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COM:NORTONLIFELOCK

NortonLifeLock

  • Stock

Last Close

22.16

08/11 05:00

Market Cap

14.32B

Beta: -

Volume Today

7.73M

Avg: -

Preview

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Mar '14
Apr '15
Apr '16
Mar '17
Mar '18
Mar '19
Apr '20
Apr '21
Apr '22
Mar '23
net income
898M
-
878M
2.23%
2.49B
183.37%
-106M
104.26%
1.14B
1,173.58%
31M
97.28%
3.89B
12,438.71%
554M
85.75%
836M
50.90%
1.35B
61.36%
depreciation and amortization
491M
-
439M
10.59%
299M
31.89%
530M
77.26%
640M
20.75%
615M
3.91%
361M
41.30%
150M
58.45%
140M
6.67%
329M
135%
deferred income tax
47M
-
-23M
148.94%
1.08B
4,804.35%
-168M
115.53%
-1.85B
1,000%
-70M
96.21%
16M
122.86%
42M
162.50%
-81M
292.86%
-145M
79.01%
stock based compensation
156M
-
195M
25%
161M
17.44%
440M
173.29%
610M
38.64%
352M
42.30%
312M
11.36%
81M
74.04%
70M
13.58%
134M
91.43%
change in working capital
-277M
-
-181M
34.66%
723M
499.45%
-754M
204.29%
929M
223.21%
485M
47.79%
485M
0%
-167M
134.43%
147M
188.02%
3M
97.96%
accounts receivables
30M
-
-38M
226.67%
38M
200%
45M
18.42%
-170M
477.78%
113M
166.47%
583M
415.93%
3M
99.49%
-9M
400%
11M
222.22%
inventory
10M
-
-116M
1,260%
741M
738.79%
-877M
218.35%
595M
167.84%
149M
74.96%
201M
34.90%
-234M
216.42%
accounts payables
-75M
-
-65M
13.33%
-69M
6.15%
-67M
2.90%
-4M
94.03%
6M
250%
-61M
1,116.67%
-44M
27.87%
10M
122.73%
-8M
180%
other working capital
-242M
-
38M
115.70%
13M
65.79%
145M
1,015.38%
508M
250.34%
217M
57.28%
-238M
209.68%
108M
145.38%
146M
35.19%
-3M
102.05%
other non cash items
-34M
-
4M
111.76%
-3.96B
99,025%
-162M
95.91%
-519M
220.37%
82M
115.80%
-5.92B
7,321.95%
46M
100.78%
-138M
400%
-913M
561.59%
net cash provided by operating activities
1.28B
-
1.31B
2.42%
796M
39.33%
-220M
127.64%
950M
531.82%
1.50B
57.37%
-861M
157.59%
706M
182.00%
974M
37.96%
757M
22.28%
investments in property plant and equipment
-260M
-
-381M
46.54%
-272M
28.61%
-70M
74.26%
-142M
102.86%
-207M
45.77%
-89M
57.00%
-6M
93.26%
-6M
0%
-6M
0%
acquisitions net
-17M
-
-39M
129.41%
6.53B
16,846.15%
-6.73B
203.03%
532M
107.91%
-180M
133.83%
11.30B
6,376.67%
-344M
103.04%
-39M
88.66%
-6.55B
16,687.18%
purchases of investments
-492M
-
-1.76B
257.32%
-378M
78.50%
-436M
-
sales maturities of investments
186M
-
1.02B
450.54%
1.35B
32.32%
31M
97.71%
49M
58.06%
139M
183.67%
167M
20.14%
68M
59.28%
15M
77.94%
4M
73.33%
other investing activites
-63M
-
2M
103.17%
-24M
1,300%
7M
129.17%
3M
57.14%
213M
7,000%
356M
67.14%
2M
99.44%
net cash used for investing activites
-583M
-
-1.15B
97.94%
7.17B
721.58%
-6.77B
194.33%
-21M
99.69%
-241M
1,047.62%
11.38B
4,821.58%
-69M
100.61%
326M
572.46%
-6.55B
2,108.28%
debt repayment
-1.19B
-
-21M
98.23%
-368M
1,652.38%
-107M
70.92%
-3.21B
2,900%
-600M
81.31%
-868M
44.67%
-1.94B
123.62%
-541M
72.13%
common stock issued
234M
-
116M
50.43%
65M
43.97%
95M
46.15%
121M
27.37%
19M
84.30%
123M
547.37%
24M
80.49%
14M
41.67%
12M
14.29%
common stock repurchased
-500M
-
-500M
0%
-1.87B
273.60%
-500M
73.23%
-121M
75.80%
-234M
93.39%
-1.58B
575.64%
-304M
80.77%
-14M
95.39%
-904M
6,357.14%
dividends paid
-418M
-
-413M
1.20%
-3.03B
633.66%
-222M
92.67%
-211M
4.95%
-217M
2.84%
-7.48B
3,347.47%
-373M
95.01%
-303M
18.77%
-314M
3.63%
other financing activites
161M
-
7M
95.65%
437M
6,142.86%
6.03B
1,278.72%
-54M
100.90%
-177M
227.78%
-316M
78.53%
691M
318.67%
511M
26.05%
5.89B
1,052.05%
net cash used provided by financing activities
-1.71B
-
-811M
52.63%
-4.76B
487.42%
5.29B
211.06%
-3.48B
165.68%
-1.21B
65.21%
-10.12B
737.30%
-1.90B
81.20%
-333M
82.50%
4.68B
1,505.71%
effect of forex changes on cash
36M
-
-180M
600%
-96M
46.67%
-41M
57.29%
73M
278.05%
-28M
138.36%
-9M
67.86%
22M
344.44%
-13M
159.09%
-28M
115.38%
net change in cash
-978M
-
-833M
14.83%
3.11B
473.23%
-1.74B
155.84%
-2.47B
42.45%
17M
100.69%
386M
2,170.59%
-1.24B
422.28%
954M
176.69%
-1.14B
219.18%
cash at beginning of period
4.68B
-
3.71B
20.88%
2.87B
22.47%
5.98B
108.18%
4.25B
29.02%
1.77B
58.23%
1.79B
0.96%
2.18B
21.55%
933M
57.14%
1.89B
102.25%
cash at end of period
3.71B
-
2.87B
22.47%
5.98B
108.18%
4.25B
29.02%
1.77B
58.23%
1.79B
0.96%
2.18B
21.55%
933M
57.14%
1.89B
102.25%
750M
60.25%
operating cash flow
1.28B
-
1.31B
2.42%
796M
39.33%
-220M
127.64%
950M
531.82%
1.50B
57.37%
-861M
157.59%
706M
182.00%
974M
37.96%
757M
22.28%
capital expenditure
-260M
-
-381M
46.54%
-272M
28.61%
-70M
74.26%
-142M
102.86%
-207M
45.77%
-89M
57.00%
-6M
93.26%
-6M
0%
-6M
0%
free cash flow
1.02B
-
931M
8.81%
524M
43.72%
-290M
155.34%
808M
378.62%
1.29B
59.41%
-950M
173.76%
700M
173.68%
968M
38.29%
751M
22.42%

All numbers in (except ratios and percentages)