COM:FOXCORPORATION
Fox Corporation
- Stock
Last Close
43.37
21/11 21:00
Market Cap
15.93B
Beta: -
Volume Today
827.43K
Avg: -
Preview
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Jun '16 | Jun '17 | Jun '18 | Jun '19 | Jun '20 | Jun '21 | Jun '22 | Jun '23 | Jun '24 | ||
---|---|---|---|---|---|---|---|---|---|---|
net income | 1.11B - | 1.41B 27.28% | 2.23B 58.13% | 1.64B 26.26% | 1.06B 35.36% | 2.20B 107.25% | 1.23B 43.98% | 1.25B 1.62% | 1.50B 19.79% | |
depreciation and amortization | 170M - | 169M 0.59% | 171M 1.18% | 212M 23.98% | 258M 21.70% | 300M 16.28% | 363M 21% | 411M 13.22% | 389M 5.35% | |
deferred income tax | 139M - | 92M 33.81% | -603M 755.43% | 386M 164.01% | 283M 26.68% | 534M 88.69% | 342M 35.96% | 321M 6.14% | 203M 36.76% | |
stock based compensation | 117M - | 222M 89.74% | 69M 68.92% | 36M 47.83% | 137M 280.56% | 147M 7.30% | 102M 30.61% | 74M 27.45% | 90M 21.62% | |
change in working capital | -536M - | -368M 31.34% | -587M 59.51% | 164M 127.94% | 220M 34.15% | -21M 109.55% | -683M 3,152.38% | -270M 60.47% | -570M 111.11% | |
accounts receivables | -172M - | -166M - | 224M 234.94% | -282M 225.89% | -79M 71.99% | 68M 186.08% | -172M 352.94% | |||
inventory | -252M - | 21M 108.33% | -228M 1,185.71% | 197M 186.40% | 181M 8.12% | 190M 4.97% | -301M 258.42% | 145M 148.17% | -303M 308.97% | |
accounts payables | -66M - | -217M 228.79% | -193M 11.06% | 133M 168.91% | -306M 330.08% | 282M 192.16% | -54M 119.15% | -68M 25.93% | -1M 98.53% | |
other working capital | -218M - | -166M - | 121M - | -211M 274.38% | -249M 18.01% | -415M 66.67% | -266M 35.90% | |||
other non cash items | 100M - | 131M 31% | 39M 70.23% | 83M 112.82% | 405M 387.95% | -522M 228.89% | 527M 200.96% | 11M 97.91% | 1.40B 12,618.18% | |
net cash provided by operating activities | 1.10B - | 1.66B 50.87% | 1.32B 20.42% | 2.52B 91.65% | 2.37B 6.30% | 2.64B 11.59% | 1.88B 28.61% | 1.80B 4.46% | 1.84B 2.22% | |
investments in property plant and equipment | -107M - | -191M 78.50% | -215M 12.57% | -235M 9.30% | -359M 52.77% | -484M 34.82% | -307M 36.57% | -357M 16.29% | -345M 3.36% | |
acquisitions net | 354M - | -1.06B - | 42M 103.96% | -160M 480.95% | ||||||
purchases of investments | -13M - | -338M - | -103M 69.53% | -86M 16.50% | -28M 67.44% | -54M 92.86% | -103M 90.74% | |||
sales maturities of investments | 349M - | 391M 12.03% | ||||||||
other investing activites | -61M - | -38M 37.70% | -11M 71.05% | -64M 481.82% | 74M 215.63% | -391M 628.38% | -18M 95.40% | -27M 50% | -4M 85.19% | |
net cash used for investing activites | -168M - | -242M 44.05% | 128M 152.89% | -637M 597.66% | -1.10B 72.68% | -528M 52% | -513M 2.84% | -438M 14.62% | -452M 3.20% | |
debt repayment | -6.75B - | -1.19B 82.36% | -750M - | -18M - | ||||||
common stock issued | -1.19B - | 750M - | ||||||||
common stock repurchased | -600M - | -1.00B 66.83% | -1B 0.10% | -2B 100% | -1B 50% | |||||
dividends paid | -36M - | -35M 2.78% | -77M 120% | -6.69B 8,585.71% | -335M 94.99% | -330M 1.49% | -307M 6.97% | -299M 2.61% | -281M 6.02% | |
other financing activites | -877M - | -1.40B 59.18% | 1.11B 179.73% | 12.29B 1,003.77% | 3.46B 71.81% | 461M 86.69% | -750M 262.69% | 9M 101.20% | -42M 566.67% | |
net cash used provided by financing activities | -913M - | -1.43B 56.74% | 1.04B 172.40% | -1.15B 211.29% | 146M 112.66% | -870M 695.89% | -2.06B 136.44% | -2.29B 11.33% | -1.34B 41.44% | |
effect of forex changes on cash | ||||||||||
net change in cash | 16M - | -18M 212.50% | 2.48B 13,883.33% | 734M 70.42% | 1.41B 92.23% | 1.24B 12.05% | -686M 155.28% | -928M 35.28% | 47M 105.06% | |
cash at beginning of period | 21M - | 37M 76.19% | 19M 48.65% | 2.50B 13,057.89% | 3.23B 29.36% | 4.64B 43.63% | 5.89B 26.72% | 5.20B 11.65% | 4.27B 17.85% | |
cash at end of period | 37M - | 19M 48.65% | 2.50B 13,057.89% | 3.23B 29.36% | 4.64B 43.63% | 5.89B 26.72% | 5.20B 11.65% | 4.27B 17.85% | 4.32B 1.10% | |
operating cash flow | 1.10B - | 1.66B 50.87% | 1.32B 20.42% | 2.52B 91.65% | 2.37B 6.30% | 2.64B 11.59% | 1.88B 28.61% | 1.80B 4.46% | 1.84B 2.22% | |
capital expenditure | -107M - | -191M 78.50% | -215M 12.57% | -235M 9.30% | -359M 52.77% | -484M 34.82% | -307M 36.57% | -357M 16.29% | -345M 3.36% | |
free cash flow | 990M - | 1.46B 47.88% | 1.10B 24.73% | 2.29B 107.71% | 2.01B 12.36% | 2.15B 7.43% | 1.58B 26.82% | 1.44B 8.50% | 1.50B 3.60% |
All numbers in (except ratios and percentages)