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NASDAQ:ZM

Zoom Video Communications, Inc.

  • Stock

USD

Last Close

61.23

09/05 20:00

Market Cap

20.62B

Beta: −0.22

Volume Today

2.52M

Avg: 3.95M

PE Ratio

81.82

PFCF: 14.61

Jan '17
Jan '18
Jan '19
Jan '20
Jan '21
Jan '22
Jan '23
Jan '24
net income
-14K
-
-3.82M
27,200%
7.58M
298.43%
25.30M
233.66%
672.32M
2,556.85%
1.38B
104.61%
103.71M
92.46%
637.46M
514.65%
depreciation and amortization
1.22M
-
2.79M
128.55%
7.01M
151.54%
16.45M
134.72%
28.86M
75.43%
48.19M
66.99%
82.32M
70.83%
104.45M
26.88%
deferred income tax
333K
-
727K
118.32%
1.95M
168.64%
6.37M
226.16%
32.01M
402.46%
-327.96M
1,124.64%
-160.96M
50.92%
-116.68M
27.51%
stock based compensation
1.04M
-
10.33M
894.13%
8.94M
13.44%
73.11M
717.68%
275.82M
277.27%
477.29M
73.04%
1.29B
169.39%
1.06B
17.78%
change in working capital
3.65M
-
288K
92.11%
4.97M
1,625.69%
-12.26M
346.66%
319.85M
2,709.12%
-186.45M
158.29%
-412.84M
121.41%
-254.62M
38.32%
accounts receivables
-5.88M
-
-16.56M
181.54%
-41.04M
147.83%
-64.72M
57.69%
-219.04M
238.47%
-159.18M
27.33%
-231.84M
45.65%
53.27M
122.98%
inventory
5.18M
-
11.57M
123.28%
19.44M
68.02%
20.91M
7.60%
176.75M
745.15%
-42.10M
-
accounts payables
537K
-
1.25M
133.52%
832K
33.65%
-2.03M
343.99%
3.48M
271.48%
-2.22M
163.72%
11.61M
623.49%
-4.42M
138.03%
other working capital
3.81M
-
4.03M
5.53%
25.74M
539.39%
33.57M
30.42%
358.66M
968.32%
-25.05M
106.99%
-192.60M
668.78%
-261.38M
35.71%
other non cash items
3.13M
-
9.12M
191.03%
20.88M
128.95%
42.92M
105.59%
142.33M
231.63%
218.56M
53.56%
392.28M
79.48%
171.06M
56.39%
net cash provided by operating activities
9.36M
-
19.43M
107.52%
51.33M
164.24%
151.89M
195.90%
1.47B
868.57%
1.61B
9.11%
1.29B
19.62%
1.60B
23.92%
investments in property plant and equipment
-4.82M
-
-9.74M
101.87%
-30.45M
212.69%
-38.23M
25.53%
-85.81M
124.50%
-145.61M
69.68%
-115.09M
20.96%
-126.95M
10.30%
acquisitions net
2.02M
-
-3M
248.66%
-34.49M
1,049.53%
-3.50M
89.85%
-120.55M
3,343.39%
-204.92M
69.98%
purchases of investments
-143.33M
-
-78.02M
45.57%
-800.23M
925.72%
-2.06B
156.99%
-4.74B
130.49%
-2.92B
38.43%
-4.15B
42.37%
sales maturities of investments
39.71M
-
68.75M
73.12%
343.55M
399.74%
617.69M
79.79%
2.03B
228.63%
2.84B
39.67%
3.30B
16.49%
other investing activites
2M
-
-2.02M
-
-1.57M
22.25%
-3.34M
112.94%
300K
-
net cash used for investing activites
-2.82M
-
-113.36M
3,914.06%
-39.72M
64.96%
-499.47M
1,157.50%
-1.56B
212.82%
-2.86B
82.99%
-318.32M
88.87%
-1.18B
271.85%
debt repayment
-120K
-
-92K
23.33%
common stock issued
542.49M
-
1.98B
264.84%
73.73M
96.27%
53.71M
27.16%
64.29M
19.70%
common stock repurchased
-14.97M
-
-4.61M
69.20%
15.48M
-
38.43M
148.24%
59.33M
54.38%
-1.00B
1,785.46%
54.10M
105.41%
dividends paid
other financing activites
115.23M
-
733K
99.36%
17.63M
2,304.64%
57.72M
227.45%
32.64M
43.45%
-99.00M
403.32%
9.35M
109.45%
-58.20M
722.43%
net cash used provided by financing activities
100.27M
-
-4.00M
103.99%
17.53M
538.68%
615.69M
3,411.41%
2.05B
233.00%
34.07M
98.34%
-936.94M
2,850.21%
60.19M
106.42%
effect of forex changes on cash
-8.11M
-
-10.20M
25.75%
net change in cash
106.80M
-
-97.93M
191.69%
29.15M
129.76%
268.11M
819.87%
1.96B
630.67%
-1.22B
162.26%
26.89M
102.20%
465.14M
1,629.78%
cash at beginning of period
27.95M
-
134.75M
382.19%
36.82M
72.67%
65.97M
79.16%
334.08M
406.43%
2.29B
586.39%
1.07B
53.19%
1.10B
2.51%
cash at end of period
134.75M
-
36.82M
72.67%
65.97M
79.16%
334.08M
406.43%
2.29B
586.39%
1.07B
53.19%
1.10B
2.51%
1.57B
42.28%
operating cash flow
9.36M
-
19.43M
107.52%
51.33M
164.24%
151.89M
195.90%
1.47B
868.57%
1.61B
9.11%
1.29B
19.62%
1.60B
23.92%
capital expenditure
-4.82M
-
-9.74M
101.87%
-30.45M
212.69%
-38.23M
25.53%
-85.81M
124.50%
-145.61M
69.68%
-115.09M
20.96%
-126.95M
10.30%
free cash flow
4.54M
-
9.69M
113.53%
20.88M
115.55%
113.67M
444.33%
1.39B
1,118.79%
1.46B
5.36%
1.18B
19.49%
1.47B
25.25%

All numbers in USD (except ratios and percentages)