bf/NYSE:APH_icon.png

NYSE:APH

Amphenol Corporation

  • Stock

USD

Last Close

121.00

03/05 20:00

Market Cap

60.26B

Beta: 1.24

Volume Today

2.81M

Avg: 2.56M

PE Ratio

31.98

PFCF: 28.61

Dividend Yield

0.82%

Payout:25.96%

Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
638.75M
-
715.20M
11.97%
772.30M
7.98%
832.60M
7.81%
660.70M
20.65%
1.22B
84.18%
1.16B
4.35%
1.21B
4.24%
1.58B
30.23%
1.92B
21.31%
1.95B
1.50%
depreciation and amortization
136.48M
-
168.10M
23.17%
171.60M
2.08%
217M
26.46%
226.80M
4.52%
299.70M
32.14%
312.10M
4.14%
308.10M
1.28%
395.60M
28.40%
392.90M
0.68%
406.40M
3.44%
deferred income tax
-3.08M
-
-6.10M
98.25%
-8.80M
44.26%
-9.70M
10.23%
186.30M
2,020.62%
-12M
106.44%
15.20M
226.67%
30.80M
102.63%
-29.60M
196.10%
-4.70M
84.12%
-58.80M
1,151.06%
stock based compensation
36.07M
-
41.40M
14.78%
44.20M
6.76%
47.60M
7.69%
49.70M
4.41%
55.60M
11.87%
63M
13.31%
70.50M
11.90%
83M
17.73%
89.50M
7.83%
99M
10.61%
change in working capital
-21.20M
-
-11.50M
45.77%
58.60M
609.57%
24.80M
57.68%
20.70M
16.53%
-447.50M
2,261.84%
-66.30M
85.18%
-31.30M
52.79%
-505.20M
1,514.06%
-219.90M
56.47%
142M
164.57%
accounts receivables
-37.05M
-
-111.50M
200.98%
-22.30M
80%
-165.90M
643.95%
-146.50M
11.69%
-237.90M
62.39%
117.30M
149.31%
-146.30M
224.72%
-398.40M
172.32%
-273.10M
31.45%
146.40M
153.61%
inventory
-8.00M
-
-51.60M
545.24%
-5.20M
89.92%
-14.20M
173.08%
-100.40M
607.04%
-173.30M
72.61%
-3.40M
98.04%
-102M
2,900%
-263M
157.84%
-278.50M
5.89%
71.40M
125.64%
accounts payables
6.91M
-
66.80M
866.99%
-17.50M
126.20%
47.80M
373.14%
140.50M
193.93%
48.80M
65.27%
-60.20M
223.36%
204.30M
439.37%
131.70M
35.54%
62.50M
52.54%
-34.60M
155.36%
other working capital
16.93M
-
84.80M
400.89%
103.60M
22.17%
157.10M
51.64%
127.10M
19.10%
-85.10M
166.96%
-120M
41.01%
12.70M
110.58%
24.50M
92.91%
269.20M
998.78%
-41.20M
115.30%
other non cash items
-17.97M
-
-26.20M
45.81%
-7.40M
71.76%
-34.70M
368.92%
14.30M
-
600K
95.80%
16.20M
2,600%
-5.40M
-
net cash provided by operating activities
769.05M
-
880.90M
14.54%
1.03B
16.98%
1.08B
4.57%
1.14B
6.18%
1.11B
2.75%
1.50B
35.01%
1.59B
5.97%
1.54B
3.26%
2.17B
41.20%
2.53B
16.28%
investments in property plant and equipment
-158.45M
-
-209.10M
31.97%
-172.10M
17.69%
-190.80M
10.87%
-226.60M
18.76%
-310.60M
37.07%
-295M
5.02%
-276.80M
6.17%
-360.40M
30.20%
-383.80M
6.49%
-372.80M
2.87%
acquisitions net
-484.91M
-
-518.20M
6.87%
-199.80M
61.44%
-1.31B
553.20%
-265.50M
79.66%
-158.90M
40.15%
-937.40M
489.93%
-50.40M
94.62%
-2.23B
4,315.48%
-288.20M
87.05%
-970.40M
236.71%
purchases of investments
-741.06M
-
-721M
2.71%
-134.70M
81.32%
-232.40M
72.53%
-40.20M
82.70%
-52.20M
29.85%
-65.40M
25.29%
-141.60M
116.51%
-164.50M
16.17%
-309.40M
88.09%
-305.70M
1.20%
sales maturities of investments
687.39M
-
660.80M
3.87%
470.60M
28.78%
108.50M
