bf/NASDAQ:NFLX_icon.jpeg

COM:NETFLIX

Netflix

  • Stock

Last Close

883.85

21/11 19:49

Market Cap

292.00B

Beta: -

Volume Today

3.34M

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
112.40M
-
266.80M
137.36%
122.64M
54.03%
186.68M
52.22%
558.93M
199.41%
1.21B
116.71%
1.87B
54.13%
2.76B
47.91%
5.12B
85.28%
4.49B
12.20%
5.41B
20.39%
depreciation and amortization
2.24B
-
2.78B
24.09%
3.55B
27.51%
4.92B
38.85%
6.33B
28.54%
7.66B
20.95%
9.32B
21.73%
10.92B
17.20%
12.44B
13.88%
14.36B
15.47%
14.55B
1.33%
deferred income tax
-22.04M
-
-30.06M
36.38%
-58.66M
95.11%
-46.85M
20.13%
-208.69M
345.47%
-85.52M
59.02%
-94.44M
10.43%
70.07M
174.19%
199.55M
184.80%
-166.55M
183.46%
-459.36M
175.81%
stock based compensation
73.10M
-
115.24M
57.65%
124.72M
8.23%
173.68M
39.25%
182.21M
4.91%
320.66M
75.98%
405.38M
26.42%
415.18M
2.42%
403.22M
2.88%
575.45M
42.71%
339.37M
41.03%
change in working capital
119.87M
-
137.10M
14.38%
172.89M
26.10%
192.38M
11.27%
58.98M
69.34%
293.77M
398.10%
43.04M
85.35%
-31.87M
174.05%
-241.98M
659.19%
-758.09M
213.29%
-116.15M
84.68%
accounts receivables
inventory
accounts payables
18.37M
-
83.81M
356.14%
51.62M
38.42%
32.25M
37.52%
74.56M
131.21%
199.20M
167.17%
96.06M
51.78%
-41.60M
143.31%
145.12M
448.79%
-158.54M
209.25%
93.50M
158.98%
other working capital
101.49M
-
53.29M
47.49%
121.27M
127.57%
160.13M
32.04%
-15.58M
109.73%
94.57M
706.91%
-53.02M
156.06%
9.73M
118.36%
-387.09M
4,077.52%
-599.54M
54.88%
-209.65M
65.03%
other non cash items
-2.43B
-
-3.25B
34.08%
-4.66B
43.13%
-6.90B
48.23%
-8.71B
26.11%
-12.08B
38.69%
-14.43B
19.47%
-11.71B
18.84%
-17.52B
49.64%
-16.48B
5.96%
-12.45B
24.44%
net cash provided by operating activities
97.83M
-
16.48M
83.15%
-749.44M
4,646.74%
-1.47B
96.68%
-1.79B
21.16%
-2.68B
50.09%
-2.89B
7.72%
2.43B
184.06%
392.61M
83.82%
2.03B
416.10%
7.27B
259.00%
investments in property plant and equipment
-120.07M
-
-144.52M
20.36%
-169.21M
17.08%
-184.83M
9.23%
-227.02M
22.83%
-212.53M
6.38%
-253.03M
19.06%
-497.92M
96.78%
-524.59M
5.35%
-407.73M
22.28%
-348.55M
14.51%
acquisitions net
-65.93M
-
-74.79M
13.44%
-77.96M
4.24%
-77.18M
1.00%
-53.72M
30.39%
-788.35M
-
-757.39M
3.93%
purchases of investments
-550.26M
-
-426.93M
22.41%
-371.92M
12.89%
-187.19M
49.67%
-74.82M
60.03%
-911.28M
-
-504.86M
44.60%
sales maturities of investments
408.43M
-
527.25M
29.09%
363.84M
30.99%
422.73M
16.19%
342.86M
18.89%
757.39M
-
1.40B
84.21%
other investing activites
71.87M
-
76.12M
5.92%
76.05M
0.10%
76.24M
0.25%
47.03M
38.31%
-126.59M
369.16%
-134.03M
5.88%
-7.43M
94.46%
-26.92M
262.25%
-757.39M
2,713.58%
net cash used for investing activites
-255.97M
-
-42.87M
83.25%
-179.19M
318.03%
49.77M
127.77%
34.33M
31.02%
-339.12M
1,087.85%
-387.06M
14.14%
-505.35M
30.56%
-1.34B
165.13%
-2.08B
54.97%
541.75M
126.09%
debt repayment
-220.54M
-
-1.09M
99.50%
-545K
50.14%
-4.43B
-
-1.00B
77.40%
-500M
50.10%
-700M
40%
common stock issued
124.56M
-
60.54M
51.39%
77.98M
28.80%
36.98M
52.58%
88.38M
139.00%
124.50M
40.87%
72.49M
41.78%
235.41M
224.74%
174.41M
25.91%
35.75M
79.51%
169.99M
375.55%
common stock repurchased
-600.02M
-
-6.05B
-
dividends paid
other financing activites
572.25M
-
482.26M
15.73%
1.56B
224.07%
1.05B
32.52%
2.99B
183.37%
3.92B
31.30%
8.87B
125.95%
2.00B
77.40%
-224.17M
111.19%
-75.45M
-
net cash used provided by financing activities
476.26M
-
541.71M
13.74%
1.64B
202.80%
1.09B
33.45%
3.08B
181.87%
4.05B
31.57%
4.51B
11.29%
1.24B
72.54%
-1.15B
192.93%
-664.25M
42.23%
-5.95B
795.86%
effect of forex changes on cash
-3.45M
-
-6.69M
93.63%
-15.92M
138.17%
-9.16M
42.45%
29.85M
425.67%
-39.68M
232.95%
469K
101.18%
36.05M
7,586.57%
-86.74M
340.61%
-170.14M
96.15%
82.68M
148.60%
net change in cash
314.67M
-
508.64M
61.64%
695.72M
36.78%
-341.75M
149.12%
1.36B
496.55%
989.25M
27.00%
1.23B
24.51%
3.20B
159.39%
-2.18B
168.35%
-884.53M
59.50%
1.95B
320.22%
cash at beginning of period
290.29M
-
604.97M
108.40%
1.11B
84.08%
1.81B
62.47%
1.47B
18.89%
2.82B
92.34%
3.81B
35.04%
5.04B
32.31%
8.24B
63.35%
6.06B
26.51%
5.17B
14.61%
cash at end of period
604.97M
-
1.11B
84.08%
1.81B
62.47%
1.47B
18.89%
2.82B
92.34%
3.81B
35.04%
5.04B
32.31%
8.24B
63.35%
6.06B
26.51%
5.17B
14.61%
7.12B
37.67%
operating cash flow
97.83M
-
16.48M
83.15%
-749.44M
4,646.74%
-1.47B
96.68%
-1.79B
21.16%
-2.68B
50.09%
-2.89B
7.72%
2.43B
184.06%
392.61M
83.82%
2.03B
416.10%
7.27B
259.00%
capital expenditure
-120.07M
-
-144.52M
20.36%
-169.21M
17.08%
-184.83M
9.23%
-227.02M
22.83%
-212.53M
6.38%
-253.03M
19.06%
-497.92M
96.78%
-524.59M
5.35%
-407.73M
22.28%
-348.55M
14.51%
free cash flow
-22.24M
-
-128.03M
475.71%
-918.64M
617.51%
-1.66B
80.57%
-2.01B
21.35%
-2.89B
43.72%
-3.14B
8.55%
1.93B
161.43%
-131.97M
106.84%
1.62B
1,326.39%
6.93B
327.90%

All numbers in (except ratios and percentages)