bf/NYSE:ABC_icon.png

NYSE:ABC

AmerisourceBergen Corporation

  • Stock

USD

Last Close

180.39

29/08 20:00

Market Cap

36.15B

Beta: 0.52

Volume Today

806.05K

Avg: 1.18M

PE Ratio

21.56

PFCF: 12.95

Dividend Yield

0.81%

Payout:23.49%

Sep '13
Sep '14
Sep '15
Sep '16
Sep '17
Sep '18
Sep '19
Sep '20
Sep '21
Sep '22
Sep '23
net income
493.44M
-
284.03M
42.44%
-134.89M
147.49%
1.43B
1,158.61%
414.48M
70.97%
1.62B
289.86%
854.13M
47.14%
-3.40B
498.01%
1.54B
145.44%
1.67B
7.89%
1.73B
3.96%
depreciation and amortization
170.79M
-
192.73M
12.85%
249.60M
29.51%
392.17M
57.12%
432.33M
10.24%
510.11M
17.99%
497.51M
2.47%
408.01M
17.99%
514.79M
26.17%
709.84M
37.89%
418.83M
41.00%
deferred income tax
25.57M
-
39.31M
53.72%
22.73M
42.17%
-130.93M
675.93%
319.07M
343.70%
-795.52M
349.33%
28.54M
103.59%
-1.54B
5,513.92%
334.87M
121.67%
196.18M
41.41%
-118.86M
160.59%
stock based compensation
36.27M
-
43.11M
18.83%
60.94M
41.38%
64.99M
6.64%
62.21M
4.29%
62.32M
0.18%
58.87M
5.52%
74.41M
26.39%
99.59M
33.84%
93.40M
6.22%
124.62M
33.43%
change in working capital
-137.99M
-
435.73M
415.77%
2.77B
535.86%
1.23B
55.66%
402.02M
67.27%
-170.72M
142.46%
363.38M
312.85%
6.66B
1,734.01%
367.32M
94.49%
-139.66M
138.02%
1.21B
965.16%
accounts receivables
-2.31B
-
-938.29M
59.43%
-1.48B
57.61%
-912.72M
38.28%
-1.28B
40.01%
-657.77M
48.53%
-1.24B
88.80%
-1.63B
31.17%
-930.08M
42.90%
-1.66B
78.43%
-2.71B
63.41%
inventory
-1.49B
-
-956.51M
35.66%
-836.38M
12.56%
-907.02M
8.45%
-431.45M
52.43%
-4.92M
98.86%
-167.99M
3,312.35%
-1.62B
865.02%
-1.12B
31.14%
-665.37M
40.40%
-2.18B
228.14%
accounts payables
3.82B
-
2.32B
39.30%
5.13B
121.24%
3.01B
41.27%
1.47B
51.07%
859.04M
41.70%
1.56B
81.72%
3.30B
111.45%
2.05B
37.92%
3.32B
62.05%
6.10B
83.80%
other working capital
-157.19M
-
12.93M
108.23%
-41.56M
421.40%
36.67M
188.23%
637.98M
1,639.65%
-367.06M
157.53%
212.21M
157.81%
6.61B
3,016.57%
364.58M
94.49%
-1.14B
411.45%
-1.21B
6.41%
other non cash items
200.04M
-
468.24M
134.08%
951.38M
103.18%
195.90M
79.41%
-141.10M
172.03%
189.31M
234.16%
541.59M
186.08%
4.75M
99.12%
-194.59M
4,196.63%
176.79M
190.85%
-2.06B
1,265.92%
net cash provided by operating activities
788.13M
-
1.46B
85.65%
3.92B
167.94%
3.18B
18.92%
1.49B
53.15%
1.41B
5.21%
2.34B
66.08%
2.21B
5.84%
2.67B
20.82%
2.70B
1.37%
1.30B
51.75%
investments in property plant and equipment
-202.45M
-
-264.46M
30.63%
-231.59M
12.43%
-464.62M
100.62%
-466.40M
0.38%
-336.41M
27.87%
-310.22M
7.78%
-369.68M
19.17%
-438.22M
18.54%
-496.32M
13.26%
-458.36M
7.65%
acquisitions net
329.98M
-
-117.79M
135.70%
-2.63B
2,135.61%
-2.75B
4.44%
-61.65M
97.76%
-785.30M
1,173.84%
-63.95M
91.86%
-56.08M
12.31%
-5.73B
10,109.81%
120.28M
102.10%
purchases of investments
-117.79M
-
-86.21M
26.81%
-19.03M
77.92%
-48.63M
