bf/NYSE:FI_icon.png

COM:FISERV

Fiserv

  • Stock

USD

Last Close

217.41

22/11 21:00

Market Cap

87.12B

Beta: -

Volume Today

2.88M

Avg: -

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
650M
-
754M
16%
712M
5.57%
930M
30.62%
1.23B
32.47%
1.19B
3.65%
914M
23.00%
975M
6.67%
1.40B
43.90%
2.58B
84.03%
3.07B
18.82%
depreciation and amortization
403M
-
404M
0.25%
417M
3.22%
411M
1.44%
433M
5.35%
556M
28.41%
1.65B
196.94%
3.21B
94.43%
3.20B
0.44%
3.17B
0.84%
2.93B
7.67%
deferred income tax
-9M
-
3M
133.33%
20M
566.67%
21M
5%
-247M
1,276.19%
133M
153.85%
47M
64.66%
71M
51.06%
-262M
469.01%
-558M
112.98%
-511M
8.42%
stock based compensation
46M
-
49M
6.52%
65M
32.65%
68M
4.62%
63M
7.35%
73M
15.87%
229M
213.70%
369M
61.14%
239M
35.23%
323M
35.15%
342M
5.88%
change in working capital
4M
-
96M
2,300%
76M
20.83%
33M
56.58%
-15M
145.45%
-169M
1,026.67%
36M
121.30%
-211M
686.11%
-495M
134.60%
-744M
50.30%
-912M
22.58%
accounts receivables
-47M
-
-42M
10.64%
-2M
95.24%
-88M
4,300%
-75M
14.77%
-108M
44%
-7M
93.52%
320M
4,671.43%
-358M
211.88%
-770M
115.08%
23M
102.99%
inventory
-81.98M
-
-30.28M
63.06%
41.50M
237.05%
27.38M
34.03%
12.10M
55.80%
-2.92M
124.10%
-82M
2,711.11%
-167M
103.66%
-248M
48.50%
-253M
2.02%
accounts payables
37M
-
168M
354.05%
148M
11.90%
178M
20.27%
54M
69.66%
116M
114.81%
238M
105.17%
-146M
161.34%
303M
307.53%
511M
68.65%
-54M
110.57%
other working capital
95.98M
-
282K
99.71%
-111.50M
39,639.72%
-84.38M
24.33%
-6.10M
92.77%
-174.08M
2,752.88%
-113M
35.09%
-218M
92.92%
-192M
11.93%
-232M
20.83%
-881M
279.74%
other non cash items
-55M
-
1M
101.82%
56M
5,500%
-32M
157.14%
17M
153.13%
-228M
1,441.18%
-82M
64.04%
-267M
225.61%
-47M
82.40%
-154M
227.66%
385M
350%
net cash provided by operating activities
1.04B
-
1.31B
25.79%
1.35B
2.98%
1.43B
6.32%
1.48B
3.63%
1.55B
4.65%
2.79B
80.09%
4.15B
48.37%
4.03B
2.72%
4.62B
14.48%
5.30B
14.72%
investments in property plant and equipment
-236M
-
-292M
23.73%
-359M
22.95%
-290M
19.22%
-287M
1.03%
-360M
25.44%
-721M
100.28%
-900M
24.83%
-1.16B
28.89%
-1.48B
27.50%
-1.39B
6.15%
acquisitions net
-30M
-
-117.51M
291.70%
-78.68M
33.05%
-265M
236.82%
-367M
38.49%
-293M
20.16%
-15.95B
5,345.05%
440M
102.76%
-848M
292.73%
-742M
12.50%
165M
122.24%
purchases of investments
-3.96M
-
-1.54M
61.09%
-869K
43.53%
-1M
15.07%
-10M
900%
-3M
70%
-45M
1,400%
-1M
97.78%
-256M
25,500%
-52M
79.69%
-39M
25%
sales maturities of investments
72.46M
-
7M
90.34%
1M
85.71%
11.10M
1,010.10%
53.30M
380.13%
143.82M
169.85%
721M
401.30%
900M
24.83%
519M
