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COM:SKYWORKSINC

Skyworks Solutions, Inc.

  • Stock

USD

Last Close

85.05

22/11 21:00

Market Cap

17.78B

Beta: -

Volume Today

1.70M

Avg: -

Preview

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Oct '14
Oct '15
Sep '16
Sep '17
Sep '18
Sep '19
Oct '20
Oct '21
Sep '22
Sep '23
Sep '24
net income
457.70M
-
798.30M
74.42%
995.20M
24.66%
1.01B
1.51%
918.40M
9.09%
853.60M
7.06%
814.80M
4.55%
1.50B
83.89%
1.28B
14.89%
982.80M
22.93%
596M
39.36%
depreciation and amortization
122.70M
-
195.80M
59.58%
247.80M
26.56%
254.80M
2.82%
299.20M
17.43%
371.60M
24.20%
364.30M
1.96%
436.70M
19.87%
690.10M
58.03%
613.70M
11.07%
451.30M
26.46%
deferred income tax
3.30M
-
-3.90M
218.18%
-25.70M
558.97%
2.20M
108.56%
27.30M
1,140.91%
-6.10M
122.34%
-14.50M
137.70%
-59.50M
310.34%
68.40M
214.96%
-151.20M
321.05%
-108.40M
28.31%
stock based compensation
86M
-
99.80M
16.05%
78M
21.84%
88.50M
13.46%
107.80M
21.81%
80.10M
25.70%
156.60M
95.51%
191.90M
22.54%
195.20M
1.72%
185.10M
5.17%
180.30M
2.59%
change in working capital
125.40M
-
-61.30M
148.88%
-199.90M
226.10%
141.10M
170.59%
-79.50M
156.34%
54.50M
168.55%
-132.30M
342.75%
-303.80M
129.63%
-827.50M
172.38%
161M
119.46%
563.90M
250.25%
accounts receivables
190.50M
-
71.70M
62.36%
-397.70M
654.67%
-337.80M
15.06%
229.80M
168.03%
355.40M
54.66%
inventory
-6.10M
-
3.60M
159.02%
-147.30M
4,191.67%
-69.20M
53.02%
11.90M
117.20%
-119.60M
1,105.04%
-190.40M
59.20%
-41.20M
78.36%
-337.30M
718.69%
90.80M
126.92%
330.40M
263.88%
accounts payables
74.20M
-
90.50M
21.97%
-181.50M
300.55%
147.80M
181.43%
-126M
185.25%
-33M
73.81%
61.10M
285.15%
59.60M
2.45%
31.30M
47.48%
-87.10M
378.27%
10.40M
111.94%
other working capital
57.30M
-
-155.40M
371.20%
128.90M
182.95%
62.50M
51.51%
34.60M
44.64%
16.60M
52.02%
-74.70M
550%
75.50M
201.07%
-183.70M
343.31%
-72.50M
60.53%
-132.30M
82.48%
other non cash items
-22.70M
-
-35.90M
58.15%
300K
100.84%
-25.50M
8,600%
-12.60M
50.59%
13.70M
208.73%
15.60M
13.87%
8.40M
46.15%
23.20M
176.19%
65M
180.17%
141.60M
117.85%
net cash provided by operating activities
772.40M
-
992.80M
28.53%
1.10B
10.36%
1.47B
34.28%
1.26B
14.32%
1.37B
8.47%
1.20B
11.91%
1.77B
47.11%
1.42B
19.60%
1.86B
30.31%
1.82B
1.71%
investments in property plant and equipment
-208.60M
-
-430.10M
106.18%
-195.30M
54.59%
-315.40M
61.50%
-430.90M
36.62%
-423.40M
1.74%
-398.50M
5.88%
-652.10M
63.64%
-509.70M
21.84%
-236.10M
53.68%
-157M
33.50%
acquisitions net
-148.50M
-
-24.60M
83.43%
-55.60M
126.02%
-13.70M
75.36%
-404M
2,848.91%
423.40M
204.80%
398.50M
5.88%
-2.75B
790.34%
7.70M
100.28%
-25.80M
435.06%
