bf/NYSE:KEYS_icon.png

COM:KEYSIGHT

Keysight Technologies, Inc.

  • Stock

USD

Last Close

170.43

22/11 21:00

Market Cap

24.00B

Beta: -

Volume Today

1.42M

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
Oct '14
Oct '15
Oct '16
Oct '17
Oct '18
Oct '19
Oct '20
Oct '21
Oct '22
Oct '23
Oct '24
net income
392M
-
513M
30.87%
335M
34.70%
102M
69.55%
165M
61.76%
621M
276.36%
627M
0.97%
894M
42.58%
1.12B
25.73%
1.06B
5.96%
614M
41.91%
depreciation and amortization
84M
-
99M
17.86%
134M
35.35%
225M
67.91%
310M
37.78%
308M
0.65%
326M
5.84%
293M
10.12%
223M
23.89%
212M
4.93%
126M
40.57%
deferred income tax
23M
-
-158M
786.96%
1M
100.63%
-47M
4,800%
-789M
1,578.72%
-2M
99.75%
41M
2,150%
-53M
229.27%
7M
113.21%
-3M
142.86%
268M
9,033.33%
stock based compensation
43M
-
55M
27.91%
49M
10.91%
56M
14.29%
59M
5.36%
82M
38.98%
92M
12.20%
103M
11.96%
125M
21.36%
135M
8%
137M
1.48%
change in working capital
-7M
-
-171M
2,342.86%
-119M
30.41%
15M
112.61%
80M
433.33%
-35M
143.75%
-57M
62.86%
36M
163.16%
-404M
1,222.22%
-126M
68.81%
accounts receivables
-25M
-
-20M
20%
-42M
110.00%
-11M
73.81%
-89M
709.09%
-26M
70.79%
75M
388.46%
-122M
262.67%
-204M
67.21%
14M
106.86%
71M
407.14%
inventory
-31M
-
-25M
19.35%
-22M
12%
-4M
81.82%
-61M
1,425%
-92M
50.82%
-73M
20.65%
-43M
41.10%
-125M
190.70%
-148M
18.40%
35M
123.65%
accounts payables
32M
-
18M
43.75%
-8M
144.44%
15M
287.50%
22M
46.67%
13M
40.91%
-33M
353.85%
53M
260.61%
56M
5.66%
-62M
210.71%
26M
141.94%
other working capital
17M
-
-144M
947.06%
-47M
67.36%
15M
131.91%
208M
1,286.67%
70M
66.35%
-26M
137.14%
148M
669.23%
-131M
188.51%
70M
153.44%
other non cash items
28M
-
38M
35.71%
16M
57.89%
-38M
337.50%
730M
2,021.05%
24M
96.71%
-13M
154.17%
49M
476.92%
69M
40.82%
133M
92.75%
-93M
169.92%
net cash provided by operating activities
563M
-
376M
33.21%
416M
10.64%
313M
24.76%
555M
77.32%
998M
79.82%
1.02B
1.80%
1.32B
30.12%
1.14B
13.46%
1.41B
23.08%
1.05B
25.28%
investments in property plant and equipment
-70M
-
-92M
31.43%
-91M
1.09%
-72M
20.88%
-132M
83.33%
-120M
9.09%
-117M
2.50%
-174M
48.72%
-185M
6.32%
-196M
5.95%
acquisitions net
-11M
-
-574M
5,118.18%
-10M
98.26%
-1.70B
16,920%
-11M
99.35%
-88M
700%
-357M
305.68%
-178M
50.14%
-33M
81.46%
-85M
157.58%
-681M
701.18%
purchases of investments
-7M
-
-1M
-
-1M
-
-33M
3,200%
-7M
78.79%
-11M
57.14%
sales maturities of investments
1M
-
45M
-
7M
-
1M
-
216M
21,500%
191M
11.57%
other investing activites
-1M
-
1M
200%
11M
1,000%
8M
27.27%
27M
237.50%
5M
81.48%
32M
540%
-1M
103.13%
-216M
21,500%
-191M
11.57%
-127M
33.51%
net cash used for investing activites
-82M
-
-671M
718.29%
-90M
86.59%
-1.72B
1,813.33%
-116M
93.26%
-196M
68.97%
-442M
125.51%
-353M
20.14%
-251M
28.90%
-288M
14.74%
-819M
184.38%
debt repayment
-37M
-
-1M
-
-323M
32,200%
-300M
7.12%
-500M
66.67%
-7M
98.60%
common stock issued
26M
-
43M
65.38%
444M
932.56%
64M
85.59%
67M
4.69%
58M
13.43%
59M
1.72%
63M
6.78%
67M
6.35%
66M
1.49%
common stock repurchased
-62M
-
-120M
-
-159M
32.50%
-411M
158.49%
-673M
63.75%
-849M
26.15%
-702M
17.31%
-443M
36.89%
dividends paid
-40M
-
-67M
67.50%
-58M
13.43%
other financing activites
372M
-
-45M
112.10%
-5M
88.89%
1.32B
26,480%
61M
95.38%
537M
780.33%
5M
99.07%
-57M
1,240%
-75M
31.58%
-52M
30.67%
-913M
1,655.77%
net cash used provided by financing activities
335M
-
-19M
105.67%
-25M
31.58%
1.44B
5,860%
-335M
123.26%
-122M
63.58%
-413M
238.52%
-671M
62.47%
-861M
28.32%
-687M
20.21%
-913M
32.90%
effect of forex changes on cash
-6M
-
-13M
116.67%
-1M
92.31%
4M
500%
-9M
325%
3M
133.33%
6M
100%
3M
50%
-43M
1,533.33%
-2M
95.35%
net change in cash
810M
-
-327M
140.37%
300M
191.74%
35M
88.33%
95M
171.43%
683M
618.95%
167M
75.55%
301M
80.24%
-11M
103.65%
431M
4,018.18%
-674M
256.38%
cash at beginning of period
810M
-
483M
40.37%
783M
62.11%
818M
4.47%
917M
12.10%
1.60B
74.48%
1.77B
10.44%
2.07B
17.03%
2.06B
0.53%
2.49B
20.95%
cash at end of period
810M
-
483M
40.37%
783M
62.11%
818M
4.47%
913M
11.61%
1.60B
75.25%
1.77B
10.44%
2.07B
17.03%
2.06B
0.53%
2.49B
20.95%
1.81B
27.09%
operating cash flow
563M
-
376M
33.21%
416M
10.64%
313M
24.76%
555M
77.32%
998M
79.82%
1.02B
1.80%
1.32B
30.12%
1.14B
13.46%
1.41B
23.08%
1.05B
25.28%
capital expenditure
-70M
-
-92M
31.43%
-91M
1.09%
-72M
20.88%
-132M
83.33%
-120M
9.09%
-117M
2.50%
-174M
48.72%
-185M
6.32%
-196M
5.95%
free cash flow
493M
-
284M
42.39%
325M
14.44%
241M
25.85%
423M
75.52%
878M
107.57%
899M
2.39%
1.15B
27.70%
959M
16.46%
1.21B
26.38%
1.05B
13.20%

All numbers in USD (except ratios and percentages)