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NASDAQ:INTU

Intuit Inc.

  • Stock

USD

Last Close

655.13

16/05 15:59

Market Cap

179.54B

Beta: 1.18

Volume Today

288.89K

Avg: 1.60M

PE Ratio

69.36

PFCF: 41.17

Dividend Yield

0.38%

Payout:35.86%

Jul '13
Jul '14
Jul '15
Jul '16
Jul '17
Jul '18
Jul '19
Jul '20
Jul '21
Jul '22
Jul '23
net income
805M
-
857M
6.46%
365M
57.41%
625M
71.23%
971M
55.36%
1.21B
24.72%
1.56B
28.57%
1.83B
17.28%
2.06B
12.92%
2.07B
0.19%
2.38B
15.39%
depreciation and amortization
232M
-
197M
15.09%
231M
17.26%
238M
3.03%
236M
0.84%
253M
7.20%
225M
11.07%
218M
3.11%
363M
66.51%
746M
105.51%
806M
8.04%
deferred income tax
82M
-
169M
106.10%
-15M
108.88%
129M
960%
8M
93.80%
51M
537.50%
-7M
113.73%
-179M
2,457.14%
-42M
76.54%
120M
385.71%
-628M
623.33%
stock based compensation
195M
-
204M
4.62%
257M
25.98%
281M
9.34%
326M
16.01%
382M
17.18%
401M
4.97%
435M
8.48%
753M
73.10%
1.31B
73.71%
1.71B
30.89%
change in working capital
56M
-
106M
89.29%
450M
324.53%
170M
62.22%
45M
73.53%
130M
188.89%
133M
2.31%
132M
0.75%
-11M
108.33%
-436M
3,863.64%
601M
237.84%
accounts receivables
12M
-
-5M
141.67%
24M
580%
-20M
183.33%
5M
125%
5M
0%
11M
120%
-59M
636.36%
-104M
76.27%
-31M
70.19%
42M
235.48%
inventory
-30M
-
19M
163.33%
-31M
263.16%
32M
203.23%
-28M
-
-23M
17.86%
20M
186.96%
-65M
425%
457M
-
accounts payables
4M
-
34M
750%
35M
2.94%
-23M
165.71%
12M
-
90M
650%
33M
63.33%
206M
524.24%
-95M
146.12%
-97M
2.11%
other working capital
70M
-
58M
17.14%
422M
627.59%
181M
57.11%
40M
77.90%
141M
252.50%
55M
60.99%
138M
150.91%
-48M
134.78%
-310M
545.83%
199M
164.19%
other non cash items
-4M
-
-79M
1,875%
216M
373.42%
-42M
119.44%
13M
130.95%
85M
553.85%
15M
82.35%
-18M
220.00%
125M
794.44%
85M
32%
171M
101.18%
net cash provided by operating activities
1.37B
-
1.45B
6.44%
1.50B
3.44%
1.40B
6.85%
1.60B
14.13%
2.11B
32.08%
2.32B
10.04%
2.41B
3.87%
3.25B
34.63%
3.89B
19.66%
5.05B
29.75%
investments in property plant and equipment
-209M
-
-209M
0%
-261M
24.88%
-522M
100%
-230M
55.94%
-124M
46.09%
-155M
25%
-137M
11.61%
-125M
8.76%
-229M
83.20%
-260M
13.54%
acquisitions net
43M
-
554M
1,188.37%
-95M
117.15%
463M
587.37%
-363M
-
-64M
82.37%
-3.06B
-
-5.68B
85.44%
-33M
99.42%
purchases of investments
-869M
-
-1.33B
53.51%
-939M
29.61%
-934M
0.53%
-352M
62.31%
-407M
15.63%
-752M
84.77%
-701M
6.78%
-1.49B
112.41%
-830M
44.26%
-1.01B
22.29%
sales maturities of investments
561M
-
939M
67.38%
1.09B
16.61%
1.35B
23.47%