purchases of investments
12.10M
-
-683.70M
5,750.41%
-360.50M
47.27%
-790.50M
119.28%
-500.80M
36.65%
-97.20M
80.59%
-288.80M
197.12%
-270.90M
6.20%
sales maturities of investments
3.20M
-
368.20M
11,406.25%
447M
21.40%
607.60M
35.93%
770.70M
26.84%
220.30M
71.42%
294M
33.45%
86.50M
70.58%
other investing activites
-12.10M
-
-423.40M
-
-398.50M
5.88%
32.30M
-
-14.50M
144.89%
net cash used for investing activites
-357.10M
-
-454.70M
27.33%
-250.90M
44.82%
-325.90M
29.89%
-1.15B
252.99%
-336.90M
70.71%
-581.40M
72.57%
-3.13B
438.91%
-378.90M
87.91%
-224.40M
40.78%
-355.90M
58.60%
debt repayment
-41.80M
-
-79.90M
91.15%
-250M
212.89%
-50M
80%
-900M
1,700%
-300M
66.67%
common stock issued
41.80M
-
79.90M
91.15%
2.52B
3,059.70%
6.40M
99.75%
1.08B
16,701.56%
common stock repurchased
-187.80M
-
-291.50M
55.22%
-598.90M
105.45%
-481.50M
19.60%
-807.50M
67.71%
-680.30M
15.75%
-680.60M
0.04%
-250.80M
63.15%
-975.30M
288.88%
-211.20M
78.35%
-113.60M
46.21%
dividends paid
-41.40M
-
-123.10M
197.34%
-201M
63.28%
-214.60M
6.77%
-243.20M
13.33%
-273.90M
12.62%
-307M
12.08%
-340.60M
10.94%
-373.20M
9.57%
-405.20M
8.57%
-439.10M
8.37%
other financing activites
108.60M
-
114.30M
5.25%
-4.70M
104.11%
83.70M
1,880.85%
57M
31.90%
41.70M
26.84%
79.90M
91.61%
-5.80M
107.26%
29.50M
608.62%
-1.04B
3,618.98%
33.70M
103.25%
net cash used provided by financing activities
-120.60M
-
-300.30M
149.00%
-804.60M
167.93%
-612.40M
23.89%
-993.70M
62.26%
-912.50M
8.17%
-907.70M
0.53%
1.68B
284.80%
-1.36B
181.23%
-1.48B
8.56%
-819M
44.63%
effect of forex changes on cash
net change in cash
294.70M
-
237.80M
19.31%
40.20M
83.10%
533M
1,225.87%
-883.50M
265.76%
118M
113.36%
-284.60M
341.19%
316.20M
211.10%
-316.90M
200.22%
152.80M
148.22%
649.80M
325.26%
cash at beginning of period
511.10M
-
805.80M
57.66%
1.04B
29.51%
1.08B
3.85%
1.62B
49.18%
733.30M
54.64%
851.30M
16.09%
566.70M
33.43%
882.90M
55.80%
566M
35.89%
718.80M
27.00%
cash at end of period
805.80M
-
1.04B
29.51%
1.08B
3.85%
1.62B
49.18%
733.30M
54.64%
851.30M
16.09%
566.70M
33.43%
882.90M
55.80%
566M
35.89%
718.80M
27.00%
1.37B
90.40%
operating cash flow
772.40M
-
992.80M
28.53%
1.10B
10.36%
1.47B
34.28%
1.26B
14.32%
1.37B
8.47%
1.20B
11.91%
1.77B
47.11%
1.42B
19.60%
1.86B
30.31%
1.82B
1.71%
capital expenditure
-208.60M
-
-430.10M
106.18%
-195.30M
54.59%
-315.40M
61.50%
-430.90M
36.62%
-423.40M
1.74%
-398.50M
5.88%
-652.10M
63.64%
-509.70M
21.84%
-236.10M
53.68%
-157M
33.50%
free cash flow
563.80M
-
562.70M
0.20%
900.40M
60.01%
1.16B
28.38%
829.70M
28.22%
944M
13.78%
806M
14.62%
1.12B
38.95%
914.90M
18.31%
1.62B
77.10%
1.67B
2.93%

All numbers in USD (except ratios and percentages)