M
75.73%
accounts receivables
-119M
-
-24M
79.83%
-26M
8.33%
-81M
211.54%
-65M
19.75%
-106M
63.08%
-107M
0.94%
-128M
19.63%
-321M
150.78%
132M
141.12%
7M
94.70%
inventory
-99M
-
-24M
75.76%
-7M
70.83%
-61M
771.43%
-83M
36.07%
-36M
56.63%
-68M
88.89%
-136M
100%
-248M
82.35%
-33M
86.69%
45M
236.36%
accounts payables
50M
-
-26M
152%
-15M
42.31%
2M
113.33%
40M
1,900%
30M
25%
2M
93.33%
64M
3,100%
121M
89.06%
-171M
241.32%
103M
160.23%
other working capital
-173M
-
-181M
4.62%
23M
112.71%
42M
82.61%
563M
1,240.48%
-276M
149.02%
-123M
55.43%
112M
191.06%
-30M
126.79%
-44M
46.67%
other non cash items
210M
-
-29M
113.81%
51M
275.86%
-71M
239.22%
52M
173.24%
283M
444.23%
78M
72.44%
-82M
205.13%
86M
204.88%
322M
274.42%
140M
56.52%
net cash provided by operating activities
713M
-
491M
31.14%
793M
61.51%
889M
12.11%
1.09B
22.27%
1.02B
6.07%
921M
9.79%
1.49B
61.24%
1.31B
11.65%
1.77B
35.06%
1.75B
1.19%
investments in property plant and equipment
-207M
-
-98M
52.66%
-139M
41.84%
-176M
26.62%
-177M
0.57%
-156M
11.86%
-119M
23.72%
-189M
58.82%
-291M
53.97%
-298M
2.41%
acquisitions net
-36M
-
-72M
100%
-264M
266.67%
-126M
52.27%
-516M
309.52%
-1.41B
172.87%
1M
100.07%
-546M
54,700%
-52M
90.48%
-1M
98.08%
-862M
86,100%
purchases of investments
14M
-
-80M
-
-1M
98.75%
-11M
1,000%
-23M
109.09%
-20M
13.04%
-22M
10%
-13M
40.91%
-8M
38.46%
sales maturities of investments
1M
-
1M
-
1M
-
-1M
200%
-1M
0%
12M
1,300%
22M
83.33%
5M
77.27%
other investing activites
-4M
-
-230M
5,650%
244M
206.09%
-2M
100.82%
-1M
50%
-2M
100%
-8M
300%
-4M
50%
-4M
0%
-8M
100%
-396M
4,850%
net cash used for investing activites
-232M
-
-400M
72.41%
-238M
40.50%
-305M
28.15%
-704M
130.82%
-1.59B
125.85%
-147M
90.75%
-749M
409.52%
-338M
54.87%
-310M
8.28%
-1.26B
305.81%
debt repayment
-1.09B
-
-292M
-
-290M
0.68%
-693M
138.97%
-512M
26.12%
-1.76B
244.14%
-2.14B
21.40%
-1.87B
12.62%
-35M
98.13%
common stock issued
188M
-
58M
69.15%
62M
6.90%
66M
6.45%
56M
15.15%
1.17B
1,982.14%
1.78B
52.40%
2.55B
43.50%
58M
97.73%
67M
15.52%
77M
14.93%
common stock repurchased
-200M
-
-267M
33.50%
-434M
62.55%
-194M
55.30%
-422M
117.53%
-723M
71.33%
-469M
35.13%
-788M
68.02%
-1.14B
44.54%
-575M
49.52%
-1.15B
100%
dividends paid
-176M
-
-133M
24.43%
-150M
12.78%
-170M
13.33%
-191M
12.35%
-206M
7.85%
-222M
7.77%
-236M
6.31%
-250M
5.93%
-265M
6%
-274M
3.40%
other financing activites
1.18B
-
-726M
161.63%
546M
175.21%
386M
29.30%
453M
17.36%
-24M
105.30%
-41M
70.83%
-83M
102.44%
1.83B
2,302.41%
-122M
106.67%
-478M
291.80%
net cash used provided by financing activities
-97M
-
-1.07B
1,001.03%
-268M
74.91%
-202M
24.63%
-797M
294.55%
-299M
62.48%
-717M
139.80%
-696M
2.93%
-1.37B
97.13%
-930M
32.22%
-752M
19.14%
effect of forex changes on cash
-31M
-
-48M
54.84%
-1M
97.92%
7M
800%
-17M
342.86%
2M
111.76%
2M
0%
3M
50%
-36M
1,300%
5M
113.89%
-2M
140%
net change in cash
353M
-
-215M
160.91%
286M
233.02%
389M
36.01%
-431M
210.80%
-866M
100.93%
59M
106.81%
43M
27.12%
-434M
1,109.30%
537M
223.73%
-261M
148.60%
cash at beginning of period
2.67B
-
2.22B
17.08%
2.00B
9.69%
2.29B
14.28%
2.68B
16.99%
2.25B
15.83%
1.39B
38.42%
1.45B
4.25%
1.49B
2.97%
1.06B
29.13%
1.59B
50.85%
cash at end of period
3.03B
-
2.00B
33.85%
2.29B
14.28%
2.68B
16.99%
2.25B
16.09%
1.39B
38.23%
1.45B
4.25%
1.49B
2.97%
1.06B
29.13%
1.59B
50.85%
1.33B
16.38%
operating cash flow
713M
-
491M
31.14%
793M
61.51%
889M
12.11%
1.09B
22.27%
1.02B
6.07%
921M
9.79%
1.49B
61.24%
1.31B
11.65%
1.77B
35.06%
1.75B
1.19%
capital expenditure
-207M
-
-98M
52.66%
-139M
41.84%
-176M
26.62%
-177M
0.57%
-156M
11.86%
-119M
23.72%
-189M
58.82%
-291M
53.97%
-298M
2.41%
free cash flow
506M
-
393M
22.33%
654M
66.41%
713M
9.02%
910M
27.63%
865M
4.95%
802M
7.28%
1.30B
61.60%
1.02B
21.22%
1.47B
44.37%
1.75B
18.79%

All numbers in USD (except ratios and percentages)