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COM:AUTODESK

Autodesk, Inc.

  • Stock

Last Close

307.84

21/11 19:09

Market Cap

53.24B

Beta: -

Volume Today

954.50K

Avg: -

Preview

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Jan '14
Jan '15
Jan '16
Jan '17
Jan '18
Jan '19
Jan '20
Jan '21
Jan '22
Jan '23
Jan '24
net income
228.80M
-
81.80M
64.25%
-326M
498.53%
-579.20M
77.67%
-566.90M
2.12%
-80.80M
85.75%
214.50M
365.47%
1.21B
463.26%
497M
58.86%
823M
65.59%
906M
10.09%
depreciation and amortization
128.90M
-
145.90M
13.19%
145.80M
0.07%
139.20M
4.53%
108.40M
22.13%
95.20M
12.18%
127.30M
33.72%
123.80M
2.75%
148.10M
19.63%
150M
1.28%
139M
7.33%
deferred income tax
-49.40M
-
-18.80M
61.94%
231.40M
1,330.85%
-37.30M
116.12%
-39.10M
4.83%
-6.80M
82.61%
10.30M
251.47%
-778.60M
7,659.22%
-7.80M
99.00%
-277M
3,451.28%
-86M
68.95%
stock based compensation
132.20M
-
165.60M
25.26%
197.20M
19.08%
221.80M
12.47%
261.40M
17.85%
249.50M
4.55%
362.40M
45.25%
398.40M
9.93%
555.40M
39.41%
657M
18.29%
703M
7.00%
change in working capital
86M
-
296M
244.19%
190.60M
35.61%
352.40M
84.89%
135.70M
61.49%
86.10M
36.55%
712M
726.95%
446.60M
37.28%
217.30M
51.34%
692M
218.45%
-311M
144.94%
accounts receivables
72.30M
-
-17.30M
123.93%
-195.50M
1,030.06%
201.50M
203.07%
13.30M
93.40%
-25.40M
290.98%
-178.50M
602.76%
12.60M
107.06%
-66.20M
625.40%
-247M
273.11%
86M
134.82%
inventory
-32.70M
-
-62.70M
91.74%
700K
101.12%
-118.80M
17,071.43%
-32M
73.06%
-27M
15.63%
64.60M
339.26%
-40M
161.92%
accounts payables
-19.60M
-
130.80M
767.35%
24.90M
80.96%
2.70M
89.16%
-13.90M
614.81%
-58.50M
320.86%
-90.80M
55.21%
129.60M
242.73%
9.90M
92.36%
-5M
150.51%
-12M
140%
other working capital
66M
-
245.20M
271.52%
360.50M
47.02%
267M
25.94%
168.30M
36.97%
197M
17.05%
916.70M
365.33%
344.40M
62.43%
273.60M
20.56%
944M
245.03%
-385M
140.78%
other non cash items
37M
-
37.60M
1.62%
-25M
166.49%
72.80M
391.20%
101.40M
39.29%
33.90M
66.57%
-11.40M
133.63%
38.80M
440.35%
121.30M
212.63%
26M
78.57%
-38M
246.15%
net cash provided by operating activities
563.50M
-
708.10M
25.66%
414M
41.53%
169.70M
59.01%
900K
99.47%
377.10M
41,800%
1.42B
275.26%
1.44B
1.56%
1.53B
6.55%
2.07B
35.24%
1.31B
36.60%
investments in property plant and equipment
-64.20M
-
-75.50M
17.60%
-72.40M
4.11%
-76M
4.97%
-50.70M
33.29%
-67M
32.15%
-53.20M
20.60%
-95.90M
80.26%
-66.50M
30.66%
-46M
30.83%
-61M
32.61%
acquisitions net
-176.10M
-
-630M
257.75%
-148.50M
76.43%
-85.20M
42.63%
-1.04B
-
53.20M
105.11%
-246.20M
562.78%
-1.25B
407.84%
-96M
92.32%
-70M
27.08%
purchases of investments
-1.21B
-
-1.36B
11.60%
-2.25B
66.05%
-1.87B
16.99%
-514M
72.48%
-138.20M
73.11%
-19.90M
85.60%
-21M
