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NASDAQ:STX

Seagate Technology Holdings plc

  • Stock

USD

Last Close

98.24

17/05 20:00

Market Cap

18.99B

Beta: 1.12

Volume Today

2.60M

Avg: 2.34M

PE Ratio

−24.54

PFCF: 35.96

Dividend Yield

3.28%

Payout:−79.81%

Jun '13
Jun '14
Jul '15
Jul '16
Jun '17
Jun '18
Jun '19
Jul '20
Jul '21
Jul '22
Jun '23
net income
1.84B
-
1.57B
14.58%
1.74B
10.96%
248M
85.76%
772M
211.29%
1.18B
53.11%
2.01B
70.22%
1.00B
50.10%
1.31B
30.88%
1.65B
25.49%
-529M
132.08%
depreciation and amortization
873M
-
879M
0.69%
841M
4.32%
815M
3.09%
749M
8.10%
598M
20.16%
541M
9.53%
379M
29.94%
397M
4.75%
451M
13.60%
513M
13.75%
deferred income tax
-70M
-
-67M
4.29%
2M
102.99%
-2M
200%
3M
250%
193M
6,333.33%
-690M
457.51%
-6M
99.13%
-4M
33.33%
-9M
125%
10M
211.11%
stock based compensation
76M
-
118M
55.26%
137M
16.10%
120M
12.41%
137M
14.17%
112M
18.25%
99M
11.61%
109M
10.10%
112M
2.75%
145M
29.46%
115M
20.69%
change in working capital
274M
-
-1M
100.36%
-142M
14,100%
464M
426.76%
186M
59.91%
39M
79.03%
-107M
374.36%
118M
210.28%
-144M
222.03%
-643M
346.53%
1.16B
280.72%
accounts receivables
661M
-
4M
99.39%
-2M
150%
464M
23,300%
122M
73.71%
16M
86.89%
204M
1,175%
-127M
162.25%
-42M
66.93%
-374M
790.48%
911M
343.58%
inventory
102M
-
-20M
119.61%
29M
245.00%
145M
400%
-114M
178.62%
-71M
37.72%
80M
212.68%
-166M
307.50%
-64M
61.45%
-361M
464.06%
425M
217.73%
accounts payables
-538M
-
-190M
64.68%
-58M
69.47%
-24M
58.62%
121M
604.17%
65M
46.28%
-268M
512.31%
394M
247.01%
-14M
103.55%
228M
1,728.57%
-421M
284.65%
other working capital
49M
-
205M
318.37%
-111M
154.15%
-121M
9.01%
57M
147.11%
29M
49.12%
-123M
524.14%
17M
113.82%
-24M
241.18%
-136M
466.67%
247M
281.62%
other non cash items
56M
-
59M
5.36%
67M
13.56%
35M
47.76%
69M
97.14%
-11M
115.94%
-94M
754.55%
110M
217.02%
-49M
144.55%
64M
230.61%
-329M
614.06%
net cash provided by operating activities
3.05B
-
2.56B
16.05%
2.65B
3.48%
1.68B
36.53%
1.92B
14.05%
2.11B
10.28%
1.76B
16.66%
1.71B
2.67%
1.63B
5.13%
1.66B
1.91%
942M
43.15%
investments in property plant and equipment
-786M
-
-559M
28.88%
-747M
33.63%
-587M
21.42%
-434M
26.06%
-366M
15.67%
-602M
64.48%
-585M
2.82%
-498M
14.87%
-381M
23.49%
-316M
17.06%
acquisitions net
-36M
-
-285M
691.67%
-453M
58.95%
-634M
39.96%
144M
-
1M
99.31%
4M
300%
381M
9,425%
534M
40.16%
purchases of investments
-351M
-
-88M
74.93%
-5M
94.32%
-37M
-
-1.28B
3,356.76%
-18M
98.59%
-58M
222.22%
-4M
93.10%
-18M
350%
-1M
94.44%
