bf/NASDAQ:TROW_icon.png

COM:TROWEPRICE

T. Rowe Price Group, Inc.

  • Stock

Last Close

118.18

22/11 21:00

Market Cap

26.62B

Beta: -

Volume Today

1.14M

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
1.05B
-
1.23B
17.36%
1.22B
0.54%
1.25B
2.53%
1.58B
26.09%
1.77B
11.86%
2.25B
27.15%
2.52B
12.20%
3.10B
22.80%
1.45B
53.22%
1.74B
20.33%
depreciation and amortization
91M
-
111.70M
22.75%
126.30M
13.07%
133.40M
5.62%
143.60M
7.65%
159.50M
11.07%
190.80M
19.62%
189.60M
0.63%
204.80M
8.02%
645.80M
215.33%
389M
39.76%
deferred income tax
-1.04B
-
stock based compensation
114.60M
-
133.40M
16.40%
149M
11.69%
161.60M
8.46%
152M
5.94%
197.10M
29.67%
206.60M
4.82%
246.20M
19.17%
274.60M
11.54%
285.40M
3.93%
265.60M
6.94%
change in working capital
32M
-
-36.80M
215%
78M
311.96%
3.40M
95.64%
220.60M
6,388.24%
111.60M
49.41%
109.60M
1.79%
91.10M
16.88%
67.40M
26.02%
-139.90M
307.57%
193.60M
238.38%
accounts receivables
-44.70M
-
-31.50M
29.53%
-3.20M
89.84%
-9.30M
190.63%
-100.80M
983.87%
12.70M
112.60%
inventory
accounts payables
other working capital
76.70M
-
-5.30M
106.91%
81.20M
1,632.08%
12.70M
84.36%
321.40M
2,430.71%
98.90M
69.23%
109.60M
10.82%
91.10M
16.88%
67.40M
26.02%
-139.90M
307.57%
193.60M
238.38%
other non cash items
-52.10M
-
-146.60M
181.38%
-69.90M
52.32%
-1.38B
1,876.97%
-1.87B
35.17%
-617M
66.97%
-1.23B
99.87%
-1.13B
8.26%
-193.30M
82.91%
118.50M
161.30%
684.40M
477.55%
net cash provided by operating activities
1.23B
-
1.29B
4.71%
1.51B
16.66%
170.50M
88.68%
229.50M
34.60%
1.62B
605.84%
1.52B
6.00%
1.92B
26.02%
3.45B
79.89%
2.36B
31.65%
2.23B
5.34%
investments in property plant and equipment
-105.80M
-
-126.20M
19.28%
-151.30M
19.89%
-148.30M
1.98%
-186.10M
25.49%
-168.50M
9.46%
-204.60M
21.42%
-214.60M
4.89%
-239.10M
11.42%
-237.60M
0.63%
-307.90M
29.59%
acquisitions net
-18.40M
-
-53.90M
192.93%
-2.45B
4,446.94%
-8.70M
99.65%
-56.80M
552.87%
purchases of investments
-405.90M
-
-471.90M
16.26%
-164.80M
65.08%
-100K
99.94%
-81.10M
81,000%
-1.15B
1,315.29%
-258.10M
77.51%
-326.30M
26.42%
-64.90M
80.11%
-63.80M
1.69%
-1.16B
1,711.29%
sales maturities of investments
85.70M
-
166.60M
94.40%
434.50M
160.80%
175.10M
59.70%
334.70M
91.15%
352.40M
5.29%
131.40M
62.71%
454.10M
245.59%
1.63B
258.03%
263.60M
83.79%
1.03B
291.31%
other investing activites
-11.50M
-
-11.90M
3.48%
-9.40M
21.01%
79.50M
945.74%
-28.50M
135.85%
88.40M
410.18%
25.20M
71.49%
104.40M
314.29%
30.90M
70.40%
5M
83.82%
-38.40M
868%
net cash used for investing activites
-437.50M
-
-443.40M
1.35%
109M
124.58%
106.20M
2.57%
39M
63.28%
-875.50M
2,344.87%
-324.50M
62.94%
-36.30M
88.81%
-1.10B
2,925.07%
-41.50M
96.22%
-527.20M
1,170.36%
debt repayment
-83.30M
-
-3.90M
95.32%
common stock issued
118.20M
-
85.20M
27.92%
73.50M
13.73%
126.30M
71.84%
83.30M
-
3.90M
95.32%
-36.20M
-
common stock repurchased
-14.10M
-
-415.50M
2,846.81%
-987.80M
137.74%
-676.90M
31.47%
-458.10M
32.32%
-1.09B
138.03%
-705.80M
35.27%
-1.20B
70.29%
-1.14B
5.27%
-849.80M
25.36%
-272.40M
67.95%
dividends paid
-396.70M
-
-462.10M
16.49%
-1.06B
129.17%
-540.80M
48.93%
-563.10M
4.12%
-694.30M
23.30%
-733.90M
5.70%
-845.80M
15.25%
-1.70B
101.22%
-1.11B
34.93%
-1.12B
1.29%
other financing activites
15.80M
-
52.60M
232.91%
24.10M
54.18%
915M
3,696.68%
1.48B
62.04%
545.20M
63.23%
607M
11.34%
561.40M
7.51%
-148.40M
126.43%
-83.50M
43.73%
-43.30M
48.14%
net cash used provided by financing activities
-276.80M
-
-739.80M
167.27%
-1.95B
163.48%
-176.40M
90.95%
461.50M
361.62%
-1.24B
368.58%
-832.70M
32.82%
-1.49B
78.49%
-2.99B
101.09%
-2.08B
30.51%
-1.44B
30.79%
effect of forex changes on cash
-2.10M
-
5.30M
352.38%
-15.40M
390.57%
-2.50M
83.77%
1.90M
176%
2.60M
36.84%
9.50M
265.38%
400K
95.79%
net change in cash
518.90M
-
108.10M
79.17%
-333.80M
408.79%
98.20M
129.42%
735.30M
648.78%
-510.50M
169.43%
363M
171.11%
398.20M
9.70%
-632.30M
258.79%
250.50M
139.62%
311M
24.15%
cash at beginning of period
879.10M
-
1.40B
59.03%
1.51B
7.73%
1.17B
22.16%
1.27B
8.38%
2.01B
57.87%
1.50B
25.45%
1.86B
24.28%
2.26B
21.43%
1.62B
28.02%
1.76B
8.09%
cash at end of period
1.40B
-
1.51B
7.73%
1.17B
22.16%
1.27B
8.38%
2.01B
57.87%
1.50B
25.45%
1.86B
24.28%
2.26B
21.43%
1.62B
28.02%
1.87B
15.42%
2.07B
10.24%
operating cash flow
1.23B
-
1.29B
4.71%
1.51B
16.66%
170.50M
88.68%
229.50M
34.60%
1.62B
605.84%
1.52B
6.00%
1.92B
26.02%
3.45B
79.89%
2.36B
31.65%
2.23B
5.34%
capital expenditure
-105.80M
-
-126.20M
19.28%
-151.30M
19.89%
-148.30M
1.98%
-186.10M
25.49%
-168.50M
9.46%
-204.60M
21.42%
-214.60M
4.89%
-239.10M
11.42%
-237.60M
0.63%
-307.90M
29.59%
free cash flow
1.13B
-
1.17B
3.34%
1.36B
16.31%
22.20M
98.36%
43.40M
95.50%
1.45B
3,244.24%
1.32B
9.18%
1.70B
29.30%
3.21B
88.52%
2.12B
33.96%
1.93B
9.26%

All numbers in (except ratios and percentages)