bf/NYSE:DGX_icon.png

NYSE:DGX

Quest Diagnostics Incorporated

  • Stock

USD

Last Close

142.43

17/05 20:00

Market Cap

16.03B

Beta: 0.94

Volume Today

1.37M

Avg: 1.14M

PE Ratio

16.23

PFCF: 23.35

Dividend Yield

2.29%

Payout:36.18%

Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
883M
-
592M
32.96%
753M
27.20%
696M
7.57%
824M
18.39%
788M
4.37%
906M
14.97%
1.50B
65.45%
2.08B
38.76%
1.01B
51.20%
850M
16.26%
depreciation and amortization
283M
-
314M
10.95%
304M
3.18%
249M
18.09%
270M
8.43%
309M
14.44%
329M
6.47%
361M
9.73%
408M
13.02%
437M
7.11%
439M
0.46%
deferred income tax
19M
-
23M
21.05%
112M
386.96%
37M
66.96%
9M
75.68%
73M
711.11%
15M
79.45%
85M
466.67%
-57M
167.06%
1M
101.75%
-49M
5,000%
stock based compensation
28M
-
51M
82.14%
52M
1.96%
69M
32.69%
79M
14.49%
61M
22.78%
56M
8.20%
97M
73.21%
79M
18.56%
77M
2.53%
77M
0%
change in working capital
-372M
-
-326M
12.37%
-375M
15.03%
-166M
55.73%
-316M
90.36%
-49M
84.49%
35M
171.43%
22M
37.14%
87M
295.45%
119M
36.78%
-145M
221.85%
accounts receivables
-247M
-
-312M
26.32%
-262M
16.03%
-343M
30.92%
-298M
13.12%
-65M
78.19%
-63M
3.08%
-455M
622.22%
81M
117.80%
246M
203.70%
-15M
106.10%
inventory
-93M
-
-84M
9.68%
-41M
51.19%
42M
202.44%
16M
61.90%
4M
75%
29M
625%
-20M
-
accounts payables
-21M
-
68M
423.81%
-31M
145.59%
56M
280.65%
-8M
114.29%
-19M
137.50%
73M
484.21%
452M
519.18%
35M
92.26%
-149M
525.71%
-55M
63.09%
other working capital
-11M
-
2M
118.18%
-41M
2,150%
79M
292.68%
-26M
132.91%
31M
219.23%
-4M
112.90%
3M
175%
-9M
400%
22M
344.44%
-75M
440.91%
other non cash items
-189M
-
284M
250.26%
-36M
112.68%
184M
611.11%
309M
67.93%
18M
94.17%
-98M
644.44%
-59M
39.80%
-364M
516.95%
69M
118.96%
100M
44.93%
net cash provided by operating activities
652M
-
938M
43.87%
810M
13.65%
1.07B
31.98%
1.18B
9.92%
1.20B
2.13%
1.24B
3.58%
2.00B
61.30%
2.23B
11.37%
1.72B
23.06%
1.27B
25.96%
investments in property plant and equipment
-231M
-
-308M
33.33%
-263M
14.61%
-293M
11.41%
-252M
13.99%
-383M
51.98%
-400M
4.44%
-418M
4.50%
-403M
3.59%
-404M
0.25%
-408M
0.99%
acquisitions net
83M
-
-728M
977.11%
-100M
86.26%
131M
231%
-555M
523.66%
-419M
24.50%
-58M
86.16%
-330M
468.97%
424M
228.48%
-144M
133.96%
-611M
324.31%
purchases of investments
231M
-
308M
33.33%
263M
14.61%
293M
11.41%
252M
13.99%
383M
51.98%
-44M
111.49%
-27M
38.64%
-3M
88.89%
-5M
66.67%
sales maturities of investments
2M
-
11M
450%
1M
90.91%
10M
900%
2M
80%
1M
50%
400M
39,900%
418M
4.50%
403M
3.59%
5M
98.76%
other investing activites
243M
-
-308M
226.75%
-263M
14.61%
-293M
11.41%
-252M
13.99%
-383M
51.98%
-309M
19.32%
-415M
34.30%
-400M
3.61%
5M
101.25%
-42M
940%
net cash used for investing activites
328M
-
-1.02B
412.50%
-362M
64.68%
-152M
58.01%
-805M
429.61%
-801M
0.50%
-411M
48.69%
-772M
87.83%
21M
102.72%
-543M
2,685.71%
-1.06B
95.40%
debt repayment
-900M
-
-1.65B
83%
-2.54B
54.04%
-1.72B
32.05%
-182M
89.44%
-1.97B
980.22%
-1.45B
26.30%
-1.55B
7.25%
-2M
99.87%
-2M
0%
-748M
37,300%
common stock issued
1.03B
-
2.10B
102.71%
2.51B
19.90%
1.94B
22.72%
335M
82.75%
2.19B
553.43%
2.40B
9.64%
938M
60.92%
129M
86.25%
123M
4.65%
72M
41.46%
common stock repurchased
-1.04B
-
-132M
87.27%
-224M
69.70%
-590M
163.39%
-465M
21.19%
-322M
30.75%
-353M
9.63%
-325M
7.93%
-2.20B
576.62%
-1.41B
35.97%
-275M
80.47%
dividends paid
-185M
-
-187M
1.08%
-212M
13.37%
-223M
5.19%
-247M
10.76%
-266M
7.69%
-286M
7.52%
-297M
3.85%
-309M
4.04%
-305M
1.29%
-314M
2.95%
other financing activites
-18M
-
-38M
111.11%
-47M
23.68%
-96M
104.26%
-33M
65.63%
-36M
9.09%
-87M
141.67%
-29M
66.67%
-159M
448.28%
-140M
11.95%
1.43B
1,117.86%
net cash used provided by financing activities
-1.11B
-
92M
108.32%
-507M
651.09%
-691M
36.29%
-592M
14.33%
-401M
32.26%
225M
156.11%
-1.27B
663.11%
-2.54B
100.47%
-1.73B
31.81%
160M
109.24%
effect of forex changes on cash
17M
-
net change in cash
-109M
-
5M
104.59%
-59M
1,280%
226M
483.05%
-222M
198.23%
-2M
99.10%
1.06B
52,950%
-34M
103.22%
-286M
741.18%
-557M
94.76%
371M
166.61%
cash at beginning of period
296M
-
187M
36.82%
192M
2.67%
133M
30.73%
359M
169.92%
137M
61.84%
135M
1.46%
1.19B
782.96%
1.16B
2.85%
872M
24.70%
315M
63.88%
cash at end of period
187M
-
192M
2.67%
133M
30.73%
359M
169.92%
137M
61.84%
135M
1.46%
1.19B
782.96%
1.16B
2.85%
872M
24.70%
315M
63.88%
686M
117.78%
operating cash flow
652M
-
938M
43.87%
810M
13.65%
1.07B
31.98%
1.18B
9.92%
1.20B
2.13%
1.24B
3.58%
2.00B
61.30%
2.23B
11.37%
1.72B
23.06%
1.27B
25.96%
capital expenditure
-231M
-
-308M
33.33%
-263M
14.61%
-293M
11.41%
-252M
13.99%
-383M
51.98%
-400M
4.44%
-418M
4.50%
-403M
3.59%
-404M
0.25%
-408M
0.99%
free cash flow
421M
-
630M
49.64%
547M
13.17%
776M
41.86%
923M
18.94%
817M
11.48%
843M
3.18%
1.59B
88.26%
1.83B
15.31%
1.31B
28.20%
864M
34.25%

All numbers in USD (except ratios and percentages)