5.53%
-311.10M
1,381.43%
-397M
27.61%
-1.11B
179.60%
sales maturities of investments
1.28B
-
1.16B
9.39%
1.71B
47.20%
2.31B
35.69%
1.08B
53.20%
531M
50.98%
27.40M
94.84%
17M
37.96%
37.80M
122.35%
450M
1,090.48%
764M
69.78%
other investing activites
-18.60M
-
-4M
78.49%
-44.50M
1,012.50%
-13.80M
68.99%
-12.20M
11.59%
4M
132.79%
-64.80M
1,720%
-57.80M
10.80%
-4.50M
92.21%
-54M
1,100%
-25M
53.70%
net cash used for investing activites
-194M
-
-905.60M
366.80%
-809.50M
10.61%
272M
133.60%
506.40M
86.18%
-710.40M
240.28%
-57.30M
91.93%
-403.90M
604.89%
-1.59B
294.80%
-143M
91.03%
-502M
251.05%
debt repayment
-400M
-
-500M
-
-450M
10%
-997M
121.56%
-350M
64.89%
common stock issued
288.20M
-
135.40M
53.02%
110.80M
18.17%
119.60M
7.94%
94.40M
21.07%
90.90M
3.71%
93.70M
3.08%
114.10M
21.77%
113.70M
0.35%
124M
9.06%
130M
4.84%
common stock repurchased
-423.80M
-
-372.40M
12.13%
-458M
22.99%
-621.70M
35.74%
-699M
12.43%
-293.50M
58.01%
-442.50M
50.77%
-551.70M
24.68%
-1.08B
95.49%
-1.10B
2.09%
-795M
27.79%
dividends paid
-496.90M
-
-498.90M
-
-997M
-
other financing activites
9.10M
-
-2.90M
131.87%
690.40M
23,906.90%
-76.20M
111.04%
844.90M
1,208.79%
354.50M
58.04%
880.90M
148.49%
-159.20M
118.07%
2.79B
1,852.64%
-160M
105.73%
-187M
16.88%
net cash used provided by financing activities
-126.50M
-
-239.90M
89.64%
343.20M
243.06%
-578.30M
268.50%
-656.60M
13.54%
151.90M
123.13%
-466.80M
407.31%
-1.05B
124.25%
-168.60M
83.89%
-1.49B
781.97%
-852M
42.70%
effect of forex changes on cash
-2.20M
-
-5M
127.27%
-5.30M
6%
-3.30M
37.74%
14.20M
530.30%
-10.60M
174.65%
-2.30M
78.30%
11M
578.26%
-11.90M
208.18%
-22M
84.87%
-14M
36.36%
net change in cash
240.80M
-
-442.40M
283.72%
-57.60M
86.98%
-139.90M
142.88%
-135.10M
3.43%
-192M
42.12%
888.70M
562.86%
-2.50M
100.28%
-243.80M
9,652%
419M
271.86%
-55M
113.13%
cash at beginning of period
1.61B
-
1.85B
14.94%
1.41B
23.87%
1.35B
4.08%
1.21B
10.34%
1.08B
11.14%
886M
17.81%
1.77B
100.30%
1.77B
0.14%
1.53B
13.78%
1.95B
27.42%
cash at end of period
1.85B
-
1.41B
23.87%
1.35B
4.08%
1.21B
10.34%
1.08B
11.14%
886M
17.81%
1.77B
100.30%
1.77B
0.14%
1.53B
13.76%
1.95B
27.39%
1.89B
2.82%
operating cash flow
563.50M
-
708.10M
25.66%
414M
41.53%
169.70M
59.01%
900K
99.47%
377.10M
41,800%
1.42B
275.26%
1.44B
1.56%
1.53B
6.55%
2.07B
35.24%
1.31B
36.60%
capital expenditure
-64.20M
-
-75.50M
17.60%
-72.40M
4.11%
-76M
4.97%
-50.70M
33.29%
-67M
32.15%
-53.20M
20.60%
-95.90M
80.26%
-66.50M
30.66%
-46M
30.83%
-61M
32.61%
free cash flow
499.30M
-
632.60M
26.70%
341.60M
46.00%
93.70M
72.57%
-49.80M
153.15%
310.10M
722.69%
1.36B
339.18%
1.34B
1.51%
1.46B
9.21%
2.02B
38.24%
1.25B
38.17%

All numbers in (except ratios and percentages)