bf/NYSE:NKE_icon.jpeg

COM:NIKE

Nike

  • Stock

USD

Last Close

75.10

22/11 21:00

Market Cap

109.50B

Beta: -

Volume Today

10.82M

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
May '14
May '15
May '16
May '17
May '18
May '19
May '20
May '21
May '22
May '23
May '24
net income
2.69B
-
3.27B
21.54%
3.76B
14.88%
4.24B
12.77%
1.93B
54.41%
4.03B
108.43%
2.54B
36.98%
5.73B
125.56%
6.05B
5.57%
5.07B
16.14%
5.70B
12.43%
depreciation and amortization
632M
-
649M
2.69%
662M
2.00%
716M
8.16%
774M
8.10%
720M
6.98%
1.12B
55.42%
797M
28.78%
840M
5.40%
859M
2.26%
796M
7.33%
deferred income tax
-11M
-
-113M
927.27%
-80M
29.20%
-273M
241.25%
647M
337.00%
34M
94.74%
-380M
1,217.65%
-385M
1.32%
-650M
68.83%
-117M
82%
-497M
324.79%
stock based compensation
177M
-
191M
7.91%
236M
23.56%
215M
8.90%
218M
1.40%
325M
49.08%
429M
32%
611M
42.42%
638M
4.42%
755M
18.34%
804M
6.49%
change in working capital
-488M
-
256M
152.46%
-1.58B
717.19%
-1.14B
27.78%
1.48B
229.89%
562M
62.08%
-1.25B
321.53%
45M
103.61%
-1.66B
3,788.89%
-513M
69.10%
716M
239.57%
accounts receivables
-298M
-
-216M
27.52%
60M
127.78%
-426M
810%
187M
143.90%
-270M
244.39%
1.24B
558.89%
-1.61B
229.62%
-504M
68.62%
489M
197.02%
-329M
167.28%
inventory
-505M
-
-621M
22.97%
-590M
4.99%
-231M
60.85%
-255M
10.39%
-490M
92.16%
-1.85B
278.37%
507M
127.35%
-1.68B
430.57%
-133M
92.06%
908M
782.71%
accounts payables
1.51B
-
1.52B
0.66%
24M
98.43%
1.33B
5,425%
1.36B
2.94%
-225M
116.48%
397M
276.44%
other working capital
315M
-
1.09B
246.98%
-1.05B
196.07%
-484M
53.90%
35M
107.23%
-203M
680%
-654M
222.17%
-182M
72.17%
-845M
364.29%
-131M
84.50%
137M
204.58%
other non cash items
424M
-
98M
76.89%
-117M
219.39%
-99M
15.38%
233M
335.35%
23M
90.13%
-138M
700%
-26M
81.16%
-213M
719.23%
1.73B
910.80%
net cash provided by operating activities
3.00B
-
4.68B
55.84%
3.10B
33.85%
3.64B
17.57%
4.96B
36.13%
5.90B
19.13%
2.48B
57.90%
6.66B
167.89%
5.19B
22.07%
5.84B
12.59%
7.43B
27.19%
investments in property plant and equipment
-880M
-
-963M
9.43%
-1.14B
18.69%
-1.10B
3.32%
-1.03B
6.97%
-1.12B
8.85%
-1.09B
2.95%
-695M
36.00%
-758M
9.06%
-969M
27.84%
-812M
16.20%
acquisitions net
3M
-
10M
-
13M
30%
3M
76.92%
5M
66.67%
purchases of investments
-5.39B
-
-5.09B
5.57%
-5.22B
2.58%
-5.93B
13.63%
-4.78B
19.32%
-2.94B
38.60%
-2.43B
17.40%
-9.96B
310.59%
-12.91B
29.64%
-6.06B
53.08%
-4.77B
21.32%
sales maturities of investments
5.06B
-
5.87B
16.07%
5.31B
9.56%
6.05B
13.86%
6.11B
1.04%
3.79B
38.01%
2.45B
35.23%
6.68B
172.52%
12.17B
