bf/NYSE:YUM_icon.jpeg

COM:YUM

Yum! Brands

  • Stock

Last Close

134.22

22/11 21:00

Market Cap

36.38B

Beta: -

Volume Today

992.38K

Avg: -

Preview

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Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
1.06B
-
1.02B
4.04%
1.30B
27.13%
994M
23.42%
1.34B
34.81%
1.54B
15.07%
1.29B
16.08%
904M
30.14%
1.57B
74.23%
1.32B
15.87%
1.60B
20.53%
depreciation and amortization
721M
-
739M
2.50%
747M
1.08%
309M
58.63%
253M
18.12%
137M
45.85%
112M
18.25%
146M
30.36%
164M
12.33%
146M
10.98%
153M
4.79%
deferred income tax
-24M
-
-172M
616.67%
-89M
48.26%
27M
130.34%
634M
2,248.15%
-11M
101.74%
-232M
2,009.09%
-65M
71.98%
-200M
207.69%
-55M
72.50%
-290M
427.27%
stock based compensation
49M
-
55M
12.24%
57M
3.64%
80M
40.35%
65M
18.75%
50M
23.08%
59M
18%
97M
64.41%
75M
22.68%
84M
12%
95M
13.10%
change in working capital
-103M
-
-136M
32.04%
130M
195.59%
-7M
105.38%
-257M
3,571.43%
-69M
73.15%
-77M
11.59%
88M
214.29%
2M
97.73%
-105M
5,350%
71M
167.62%
accounts receivables
-56M
-
62M
210.71%
-46M
174.19%
-84M
82.61%
-89M
5.95%
inventory
18M
-
-22M
222.22%
58M
363.64%
3M
-
56M
-
-62M
210.71%
46M
174.19%
84M
82.61%
accounts payables
-102M
-
60M
158.82%
128M
113.33%
17M
86.72%
-173M
1,117.65%
-68M
60.69%
-36M
47.06%
128M
455.56%
122M
4.69%
-39M
131.97%
-30M
23.08%
other working capital
-19M
-
-174M
815.79%
-56M
67.82%
-24M
57.14%
-87M
262.50%
-1M
98.85%
-41M
4,000%
-40M
2.44%
-120M
200%
-66M
45%
190M
387.88%
other non cash items
432M
-
542M
25.46%
-4M
100.74%
-199M
4,875%
-1.00B
405.03%
-473M
52.94%
159M
133.62%
135M
15.09%
90M
33.33%
32M
64.44%
-23M
171.88%
net cash provided by operating activities
2.14B
-
2.05B
4.21%
2.14B
4.39%
1.20B
43.71%
1.03B
14.45%
1.18B
14.17%
1.31B
11.82%
1.30B
0.76%
1.71B
30.73%
1.43B
16.35%
1.60B
12.33%
investments in property plant and equipment
-1.05B
-
-1.03B
1.53%
-973M
5.81%
-422M
56.63%
-318M
24.64%
-234M
26.42%
-196M
16.24%
-160M
18.37%
-230M
43.75%
-279M
21.30%
-285M
2.15%
acquisitions net
161M
-
86M
46.58%
237M
175.58%
346M
45.99%
1.77B
412.43%
559M
68.47%
110M
80.32%
-183M
266.36%
85M
146.45%
73M
14.12%
181M
147.95%
purchases of investments
-206M
-
-121M
-
sales maturities of investments
206M
-
121M
-
other investing activites
2M
-
11M
450%
54M
390.91%
52M
3.70%
17M
67.31%
-12M
170.59%
-2M
83.33%
8M
500%
-28M
450%
4M
114.29%
-3M
175%
net cash used for investing activites
-886M
-
-936M
5.64%
-682M
27.14%
-24M
96.48%
1.47B
6,233.33%
313M
78.74%
-88M
128.12%
-335M
280.68%
-173M
48.36%
-202M
16.76%
-107M
47.03%
debt repayment
-722M
-
-68M
90.58%
-263M
286.76%
-3.02B
1,050.19%
-385M
87.27%
-1.32B
243.64%
-457M
65.46%
-1.62B
253.83%
-3.66B
126.16%
-699M
80.89%
-676M
3.29%
common stock issued
692M
-
447M
35.40%
906M
102.68%
8.30B
816.11%
1.09B
86.89%
1.61B
48.44%
930M
42.41%
1.75B
87.63%
4.15B
137.82%
common stock repurchased
-770M
-
-820M
6.49%
-1.20B
46.34%
-5.40B
350.17%
-1.96B
63.72%
-2.39B
21.94%
-815M
65.90%
-239M
70.67%
-1.59B
565.69%
-1.20B
24.58%
-50M
95.83%
dividends paid
-615M
-
-669M
8.78%
-730M
9.12%
-744M
1.92%
-416M
44.09%
-462M
11.06%
-511M
10.61%
-566M
10.76%
-592M
4.59%
-649M
9.63%
-678M
4.47%
other financing activites
-36M
-
-4M
88.89%
-5M
25%
194M
3,980.00%
-122M
162.89%
-60M
50.82%
-85M
41.67%
-61M
28.24%
-77M
26.23%
1.23B
1,690.91%
-25M
102.04%
net cash used provided by financing activities
-1.45B
-
-1.11B
23.23%
-1.29B
15.98%
-677M
47.60%
-1.79B
165.14%
-2.62B
45.96%
-938M
64.20%
-738M
21.32%
-1.77B
139.43%
-1.32B
25.13%
-1.43B
8.01%
effect of forex changes on cash
-5M
-
6M
220.00%
-6M
200%
-25M
316.67%
61M
344%
-63M
203.28%
5M
107.94%
24M
380%
-19M
179.17%
-26M
36.84%
10M
138.46%
net change in cash
-203M
-
5M
102.46%
159M
3,080%
478M
200.63%
768M
60.67%
-1.19B
255.47%
294M
124.62%
256M
12.93%
-253M
198.83%
-124M
50.99%
-75M
39.52%
cash at beginning of period
776M
-
573M
26.16%
578M
0.87%
334M
42.21%
831M
148.80%
1.67B
100.72%
474M
71.58%
768M
62.03%
1.02B
33.33%
771M
24.71%
587M
23.87%
cash at end of period
573M
-
578M
0.87%
737M
27.51%
812M
10.18%
1.60B
96.92%
474M
70.36%
768M
62.03%
1.02B
33.33%
771M
24.71%
647M
16.08%
512M
20.87%
operating cash flow
2.14B
-
2.05B
4.21%
2.14B
4.39%
1.20B
43.71%
1.03B
14.45%
1.18B
14.17%
1.31B
11.82%
1.30B
0.76%
1.71B
30.73%
1.43B
16.35%
1.60B
12.33%
capital expenditure
-1.05B
-
-1.03B
1.53%
-973M
5.81%
-422M
56.63%
-318M
24.64%
-234M
26.42%
-196M
16.24%
-160M
18.37%
-230M
43.75%
-279M
21.30%
-285M
2.15%
free cash flow
1.09B
-
1.02B
6.79%
1.17B
14.76%
782M
32.93%
712M
8.95%
942M
32.30%
1.12B
18.79%
1.15B
2.32%
1.48B
28.91%
1.15B
22.22%
1.32B
14.81%

All numbers in (except ratios and percentages)