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COM:SYNAPTICS

Synaptics

  • Stock

Last Close

87.49

26/07 20:00

Market Cap

3.53B

Beta: -

Volume Today

192.02K

Avg: -

Preview

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Jun '14
Jun '15
Jun '16
Jun '17
Jun '18
Jun '19
Jun '20
Jun '21
Jun '22
Jun '23
net income
46.69M
-
110.40M
136.46%
72.20M
34.60%
48.80M
32.41%
-124.10M
354.30%
-22.90M
81.55%
118.80M
618.78%
79.60M
33.00%
257.50M
223.49%
73.60M
71.42%
depreciation and amortization
21.64M
-
112.40M
419.50%
104.20M
7.30%
92.50M
11.23%
122.80M
32.76%
110M
10.42%
78.10M
29.00%
131.70M
68.63%
147.50M
12.00%
157.80M
6.98%
deferred income tax
12.28M
-
-25.20M
305.30%
-21.10M
16.27%
-17.40M
17.54%
4.90M
128.16%
-15.20M
410.20%
2.70M
117.76%
-5.20M
292.59%
-29.70M
471.15%
-25.90M
12.79%
stock based compensation
32.86M
-
44.10M
34.20%
56.80M
28.80%
61.80M
8.80%
71.30M
15.37%
59M
17.25%
49.30M
16.44%
66.10M
34.08%
100.80M
52.50%
122M
21.03%
change in working capital
-50.67M
-
-10.90M
78.49%
30M
375.23%
-31.60M
205.33%
49.80M
257.59%
8M
83.94%
51.80M
547.50%
45.60M
11.97%
-45.30M
199.34%
-32.70M
27.81%
accounts receivables
-42.76M
-
700K
101.64%
72M
10,185.71%
-2.60M
103.61%
-22.70M
773.08%
64.30M
383.26%
31M
51.79%
-25.90M
183.55%
-81.10M
213.13%
161.30M
298.89%
inventory
-30.21M
-
-51.50M
70.48%
-6.20M
87.96%
15M
341.94%
79.50M
430%
-27.50M
134.59%
43M
256.36%
53.10M
23.49%
-65.10M
222.60%
24.60M
137.79%
accounts payables
13.21M
-
30.20M
128.65%
-15.30M
150.66%
-38.40M
150.98%
6.20M
116.15%
-55.80M
1,000%
-36.20M
35.13%
32.20M
188.95%
23.20M
27.95%
-95.60M
512.07%
other working capital
9.10M
-
9.70M
6.64%
-20.50M
311.34%
-5.60M
72.68%
-13.20M
135.71%
27M
304.55%
14M
48.15%
-13.80M
198.57%
77.70M
663.04%
-123M
258.30%
other non cash items
68.80M
-
-26.70M
138.81%
9.80M
136.70%
-1.20M
112.24%
20.30M
1,791.67%
15.30M
24.63%
-78.90M
615.69%
1.40M
101.77%
5.60M
300%
36.70M
555.36%
net cash provided by operating activities
131.60M
-
204.10M
55.10%
251.90M
23.42%
152.90M
39.30%
145M
5.17%
154.20M
6.34%
221.80M
43.84%
319.20M
43.91%
436.40M
36.72%
331.50M
24.04%
investments in property plant and equipment
-38.67M
-
-51.90M
34.20%
-33.20M
36.03%
-31.40M
5.42%
-41.80M
33.12%
-23.70M
43.30%
-16.30M
31.22%
-26.10M
60.12%
-31.10M
19.16%
-35.10M
12.86%
acquisitions net
-19.62M
-
-294.30M
1,400%
-18.40M
-
-396.70M
2,055.98%
-2.50M
-
-626.50M
24,960%
-499.80M
20.22%
-15.50M
96.90%
purchases of investments
18.40M
-
10.90M
40.76%
-5M
-
-5.80M
16%
-100K
98.28%