sales maturities of investments
334M
-
641M
91.92%
23M
96.41%
1M
95.65%
6M
500%
1.32B
-
7M
99.47%
32M
357.14%
47M
46.88%
-534M
1,236.17%
other investing activites
14M
-
-31M
321.43%
-105M
238.71%
9M
108.57%
6M
33.33%
57M
850%
-381M
-
534M
240.16%
net cash used for investing activites
-825M
-
-322M
60.97%
-1.29B
299.69%
-1.21B
5.91%
-459M
62.10%
-1.59B
245.97%
846M
153.27%
-635M
175.06%
-466M
26.61%
-352M
24.46%
217M
161.65%
debt repayment
-1.22B
-
-725M
40.77%
-1.03B
41.52%
-22M
97.86%
-316M
1,336.36%
-214M
32.28%
-819M
282.71%
-1.14B
38.83%
-33M
97.10%
-701M
2,024.24%
-1.58B
125.11%
common stock issued
259M
-
107M
58.69%
98M
8.41%
79M
19.39%
86M
8.86%
113M
31.40%
69M
38.94%
1.10B
1,489.86%
1.11B
1.00%
68M
93.86%
68M
0%
common stock repurchased
-1.65B
-
-1.91B
15.60%
-1.09B
43.15%
-1.09B
0.28%
-460M
57.80%
-361M
21.52%
-963M
166.76%
-850M
11.73%
-2.05B
140.82%
-1.80B
12.12%
-408M
77.32%
dividends paid
-518M
-
-557M
7.53%
-664M
19.21%
-727M
9.49%
-561M
22.83%
-726M
29.41%
-713M
1.79%
-673M
5.61%
-649M
3.57%
-610M
6.01%
-582M
4.59%
other financing activites
915M
-
1.78B
94.10%
1.18B
33.33%
-60M
105.07%
1.21B
2,108.33%
-23M
101.91%
214M
1,030.43%
-42M
119.63%
-52M
23.81%
1.14B
2,298.08%
1.51B
32.28%
net cash used provided by financing activities
-2.22B
-
-1.31B
41.00%
-1.50B
14.04%
-1.82B
21.74%
-46M
97.47%
-1.21B
2,532.61%
-2.21B
82.66%
-1.60B
27.44%
-1.67B
4.24%
-1.90B
13.51%
-988M
47.97%
effect of forex changes on cash
1M
-
1M
0%
-20M
2,100%
-3M
85%
-1M
-
-1M
0%
net change in cash
1M
-
926M
92,500%
-155M
116.74%
-1.35B
773.55%
1.41B
204.21%
-686M
148.62%
394M
157.43%
-527M
233.76%
-513M
2.66%
-594M
15.79%
171M
128.79%
cash at beginning of period
1.71B
-
1.71B
0.06%
2.63B
54.22%
2.48B
5.88%
1.13B
54.34%
2.54B
124.65%
1.86B
26.98%
2.25B
21.22%
1.72B
23.41%
1.21B
29.76%
617M
49.05%
cash at end of period
1.71B
-
2.63B
54.22%
2.48B
5.88%
1.13B
54.62%
2.54B
126.04%
1.86B
26.98%
2.25B
21.22%
1.72B
23.41%
1.21B
29.76%
617M
49.05%
788M
27.71%
operating cash flow
3.05B
-
2.56B
16.05%
2.65B
3.48%
1.68B
36.53%
1.92B
14.05%
2.11B
10.28%
1.76B
16.66%
1.71B
2.67%
1.63B
5.13%
1.66B
1.91%
942M
43.15%
capital expenditure
-786M
-
-559M
28.88%
-747M
33.63%
-587M
21.42%
-434M
26.06%
-366M
15.67%
-602M
64.48%
-585M
2.82%
-498M
14.87%
-381M
23.49%
-316M
17.06%
free cash flow
2.26B
-
2.00B
11.59%
1.90B
4.95%
1.09B
42.47%
1.48B
35.59%
1.75B
17.88%
1.16B
33.66%
1.13B
2.59%
1.13B
0.09%
1.28B
13.12%
626M
50.94%

All numbers in USD (except ratios and percentages)