42.33%
23M
95.57%
5M
78.26%
other investing activites
49.50M
-
118.05M
138.50%
77.55M
34.31%
-9.10M
111.74%
-46.30M
408.72%
-150.82M
225.76%
-603M
299.80%
-780M
29.35%
115M
114.74%
138M
20%
-3M
102.17%
net cash used for investing activites
-148M
-
-286M
93.24%
-360M
25.87%
-554M
53.89%
-657M
18.59%
-663M
0.91%
-16.60B
2,404.07%
-341M
97.95%
-1.63B
378.01%
-2.11B
29.57%
-1.26B
40.34%
debt repayment
-2.59B
-
-653M
74.79%
-2.71B
314.55%
-1.86B
31.18%
-1.99B
6.55%
-4.00B
101.76%
-5.27B
31.66%
-10.92B
107.05%
-7.88B
27.82%
-3.33B
57.81%
-1.06B
68.18%
common stock issued
49M
-
53M
8.16%
71M
33.96%
79M
11.27%
78M
1.27%
75M
3.85%
156M
108%
133M
14.74%
140M
5.26%
149M
6.43%
101M
32.21%
common stock repurchased
-578M
-
-1.15B
98.62%
-1.52B
32.58%
-1.25B
18.20%
-1.22B
1.77%
-1.95B
59.12%
-561M
71.17%
-1.83B
225.49%
-2.79B
52.57%
-2.68B
3.91%
-4.83B
80.31%
dividends paid
-116.88M
-
-69.31M
40.70%
-92.85M
33.95%
-79.01M
14.90%
-50.15M
36.53%
-5.04B
9,947.06%
-20.26B
302.06%
-8.89B
56.12%
-8.18B
8.04%
-3.46B
57.67%
-2.12B
38.86%
other financing activites
2.36B
-
691.31M
70.74%
3.25B
369.52%
2.26B
30.50%
2.36B
4.62%
10.07B
326.79%
40.13B
298.38%
17.67B
55.98%
17.94B
1.56%
6.84B
61.90%
3.60B
47.34%
net cash used provided by financing activities
-873M
-
-1.13B
28.98%
-1.00B
10.75%
-852M
15.22%
-820M
3.76%
-842M
2.68%
14.19B
1,785.39%
-3.84B
127.03%
-761M
80.16%
-2.48B
225.62%
-4.30B
73.53%
effect of forex changes on cash
1.84M
-
4.94M
168.92%
1.15M
76.82%
3.68M
221.22%
-1.10M
130.04%
3.38M
406.24%
1M
70.45%
16M
1,500%
-27M
268.75%
-41M
51.85%
33M
180.49%
net change in cash
42M
-
-106M
352.38%
-19M
82.08%
25M
231.58%
25M
0%
90M
260%
518M
475.56%
-14M
102.70%
1.62B
11,642.86%
-13M
100.80%
302M
2,423.08%
cash at beginning of period
358M
-
400M
11.73%
294M
26.50%
275M
6.46%
300M
9.09%
325M
8.33%
415M
27.69%
933M
124.82%
2.74B
194.11%
3.21B
16.80%
902M
71.86%
cash at end of period
400M
-
294M
26.50%
275M
6.46%
300M
9.09%
325M
8.33%
415M
27.69%
933M
124.82%
919M
1.50%
4.36B
374.43%
3.19B
26.79%
1.20B
62.28%
operating cash flow
1.04B
-
1.31B
25.79%
1.35B
2.98%
1.43B
6.32%
1.48B
3.63%
1.55B
4.65%
2.79B
80.09%
4.15B
48.37%
4.03B
2.72%
4.62B
14.48%
5.30B
14.72%
capital expenditure
-236M
-
-292M
23.73%
-359M
22.95%
-290M
19.22%
-287M
1.03%
-360M
25.44%
-721M
100.28%
-900M
24.83%
-1.16B
28.89%
-1.48B
27.50%
-1.39B
6.15%
free cash flow
803M
-
1.01B
26.40%
987M
2.76%
1.14B
15.60%
1.20B
4.82%
1.19B
0.33%
2.07B
73.99%
3.25B
56.56%
2.87B
11.49%
3.14B
9.22%
3.91B
24.56%

All numbers in USD (except ratios and percentages)