542M
59.91%
414M
23.62%
387M
6.52%
726M
87.60%
779M
7.30%
1.76B
125.67%
689M
60.81%
other investing activites
-11M
-
-7M
36.36%
18M
357.14%
12M
33.33%
-45M
475%
-52M
15.56%
18M
134.62%
15M
16.67%
-66M
540%
-438M
563.64%
-303M
30.82%
net cash used for investing activites
-485M
-
-57M
88.25%
-182M
219.30%
371M
303.85%
-85M
122.91%
-532M
525.88%
-566M
6.39%
-97M
82.86%
-3.96B
3,987.63%
-5.42B
36.72%
-922M
82.99%
debt repayment
-995M
-
-662M
33.47%
-850M
28.40%
-50M
94.12%
-50M
0%
-1.34B
2,576%
-4.88B
264.87%
-1.03B
78.86%
common stock issued
165M
-
165M
0%
107M
35.15%
1.58B
1,380.37%
226M
85.73%
295M
30.53%
332M
12.54%
3.19B
862.05%
196M
93.86%
162M
17.35%
228M
40.74%
common stock repurchased
-292M
-
-1.58B
440.07%
-1.25B
21.05%
-2.26B
81.85%
-839M
62.94%
-272M
67.58%
-556M
104.41%
-323M
41.91%
-1.00B
211.15%
-1.86B
85.17%
-1.97B
5.70%
dividends paid
-203M
-
-220M
8.37%
-283M
28.64%
-318M
12.37%
-353M
11.01%
-407M
15.30%
-501M
23.10%
-561M
11.98%
-646M
15.15%
-774M
19.81%
-889M
14.86%
other financing activites
68M
-
81M
19.12%
84M
3.70%
53M
36.90%
-4M
107.55%
600M
15,100%
-259M
143.17%
-226M
12.74%
-383M
69.47%
9.09B
2,472.58%
-609M
106.70%
net cash used provided by financing activities
-262M
-
-1.55B
491.98%
-1.34B
13.80%
-1.94B
45.10%
-1.63B
15.88%
-634M
61.15%
-1.03B
63.09%
2.03B
296.71%
-3.18B
256.15%
1.73B
154.53%
-4.27B
346.48%
effect of forex changes on cash
-3M
-
-6M
100%
-26M
333.33%
-2M
92.31%
9M
550%
-11M
222.22%
-3M
72.73%
-6M
100%
13M
316.67%
-22M
269.23%
net change in cash
616M
-
-160M
125.97%
-41M
74.38%
-170M
314.63%
-109M
35.88%
935M
957.80%
721M
22.89%
4.34B
502.64%
-3.88B
189.25%
178M
104.59%
-145M
181.46%
cash at beginning of period
393M
-
1.01B
156.74%
849M
15.86%
808M
4.83%
638M
21.04%
529M
17.08%
1.63B
208.32%
2.35B
44.21%
6.70B
184.74%
2.82B
57.91%
3.00B
6.31%
cash at end of period
1.01B
-
849M
15.86%
808M
4.83%
638M
21.04%
529M
17.08%
1.46B
176.75%
2.35B
60.66%
6.70B
184.74%
2.82B
57.91%
3.00B
6.31%
2.85B
4.84%
operating cash flow
1.37B
-
1.45B
6.44%
1.50B
3.44%
1.40B
6.85%
1.60B
14.13%
2.11B
32.08%
2.32B
10.04%
2.41B
3.87%
3.25B
34.63%
3.89B
19.66%
5.05B
29.75%
capital expenditure
-209M
-
-209M
0%
-261M
24.88%
-522M
100%
-230M
55.94%
-124M
46.09%
-155M
25%
-137M
11.61%
-125M
8.76%
-229M
83.20%
-260M
13.54%
free cash flow
1.16B
-
1.25B
7.61%
1.24B
0.16%
879M
29.28%
1.37B
55.75%
1.99B
45.22%
2.17B
9.10%
2.28B
4.98%
3.13B
37.24%
3.66B
17.12%
4.79B
30.77%

All numbers in USD (except ratios and percentages)