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COM:EA

Electronic Arts Inc.

  • Stock

USD

Last Close

167.97

22/11 21:00

Market Cap

38.29B

Beta: -

Volume Today

1.64M

Avg: -

Preview

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Mar '14
Mar '15
Mar '16
Mar '17
Mar '18
Mar '19
Mar '20
Mar '21
Mar '22
Mar '23
Dec '23
net income
8M
-
875M
10,837.50%
1.16B
32.11%
967M
16.35%
1.04B
7.86%
1.02B
2.30%
3.04B
198.23%
837M
72.46%
789M
5.73%
802M
1.65%
depreciation and amortization
227M
-
220M
3.08%
197M
10.45%
172M
12.69%
136M
20.93%
145M
6.62%
150M
3.45%
181M
20.67%
486M
168.51%
536M
10.29%
deferred income tax
16M
-
1M
93.75%
-403M
40,400%
100M
124.81%
204M
104%
-16M
107.84%
-1.87B
11,593.75%
-143M
92.36%
-329M
130.07%
-221M
32.83%
stock based compensation
150M
-
144M
4%
178M
23.61%
196M
10.11%
242M
23.47%
284M
17.36%
347M
22.18%
435M
25.36%
528M
21.38%
548M
3.79%
change in working capital
360M
-
-169M
146.94%
-318M
88.17%
48M
115.09%
271M
464.58%
85M
68.63%
-1.74B
2,151.76%
481M
127.58%
96M
80.04%
-336M
450%
accounts receivables
-71M
-
64M
190.14%
-106M
265.63%
-88M
-
164M
286.36%
-41M
125%
-77M
87.80%
-34M
55.84%
inventory
-13M
-
19M
246.15%
3M
84.21%
88M
-
-164M
286.36%
41M
125%
77M
87.80%
34M
55.84%
accounts payables
-18M
-
-46M
155.56%
13M
128.26%
5M
61.54%
-44M
980.00%
59M
234.09%
-36M
161.02%
18M
150%
-7M
138.89%
10M
242.86%
other working capital
462M
-
-206M
144.59%
-228M
10.68%
43M
118.86%
315M
632.56%
26M
91.75%
-1.71B
6,669.23%
463M
127.11%
103M
77.75%
-346M
435.92%
other non cash items
-49M
-
-4M
91.84%
413M
10,425%
-100M
124.21%
-204M
104%
30M
114.71%
1.88B
6,153.33%
143M
92.38%
329M
130.07%
221M
32.83%
net cash provided by operating activities
712M
-
1.07B
49.86%
1.22B
14.62%
1.38B
13.08%
1.69B
22.34%
1.55B
8.57%
1.80B
16.16%
1.93B
7.62%
1.90B
1.81%
1.55B
18.38%
investments in property plant and equipment
-97M
-
-95M
2.06%
-93M
2.11%
-123M
32.26%
-107M
13.01%
-119M
11.21%
-140M
17.65%
-124M
11.43%
-188M
51.61%
-207M
10.11%
acquisitions net
-5M
-
95M
2,000%
93M
2.11%
123M
32.26%
-150M
221.95%
-58M
61.33%
140M
341.38%
-1.24B
985%
-3.39B
173.69%
10M
100.29%
purchases of investments
-600M
-
-1.10B
83.67%
-1.33B
20.87%
-1.92B
43.92%
-2.29B
19.30%
-1.34B
41.32%
-3.36B
150.30%
-2.83B
15.81%
-554M
80.41%
-405M
26.90%
sales maturities of investments
401M
-
727M
81.30%
941M
29.44%
1.28B
36.13%
3.17B
147.15%
1.69B
46.68%
2.14B
26.90%
3.69B
72.08%
1.33B
63.94%
395M
70.28%
other investing activites
-95M
-
-93M
2.11%
-123M
32.26%
-140M
-
-10M
-
net cash used for investing activites
-301M
-
-470M
56.15%
-484M
2.98%
-759M
56.82%
622M
181.95%
169M
72.83%
-1.36B
902.96%
-505M
62.79%
-2.80B
455.25%
-217M
92.26%
debt repayment
-470M
-
-163M
65.32%
-600M
-
common stock issued
77M
-
60M
22.08%
107M
78.33%
72M
32.71%
78M
8.33%
61M
21.79%
62M
1.64%
86M
38.71%
77M
10.47%
80M
3.90%
common stock repurchased
-337M
-
-1.02B
202.08%
-508M
50.10%
-601M
18.31%
-1.19B
98.34%
-1.21B
1.26%
-729M
39.60%
-1.30B
78.33%
-1.29B
0.38%
dividends paid
-989M
-
-98M
-
-193M
96.94%
-210M
8.81%
other financing activites
12M
-
22M
83.33%
2.06B
9,281.82%
65M
96.85%
-120M
284.62%
-122M
1.67%
-213M
74.59%
1.33B
722.54%
-204M
115.38%
-175M
14.22%
net cash used provided by financing activities
89M
-
-255M
386.52%
-306M
20%
-534M
74.51%
-643M
20.41%
-1.25B
94.87%
-1.36B
8.38%
-15M
98.90%
-1.62B
10,700%
-1.60B
1.23%
effect of forex changes on cash
-10M
-
-56M
460.00%
-8M
85.71%
-18M
125%
22M
222.22%
-13M
159.09%
-22M
69.23%
78M
454.55%
-3M
103.85%
-41M
1,266.67%
net change in cash
490M
-
286M
41.63%
425M
48.60%
72M
83.06%
1.69B
2,251.39%
450M
73.42%
-940M
308.89%
1.49B
258.72%
-2.53B
269.44%
-308M
87.82%
cash at beginning of period
1.29B
-
1.78B
37.93%
2.07B
16.05%
2.49B
20.55%
2.56B
2.89%
4.26B
66.00%
4.71B
10.57%
3.77B
19.97%
5.26B
39.60%
2.73B
48.06%
cash at end of period
1.78B
-
2.07B
16.05%
2.49B
20.55%
2.56B
2.89%
4.26B
66.00%
4.71B
10.57%
3.77B
19.97%
5.26B
39.60%
2.73B
48.06%
2.42B
11.27%
operating cash flow
712M
-
1.07B
49.86%
1.22B
14.62%
1.38B
13.08%
1.69B
22.34%
1.55B
8.57%
1.80B
16.16%
1.93B
7.62%
1.90B
1.81%
1.55B
18.38%
capital expenditure
-97M
-
-95M
2.06%
-93M
2.11%
-123M
32.26%
-107M
13.01%
-119M
11.21%
-140M
17.65%
-124M
11.43%
-188M
51.61%
-207M
10.11%
free cash flow
615M
-
972M
58.05%
1.13B
16.26%
1.26B
11.50%
1.58B
25.79%
1.43B
9.91%
1.66B
16.04%
1.81B
9.23%
1.71B
5.47%
1.34B
21.51%

All numbers in USD (except ratios and percentages)