81.99%
7.54B
38.02%
6.49B
13.95%
other investing activites
-2M
-
3M
250%
6M
100%
-34M
666.67%
-25M
26.47%
31M
-
171M
451.61%
-19M
111.11%
52M
373.68%
-15M
128.85%
net cash used for investing activites
-1.21B
-
-175M
85.50%
-1.03B
490.86%
-1.01B
2.51%
276M
127.38%
-264M
195.65%
-1.03B
289.39%
-3.80B
269.65%
-1.52B
59.89%
564M
137.01%
894M
58.51%
debt repayment
-77M
-
-26M
66.23%
-113M
334.62%
-61M
46.02%
-29M
52.46%
-33M
13.79%
-6.18B
18,636.36%
-197M
96.81%
-15M
92.39%
-500M
3,233.33%
common stock issued
458M
-
451M
1.53%
1.42B
215.08%
2.30B
61.72%
746M
67.54%
700M
6.17%
885M
26.43%
1.12B
26.55%
1.15B
2.77%
647M
43.79%
667M
3.09%
common stock repurchased
-2.63B
-
-2.53B
3.58%
-3.24B
27.78%
-3.22B
0.46%
-4.25B
31.99%
-4.29B
0.75%
-3.07B
28.44%
-608M
80.18%
-4.01B
560.20%
-5.48B
36.52%
-4.25B
22.45%
dividends paid
-799M
-
-899M
12.52%
-1.02B
13.68%
-1.13B
10.86%
-1.24B
9.71%
-1.33B
7.16%
-1.45B
9.01%
-1.64B
12.81%
-1.84B
12.15%
-2.01B
9.53%
-2.17B
7.80%
other financing activites
132M
-
218M
65.15%
281M
28.90%
177M
37.01%
-55M
131.07%
-342M
521.82%
12.31B
3,698.83%
-136M
101.10%
-121M
11.03%
-102M
15.70%
-136M
33.33%
net cash used provided by financing activities
-2.91B
-
-2.79B
4.26%
-2.67B
4.27%
-1.94B
27.29%
-4.83B
148.97%
-5.29B
9.47%
2.49B
147.06%
-1.46B
158.57%
-4.84B
231.46%
-7.45B
53.99%
-5.89B
20.93%
effect of forex changes on cash
1M
-
-83M
8,400%
-105M
26.51%
-20M
80.95%
45M
325%
-129M
386.67%
-66M
48.84%
143M
316.67%
-143M
200%
-91M
36.36%
-16M
82.42%
net change in cash
-1.12B
-
1.63B
246.11%
-714M
143.75%
670M
193.84%
441M
34.18%
217M
50.79%
3.88B
1,688.94%
1.54B
60.30%
-1.31B
185.33%
-1.13B
13.84%
2.42B
313.50%
cash at beginning of period
3.34B
-
2.22B
33.47%
3.85B
73.51%
3.14B
18.54%
3.81B
21.35%
4.25B
11.58%
4.47B
5.11%
8.35B
86.92%
9.89B
18.46%
8.57B
13.30%
7.44B
13.21%
cash at end of period
2.22B
-
3.85B
73.51%
3.14B
18.54%
3.81B
21.35%
4.25B
11.58%
4.47B
5.11%
8.35B
86.92%
9.89B
18.46%
8.57B
13.30%
7.44B
13.21%
9.86B
32.51%
operating cash flow
3.00B
-
4.68B
55.84%
3.10B
33.85%
3.64B
17.57%
4.96B
36.13%
5.90B
19.13%
2.48B
57.90%
6.66B
167.89%
5.19B
22.07%
5.84B
12.59%
7.43B
27.19%
capital expenditure
-880M
-
-963M
9.43%
-1.14B
18.69%
-1.10B
3.32%
-1.03B
6.97%
-1.12B
8.85%
-1.09B
2.95%
-695M
36.00%
-758M
9.06%
-969M
27.84%
-812M
16.20%
free cash flow
2.12B
-
3.72B
75.08%
1.95B
47.46%
2.54B
29.80%
3.93B
54.91%
4.78B
21.82%
1.40B
70.76%
5.96B
326.16%
4.43B
25.70%
4.87B
9.98%
6.62B
35.82%

All numbers in USD (except ratios and percentages)