155.52%
13.69M
-
-56.08M
509.58%
sales maturities of investments
264.46M
-
231.59M
12.43%
59.75M
74.20%
26.14M
56.24%
-13.69M
-
369.68M
2,799.95%
other investing activites
-10.27M
-
-148.57M
1,346.61%
-211.54M
42.39%
5.12M
102.42%
52.50M
926.31%
10.60M
79.82%
-1.66M
115.66%
-267.71M
16,036.89%
22.30M
108.33%
7.60M
65.92%
-2.14B
28,311.92%
net cash used for investing activites
117.26M
-
-384.15M
427.61%
-2.93B
663.02%
-3.17B
8.12%
-498.04M
84.28%
-1.11B
123.10%
-375.83M
66.18%
-379.87M
1.07%
-6.14B
1,516.75%
-368.44M
94.00%
-2.60B
606.35%
debt repayment
-2.33B
-
-18.12B
677.51%
-611.10M
96.63%
-9.13B
1,394.63%
-10.09B
10.43%
-22.35M
99.78%
-133.07M
495.46%
-32.01M
75.95%
-5.92B
18,394.17%
-5.91B
0.14%
common stock issued
2.44B
-
18.81B
672.44%
2.30B
87.76%
12.28B
433.66%
9.44B
23.15%
796.50M
91.56%
76.23M
90.43%
66.36M
12.96%
8.33B
12,460.54%
common stock repurchased
-484.18M
-
-753.93M
55.71%
-1.86B
146.59%
-2.27B
21.91%
-329.93M
85.44%
-639.24M
93.75%
-674.03M
5.44%
-420.45M
37.62%
-82.15M
80.46%
-483.70M
488.81%
-1.18B
144.10%
dividends paid
-195.72M
-
-214.47M
9.58%
-253.92M
18.39%
-288.48M
13.61%
-320.27M
11.02%
-333.04M
3.99%
-338.97M
1.78%
-343.58M
1.36%
-366.65M
6.71%
-391.69M
6.83%
-398.75M
1.80%
other financing activites
-166.27M
-
-227.40M
36.77%
-207.64M
8.69%
-28.57M
86.24%
-15.98M
44.05%
-44.75M
179.94%
-16.67M
62.75%
126.06M
856.26%
-13.65M
110.83%
5.03B
36,962.01%
-642.80M
112.77%
net cash used provided by financing activities
-740.99M
-
-501.49M
32.32%
-630.28M
25.68%
565.07M
189.65%
-1.31B
332.33%
-242.87M
81.50%
-1.09B
347.36%
-603.62M
44.44%
1.95B
423.52%
-1.75B
189.76%
-2.22B
26.79%
effect of forex changes on cash
-3.73M
-
-57.85M
1,453.02%
72.76M
225.77%
net change in cash
164.40M
-
577.51M
251.29%
358.93M
37.85%
574.39M
60.03%
-321.85M
156.03%
57.40M
117.83%
881.68M
1,436.00%
1.22B
38.78%
-1.53B
224.85%
523.41M
134.26%
-840.65M
260.61%
cash at beginning of period
1.07B
-
1.23B
15.41%
1.81B
46.91%
2.17B
19.85%
2.74B
26.50%
2.44B
11.19%
2.49B
2.36%
3.37B
35.37%
4.60B
36.26%
3.07B
33.23%
3.59B
17.05%
cash at end of period
1.23B
-
1.81B
46.91%
2.17B
19.85%
2.74B
26.50%
2.42B
11.74%
2.49B
3.00%
3.37B
35.37%
4.60B
36.26%
3.07B
33.23%
3.59B
17.05%
2.75B
23.39%
operating cash flow
788.13M
-
1.46B
85.65%
3.92B
167.94%
3.18B
18.92%
1.49B
53.15%
1.41B
5.21%
2.34B
66.08%
2.21B
5.84%
2.67B
20.82%
2.70B
1.37%
1.30B
51.75%
capital expenditure
-202.45M
-
-264.46M
30.63%
-231.59M
12.43%
-464.62M
100.62%
-466.40M
0.38%
-336.41M
27.87%
-310.22M
7.78%
-369.68M
19.17%
-438.22M
18.54%
-496.32M
13.26%
-458.36M
7.65%
free cash flow
585.67M
-
1.20B
104.67%
3.69B
207.73%
2.71B
26.43%
1.02B
62.32%
1.07B
5.12%
2.03B
89.19%
1.84B
9.66%
2.23B
21.28%
2.21B
0.97%
845.86M
61.67%

All numbers in USD (except ratios and percentages)