VRSN

    COM:VERISIGN

    Verisign

    • Stock

    253.87

    +1.18%

    11.00

    USD last updated 11/04 01:43:22

    Last Close

    242.87

    10/04 21:13

    Market Cap

    24.02B

    Beta: -

    Volume Today

    767.52K

    Avg: -

    Preview

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    Dec '14
    Dec '15
    Dec '16
    Dec '17
    Dec '18
    Dec '19
    Dec '20
    Dec '21
    Dec '22
    Dec '23
    net income
    355.26M
    -
    375.24M
    5.62%
    440.64M
    17.43%
    457.25M
    3.77%
    582.49M
    27.39%
    612.30M
    5.12%
    814.89M
    33.09%
    784.83M
    3.69%
    673.80M
    14.15%
    817.60M
    21.34%
    depreciation and amortization
    63.69M
    -
    61.49M
    3.45%
    58.17M
    5.41%
    49.88M
    14.25%
    48.37M
    3.03%
    46.33M
    4.21%
    46.35M
    0.05%
    47.94M
    3.43%
    46.90M
    2.17%
    44.10M
    5.97%
    deferred income tax
    -8.30M
    -
    -4.33M
    47.77%
    -27.46M
    533.59%
    -25.28M
    7.94%
    -66.55M
    163.22%
    -15.59M
    76.57%
    -12.53M
    19.63%
    -66.40M
    -
    stock based compensation
    43.98M
    -
    46.08M
    4.77%
    50.04M
    8.61%
    52.91M
    5.72%
    52.50M
    0.76%
    50.63M
    3.58%
    48.24M
    4.71%
    53.44M
    10.77%
    58.60M
    9.66%
    59.70M
    1.88%
    change in working capital
    134.97M
    -
    173.26M
    28.37%
    150.31M
    13.24%
    167.74M
    11.59%
    72.86M
    56.56%
    56.56M
    22.37%
    -170.19M
    400.89%
    -85.08M
    50.01%
    55.70M
    165.46%
    -43.10M
    177.38%
    accounts receivables
    -73K
    -
    661K
    1,005.48%
    -871K
    231.77%
    inventory
    11.57M
    -
    -1.73M
    114.93%
    8.98M
    619.68%
    accounts payables
    45.42M
    -
    21.01M
    53.74%
    40.24M
    91.52%
    15.48M
    61.53%
    -2.13M
    113.76%
    -24K
    98.87%
    2.23M
    9,379.17%
    15.49M
    595.78%
    -100K
    100.65%
    other working capital
    78.05M
    -
    153.32M
    96.43%
    101.96M
    33.50%
    152.25M
    49.33%
    74.99M
    50.75%
    56.59M
    24.54%
    -172.42M
    404.70%
    -100.58M
    41.67%
    55.80M
    155.48%
    -43.10M
    177.24%
    other non cash items
    11.35M
    -
    -248K
    102.18%
    -3.76M
    1,416.53%
    272K
    107.23%
    8.09M
    2,875%
    3.67M
    54.67%
    3.42M
    6.62%
    6.03M
    75.97%
    -3.90M
    164.71%
    41.90M
    1,174.36%
    net cash provided by operating activities
    600.95M
    -
    651.48M
    8.41%
    667.95M
    2.53%
    702.76M
    5.21%
    697.77M
    0.71%
    753.89M
    8.04%
    730.18M
    3.14%
    807.15M
    10.54%
    831.10M
    2.97%
    853.80M
    2.73%
    investments in property plant and equipment
    -39.33M
    -
    -40.66M
    3.38%
    -169.57M
    317.09%
    -49.50M
    70.81%
    -37.01M
    25.24%
    -40.32M
    8.94%
    -43.40M
    7.64%
    -53.03M
    22.21%
    -27.40M
    48.33%
    -45.80M
    67.15%
    acquisitions net
    -143M
    -
    52.24M
    -
    -9.87M
    118.90%
    20.81M
    310.80%
    216.20M
    938.92%
    -383.10M
    277.20%
    -27.80M
    92.74%
    purchases of investments
    -3.28B
    -
    -3.22B
    1.76%
    -3.69B
    14.65%
    -4.93B
    33.56%
    -2.98B
    39.62%
    -2.03B
    31.79%
    -2.36B
    16.00%
    -2.87B
    21.88%
    -1.34B
    53.38%
    -1.33B
    0.59%
    sales maturities of investments
