bf/NYSE:LDOS_icon.jpeg

COM:LEIDOS

Leidos Holdings, Inc.

  • Stock

USD

Last Close

164.69

22/11 21:00

Market Cap

20.12B

Beta: -

Volume Today

1.62M

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
Jan '14
Jan '15
Dec '15
Dec '16
Dec '17
Dec '18
Jan '20
Jan '21
Dec '21
Dec '22
Dec '23
net income
84M
-
-330M
492.86%
236M
171.52%
246M
4.24%
364M
47.97%
582M
59.89%
670M
15.12%
629M
6.12%
759M
20.67%
693M
8.70%
208M
69.99%
depreciation and amortization
81M
-
62M
23.46%
44M
29.03%
122M
177.27%
336M
175.41%
257M
23.51%
234M
8.95%
282M
20.51%
325M
15.25%
333M
2.46%
331M
0.60%
deferred income tax
-38M
-
56M
247.37%
-6M
110.71%
57M
-
17M
70.18%
18M
5.88%
-4M
122.22%
-26M
550%
-211M
711.54%
-109M
48.34%
stock based compensation
55M
-
42M
23.64%
31M
26.19%
35M
12.90%
43M
22.86%
44M
2.33%
52M
18.18%
62M
19.23%
67M
8.06%
73M
8.96%
77M
5.48%
change in working capital
-139M
-
47M
133.81%
100M
112.77%
39M
61%
-295M
856.41%
-140M
52.54%
109M
177.86%
303M
177.98%
-91M
130.03%
32M
135.16%
-57M
278.13%
accounts receivables
-67M
-
162M
341.79%
-32M
119.75%
149M
565.63%
-183M
222.82%
-58M
68.31%
116M
300%
-127M
209.48%
-5M
96.06%
-174M
3,380.00%
-65M
62.64%
inventory
55M
-
-12M
121.82%
-14M
16.67%
-101M
621.43%
-76M
24.75%
-85M
11.84%
-116M
36.47%
127M
209.48%
5M
96.06%
135M
-
accounts payables
-88M
-
-43M
51.14%
101M
334.88%
-25M
124.75%
152M
708%
-46M
130.26%
116M
352.17%
151M
30.17%
-212M
240.40%
-149M
29.72%
31M
120.81%
other working capital
-39M
-
-60M
53.85%
45M
175%
16M
64.44%
-188M
1,275%
49M
126.06%
-7M
114.29%
152M
2,271.43%
121M
20.39%
355M
193.39%
-158M
144.51%
other non cash items
152M
-
519M
241.45%
5M
99.04%
4M
20%
21M
425%
8M
61.90%
-91M
1,237.50%
62M
168.13%
-3M
104.84%
66M
2,300%
715M
983.33%
net cash provided by operating activities
195M
-
396M
103.08%
410M
3.54%
446M
8.78%
526M
17.94%
768M
46.01%
992M
29.17%
1.33B
34.48%
1.03B
22.71%
986M
4.36%
1.17B
18.15%
investments in property plant and equipment
-53M
-
-29M
45.28%
-27M
6.90%
-29M
7.41%
-81M
179.31%
-73M
9.88%
-121M
65.75%
-183M
51.24%
-104M
43.17%
-129M
24.04%
-207M
60.47%
acquisitions net
-3M
-
25M
-
48M
92%
-81M
-
84M
203.70%
-2.65B
3,260.71%
-622M
76.57%
-177M
71.54%
-4M
97.74%
purchases of investments
252M
-
sales maturities of investments
12M
-
other investing activites
72M
-
109M
51.39%
72M
33.94%
6M
91.67%
10M
66.67%
40M
300%
102M
155%
23M
77.45%
-4M
117.39%
-7M
75%
net cash used for investing activites
280M
-
80M
71.43%
70M
12.50%
25M
64.29%
-71M
384%
-114M
60.56%
65M
157.02%
-2.81B
4,430.77%
-730M
74.07%
-313M
57.12%
-211M
32.59%
debt repayment
-152M
-
-177M
16.45%
-62M
64.97%
-277M
346.77%
-209M
24.55%
-59M
71.77%
-80M
35.59%
-5.46B
6,720%
-106M
98.06%
-545M
414.15%
-2.04B
275.23%
common stock issued
627M
-
22M
96.49%
19M
13.64%
25M
31.58%
13M
48%
14M
7.69%
27M
92.86%
35M
29.63%
44M
25.71%
48M
9.09%
50M
4.17%
common stock repurchased
-319M
-
-215M
32.60%
-120M
44.19%
-24M
80%
-31M
29.17%
-438M
1,312.90%
-458M
4.57%
-105M
77.07%
-270M
157.14%
-542M
100.74%
-246M
54.61%
dividends paid
-477M
-
-95M
80.08%
-117M
23.16%
-1.14B
870.09%
-198M
82.56%
-198M
0%
-198M
0%
-196M
1.01%
-199M
1.53%
-199M
0%
-201M
1.01%
other financing activites
-459M
-
2M
100.44%
-3M
250%
660M
22,100%
-4M
100.61%
-26M
550%
-511M
1,865.38%
7.17B
1,503.72%
418M
94.17%
373M
10.77%
1.73B
363.00%
net cash used provided by financing activities
-780M
-
-463M
40.64%
-283M
38.88%
-751M
165.37%
-429M
42.88%
-707M
64.80%
-709M
0.28%
1.45B
304.65%
-113M
107.79%
-865M
665.49%
-715M
17.34%
effect of forex changes on cash
-2M
-
-6M
200%
6M
200%
net change in cash
-305M
-
13M
104.26%
197M
1,415.38%
-280M
242.13%
26M
109.29%
-53M
303.85%
348M
756.60%
-30M
108.62%
188M
726.67%
-192M
202.13%
94M
148.96%
cash at beginning of period
735M
-
430M
41.50%
459M
6.74%
656M
42.92%
396M
39.63%
422M
6.57%
369M
12.56%
717M
94.31%
687M
4.18%
875M
27.37%
683M
21.94%
cash at end of period
430M
-
443M
3.02%
656M
48.08%
376M
42.68%
422M
12.23%
369M
12.56%
717M
94.31%
687M
4.18%
875M
27.37%
683M
21.94%
777M
13.76%
operating cash flow
195M
-
396M
103.08%
410M
3.54%
446M
8.78%
526M
17.94%
768M
46.01%
992M
29.17%
1.33B
34.48%
1.03B
22.71%
986M
4.36%
1.17B
18.15%
capital expenditure
-53M
-
-29M
45.28%
-27M
6.90%
-29M
7.41%
-81M
179.31%
-73M
9.88%
-121M
65.75%
-183M
51.24%
-104M
43.17%
-129M
24.04%
-207M
60.47%
free cash flow
142M
-
367M
158.45%
383M
4.36%
417M
8.88%
445M
6.71%
695M
56.18%
871M
25.32%
1.15B
32.15%
927M
19.46%
857M
7.55%
958M
11.79%

All numbers in USD (except ratios and percentages)