sales maturities of investments
4.90M
-
6.60M
34.69%
7.50M
13.64%
7.50M
0%
2.80M
62.67%
95.80M
-
24.40M
74.53%
44.60M
82.79%
other investing activites
-18.40M
-
-18.40M
0%
138.70M
-
39.20M
71.74%
55.90M
42.60%
100K
99.82%
net cash used for investing activites
-58.30M
-
-341.30M
485.47%
-26.60M
92.21%
-42.30M
59.02%
-438.50M
936.64%
-20.90M
95.23%
119.90M
673.68%
-522.60M
535.86%
-456.40M
12.67%
-6M
98.69%
debt repayment
-2.31M
-
-76.40M
3,214.53%
-64.10M
16.10%
-25.30M
60.53%
-220M
769.57%
-99.30M
-
-119.40M
20.24%
-508.60M
325.96%
-6M
98.82%
common stock issued
80.75M
-
49.10M
39.19%
32.40M
34.01%
24.70M
23.77%
32.30M
30.77%
21.30M
34.06%
34.50M
61.97%
27.80M
19.42%
15.20M
45.32%
17.60M
15.79%
common stock repurchased
-70.26M
-
-121.30M
72.64%
-240.60M
98.35%
-88M
63.42%
-93.60M
6.36%
-118.50M
26.60%
-30.20M
74.51%
-28.30M
6.29%
-67.30M
137.81%
-183.40M
172.51%
dividends paid
-245.40M
-
-32.40M
86.80%
-24.70M
23.77%
-481.10M
1,847.77%
-99.30M
-
-28.30M
71.50%
-67.30M
137.81%
-17.60M
73.85%
other financing activites
10.42M
-
487.60M
4,579.01%
28.30M
94.20%
19.20M
32.16%
989.10M
5,051.56%
-9.40M
100.95%
288.20M
3,165.96%
422.30M
46.53%
642.30M
52.10%
-31.90M
104.97%
net cash used provided by financing activities
18.60M
-
93.60M
403.20%
-276.40M
395.30%
-94.10M
65.96%
226.70M
340.91%
-106.60M
147.02%
93.90M
188.09%
274.10M
191.91%
14.30M
94.78%
-221.30M
1,647.55%
effect of forex changes on cash
-3.70M
-
3.40M
191.89%
-900K
126.47%
-900K
0%
100K
111.11%
2.20M
-
-6.60M
400%
-3.50M
46.97%
net change in cash
91.90M
-
-47.30M
151.47%
-47.70M
0.85%
15.60M
132.70%
-66.80M
528.21%
26.80M
140.12%
435.60M
1,525.37%
72.90M
83.26%
-12.30M
116.87%
100.70M
918.70%
cash at beginning of period
355.30M
-
447.20M
25.86%
399.90M
10.58%
352.20M
11.93%
367.80M
4.43%
301M
18.16%
327.80M
8.90%
763.40M
132.89%
836.30M
9.55%
824M
1.47%
cash at end of period
447.20M
-
399.90M
10.58%
352.20M
11.93%
367.80M
4.43%
301M
18.16%
327.80M
8.90%
763.40M
132.89%
836.30M
9.55%
824M
1.47%
924.70M
12.22%
operating cash flow
131.60M
-
204.10M
55.10%
251.90M
23.42%
152.90M
39.30%
145M
5.17%
154.20M
6.34%
221.80M
43.84%
319.20M
43.91%
436.40M
36.72%
331.50M
24.04%
capital expenditure
-38.67M
-
-51.90M
34.20%
-33.20M
36.03%
-31.40M
5.42%
-41.80M
33.12%
-23.70M
43.30%
-16.30M
31.22%
-26.10M
60.12%
-31.10M
19.16%
-35.10M
12.86%
free cash flow
92.92M
-
152.20M
63.80%
218.70M
43.69%
121.50M
44.44%
103.20M
15.06%
130.50M
26.45%
205.50M
57.47%
293.10M
42.63%
405.30M
38.28%
296.40M
26.87%

All numbers in (except ratios and percentages)