    3.43B
    -
    2.77B
    19.30%
    3.82B
    37.98%
    4.56B
    19.49%
    4.03B
    11.63%
    2.25B
    44.25%
    2.31B
    2.57%
    2.65B
    15.12%
    1.72B
    35.15%
    1.28B
    25.71%
    other investing activites
    452K
    -
    -3.94M
    971.90%
    145.33M
    3,787.72%
    12.10M
    91.68%
    -160K
    101.32%
    -216.20M
    -
    383.10M
    277.20%
    27.80M
    92.74%
    net cash used for investing activites
    112.69M
    -
    -496.90M
    540.95%
    -40.40M
    91.87%
    -405.08M
    902.69%
    1.07B
    364.18%
    167.19M
    84.38%
    -72.26M
    143.22%
    -269.25M
    272.62%
    355.70M
    232.11%
    -97.40M
    127.38%
    debt repayment
    -1.25B
    -
    -750M
    -
    common stock issued
    13.15M
    -
    12.58M
    4.37%
    12.40M
    1.38%
    12.30M
    0.84%
    12.30M
    0%
    common stock repurchased
    -883.40M
    -
    -643.17M
    27.19%
    -662.49M
    3.00%
    -621.17M
    6.24%
    -638.15M
    2.73%
    -782.58M
    22.63%
    -777.45M
    0.66%
    -722.59M
    7.06%
    -1.05B
    45.05%
    -901.40M
    14.00%
    dividends paid
    -12.40M
    -
    other financing activites
    23.65M
    -
    525.39M
    2,121.43%
    38.73M
    92.63%
    556.10M
    1,335.91%
    12.84M
    97.69%
    -872K
    106.79%
    -764.90M
    87,617.89%
    753.46M
    198.50%
    -700K
    -
    net cash used provided by financing activities
    -859.75M
    -
    -117.78M
    86.30%
    -623.76M
    429.61%
    -65.07M
    89.57%
    -1.88B
    2,781.88%
    -770.30M
    58.92%
    -764.88M
    0.70%
    -719.13M
    5.98%
    -1.04B
    44.04%
    -889.80M
    14.10%
    effect of forex changes on cash
    -1.50M
    -
    246K
    116.40%
    -501K
    303.66%
    1.29M
    358.28%
    -958K
    174.03%
    64K
    106.68%
    -48K
    175%
    -561K
    1,068.75%
    -800K
    42.60%
    -100K
    87.50%
    net change in cash
    -147.62M
    -
    37.05M
    125.10%
    3.29M
    91.13%
    233.91M
    7,018.26%
    -108.39M
    146.34%
    150.85M
    239.18%
    -107M
    170.93%
    -181.78M
    69.89%
    150.20M
    182.63%
    -133.50M
    188.88%
    cash at beginning of period
    339.22M
    -
    191.61M
    43.52%
    228.66M
    19.34%
    231.94M
    1.44%
    475.14M
    104.85%
    366.75M
    22.81%
    517.60M
    41.13%
    410.60M
    20.67%
    228.80M
    44.28%
    373.60M
    63.29%
    cash at end of period
    191.61M
    -
    228.66M
    19.34%
    231.94M
    1.44%
    465.85M
    100.85%
    366.75M
    21.27%
    517.60M
    41.13%
    410.60M
    20.67%
    228.82M
    44.27%
    379M
    65.64%
    240.10M
    36.65%
    operating cash flow
    600.95M
    -
    651.48M
    8.41%
    667.95M
    2.53%
    702.76M
    5.21%
    697.77M
    0.71%
    753.89M
    8.04%
    730.18M
    3.14%
    807.15M
    10.54%
    831.10M
    2.97%
    853.80M
    2.73%
    capital expenditure
    -39.33M
    -
    -40.66M
    3.38%
    -169.57M
    317.09%
    -49.50M
    70.81%
    -37.01M
    25.24%
    -40.32M
    8.94%
    -43.40M
    7.64%
    -53.03M
    22.21%
    -27.40M
    48.33%
    -45.80M
    67.15%
    free cash flow
    561.62M
    -
    610.83M
    8.76%
    498.38M
    18.41%
    653.26M
    31.08%
    660.76M
    1.15%
    713.58M
    7.99%
    686.79M
    3.75%
    754.12M
    9.80%
    803.70M
    6.57%
    808M
    0.54%

    All numbers in USD (except ratios and percentages)