76.94%
148M
36.41%
74.90M
49.39%
61.60M
17.76%
123.20M
100%
155.90M
26.54%
228.20M
46.38%
246.30M
7.93%
other investing activites
3.71M
-
5.60M
50.86%
8.70M
55.36%
7.10M
18.39%
4.10M
42.25%
5M
21.95%
7.40M
48%
12.10M
63.51%
706.90M
5,742.15%
22.10M
96.87%
8.90M
59.73%
net cash used for investing activites
-693.31M
-
-781.90M
12.78%
-27.30M
96.51%
-1.61B
5,807.33%
-380.20M
76.42%
-441.80M
16.20%
-1.23B
178.13%
-333.50M
72.86%
-1.89B
465.97%
-731.10M
61.27%
-1.39B
90.63%
debt repayment
-620.37M
-
-3.90B
529.30%
-217.70M
94.42%
-375M
-
-15.20M
95.95%
-1.11B
7,212.50%
-2.36B
112.17%
-912.60M
61.30%
-214.50M
76.50%
-648.30M
202.24%
common stock issued
1.14B
-
4.54B
299.62%
435.70M
90.41%
1.09B
-
157.80M
85.49%
1.42B
797.28%
2.90B
104.49%
1.81B
37.55%
185.30M
89.75%
749.40M
304.43%
common stock repurchased
-324.65M
-
-539.40M
66.15%
-248.90M
53.86%
-325.80M
30.90%
-618M
89.69%
-935.20M
51.33%
-601.70M
35.66%
-641.30M
6.58%
-661.70M
3.18%
-730.50M
10.40%
-585.10M
19.90%
dividends paid
-96.77M
-
-101.90M
5.30%
-159.30M
56.33%
-172.70M
8.41%
-205M
18.70%
-253.70M
23.76%
-279.50M
10.17%
-297.60M
6.48%
-346.70M
16.50%
-477.40M
37.70%
-500.60M
4.86%
other financing activites
13.85M
-
17.60M
27.10%
10.10M
42.61%
365M
3,513.86%
-29.60M
108.11%
-23.80M
19.59%
-71.60M
200.84%
-114.80M
60.34%
-32.30M
71.86%
40.40M
225.08%
-27.80M
168.81%
net cash used provided by financing activities
108.59M
-
14.10M
87.02%
-180.10M
1,377.30%
-133.50M
25.87%
-140.10M
4.94%
-1.07B
663.81%
-648.40M
39.41%
-516.60M
20.33%
-145.20M
71.89%
-1.20B
724.17%
-1.01B
15.40%
effect of forex changes on cash
11.66M
-
-31M
365.80%
-54.80M
76.77%
-34M
37.96%
60.60M
278.24%
-40.60M
167.00%
-13.20M
67.49%
68.90M
621.97%
-12.30M
117.85%
-70.80M
475.61%
-20.70M
70.76%
net change in cash
195.99M
-
82.10M
58.11%
768.30M
835.81%
-702.60M
191.45%
684.50M
197.42%
-439.80M
164.25%
-388.10M
11.76%
810.80M
308.92%
-504.90M
162.27%
176M
134.86%
101.90M
42.10%
cash at beginning of period
690.85M
-
886.80M
28.36%
968.90M
9.26%
1.74B
79.30%
1.03B
40.44%
1.72B
66.16%
1.28B
25.58%
891.20M
30.34%
1.70B
90.98%
1.20B
29.67%
1.37B
14.70%
cash at end of period
886.84M
-
968.90M
9.25%
1.74B
79.30%
1.03B
40.44%
1.72B
66.16%
1.28B
25.58%
891.20M
30.34%
1.70B
90.98%
1.20B
29.67%
1.37B
14.70%
1.48B
7.42%
operating cash flow
769.05M
-
880.90M
14.54%
1.03B
16.98%
1.08B
4.57%
1.14B
6.18%
1.11B
2.75%
1.50B
35.01%
1.59B
5.97%
1.54B
3.26%
2.17B
41.20%
2.53B
16.28%
capital expenditure
-158.45M
-
-209.10M
31.97%
-172.10M
17.69%
-190.80M
10.87%
-226.60M
18.76%
-310.60M
37.07%
-295M
5.02%
-276.80M
6.17%
-360.40M
30.20%
-383.80M
6.49%
-372.80M
2.87%
free cash flow
610.60M
-
671.80M
10.02%
858.40M
27.78%
886.80M
3.31%
917.60M
3.47%
802.10M
12.59%
1.21B
50.52%
1.32B
8.94%
1.18B
10.30%
1.79B
51.80%
2.16B
20.39%

All numbers in USD (except ratios and percentages)