bf/NYSE:GXO_icon.jpeg

NYSE:GXO

GXO Logistics, Inc.

  • Stock

USD

Last Close

51.49

25/09 14:39

Market Cap

5.81B

Beta: -

Volume Today

220.59K

Avg: 763.19K

PE Ratio

31.71

PFCF: 24.54

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Mar '20
Jun '20
Sep '20
Dec '20
Mar '21
Jun '21
Sep '21
Dec '21
Mar '22
Jun '22
Sep '22
Dec '22
Mar '23
Jun '23
Sep '23
Dec '23
Mar '24
Jun '24
net income
-10M
-
-65M
550%
23M
135.38%
30M
30.43%
17M
43.33%
14M
17.65%
73M
421.43%
57M
21.92%
38M
33.33%
52M
36.84%
64M
23.08%
46M
28.13%
26M
43.48%
66M
153.85%
68M
3.03%
73M
7.35%
-37M
150.68%
38K
100.10%
depreciation and amortization
76M
-
87M
14.47%
83M
4.60%
77M
7.23%
79M
2.60%
95M
20.25%
85M
10.53%
76M
10.59%
76M
0%
77M
1.32%
89M
15.58%
87M
2.25%
83M
4.60%
84M
1.20%
101M
20.24%
93M
7.92%
92M
1.08%
99K
99.89%
deferred income tax
-15M
-
3M
120%
-3M
-
-10M
233.33%
-7M
30%
-10M
42.86%
-12M
20%
-12M
0%
-2M
83.33%
stock based compensation
6M
-
6M
0%
10M
66.67%
8M
20%
9M
12.50%
9M
0%
9M
0%
7M
22.22%
10M
42.86%
8K
99.92%
change in working capital
-15M
-
92M
713.33%
46M
50%
-89M
293.48%
-53M
40.45%
-16M
69.81%
-7M
56.25%
79M
1,228.57%
-81M
202.53%
18M
122.22%
-37M
305.56%
104M
381.08%
-81M
177.88%
-89M
9.88%
73M
182.02%
44M
39.73%
accounts receivables
77M
-
-3M
103.90%
-70M
2,233.33%
-126M
80%
3M
102.38%
-12M
500%
-109M
808.33%
-125M
14.68%
-33M
73.60%
13M
139.39%
-2M
115.38%
-49M
2,350%
57M
216.33%
-86M
250.88%
6M
106.98%
6M
0%
70M
1,066.67%
inventory
accounts payables
-31M
-
-61M
96.77%
29M
147.54%
50M
72.41%
-17M
134%
-23M
35.29%
32M
239.13%
122M
281.25%
-39M
131.97%
-17M
56.41%
-12M
29.41%
113M
1,041.67%
-49M
143.36%
-58M
18.37%
38M
165.52%
66M
73.68%
-106M
260.61%
other working capital
-61M
-
156M
355.74%
87M
44.23%
-13M
114.94%
-39M
200%
19M
148.72%
70M
268.42%
82M
17.14%
-9M
110.98%
22M
344.44%
-23M
204.55%
40M
273.91%
-89M
322.50%
55M
161.80%
29M
47.27%
-28M
196.55%
10M
135.71%
other non cash items
-10M
-
36M
460.00%
2M
94.44%
-30M
1,600%
4M
113.33%
6M
50%
-46M
866.67%
1M
102.17%
4M
300%
-3M
175%
-5M
66.67%
-10M
100%
9M
190%
1M
88.89%
6M
500%
7M
16.67%
217M
3,000%
net cash provided by operating activities
41M
-
150M
265.85%
154M
2.67%
-12M
107.79%
47M
491.67%
99M
110.64%
105M
6.06%
204M
94.29%
46M
77.45%
154M
234.78%
116M
24.68%
226M
94.83%
39M
82.74%
61M
56.41%
243M
298.36%
215M
11.52%
50M
76.74%
investments in property plant and equipment
-48M
-
-54M
12.50%
-57M
5.56%
-63M
10.53%
-67M
6.35%
-52M
22.39%
-61M
17.31%
-70M
14.75%
-65M
7.14%
-89M
36.92%
-85M
4.49%
-103M
21.18%
-91M
11.65%
-59M
35.16%
-55M
6.78%
-69M
25.45%
-73M
5.80%
acquisitions net
32M
-
-874M
-
16M
101.83%
-2M
112.50%
9M
550%
1M
88.89%
3M
200%
-144M
4,900%
purchases of investments
-32M
-
sales maturities of investments
16M
-
-5M
131.25%
other investing activites
11M
-
-3M
127.27%
-12M
300%
-54M
350%
29M
153.70%
19M
34.48%
-8M
142.11%
-29M
262.50%
21M
172.41%
4M
80.95%
32M
700%
17M
46.88%
-5M
-
-15M
200%
net cash used for investing activites
-37M
-
-57M
54.05%
-69M
21.05%
-117M
69.57%
-38M
67.52%
-33M
13.16%
-69M
109.09%
-67M
2.90%
-44M
34.33%
-959M
2,079.55%
-53M
94.47%
-93M
75.47%
-82M
11.83%
-58M
29.27%
-52M
10.34%
-218M
319.23%
-82M
62.39%
debt repayment
-62M
-
-9M
85.48%
-14M
55.56%
-38M
171.43%
-51M
34.21%
-30M
41.18%
-4M
86.67%
-13M
225%
-9M
30.77%
-6M
33.33%
-8M
33.33%
-92M
1,050%
-29M
68.48%
-125M
331.03%
-9M
92.80%
-6M
33.33%
-8M
33.33%
common stock issued
203M
-
1M
-
common stock repurchased
-4M
-
-4M
0%
-2M
50%
dividends paid
-4M
-
other financing activites
143M
-
-38M
126.57%
8M
121.05%
77M
862.50%
131M
70.13%
-128M
197.71%
-83M
35.16%
-63M
24.10%
-9M
85.71%
690M
7,766.67%
2M
99.71%
23M
1,050%
4M
82.61%
1M
75%
-6M
700%
-10M
66.67%
net cash used provided by financing activities
81M
-
-47M
158.02%
-6M
87.23%
39M
750%
80M
105.13%
-158M
297.50%
-87M
44.94%
-76M
12.64%
-18M
76.32%
887M
5,027.78%
-6M
100.68%
-76M
1,166.67%
-29M
61.84%
-126M
334.48%
-15M
88.10%
-16M
6.67%
-8M
50%
effect of forex changes on cash
-13M
-
3M
123.08%
9M
200%
9M
0%
-3M
133.33%
4M
233.33%
-3M
-
-5M
66.67%
-10M
100%
-7M
30%
4M
157.14%
3M
25%
2M
33.33%
-7M
450%
15M
314.29%
-5K
100.03%
net change in cash
72M
-
49M
31.94%
88M
79.59%
-81M
192.05%
86M
206.17%
-88M
202.33%
-51M
42.05%
58M
213.73%
-21M
136.21%
72M
442.86%
50M
30.56%
61M
22%
-69M
213.11%
-121M
75.36%
169M
239.67%
-5M
102.96%
-467.57M
9,251.50%
cash at beginning of period
200M
-
272M
36%
321M
18.01%
409M
27.41%
328M
19.80%
414M
26.22%
326M
21.26%
275M
15.64%
333M
21.09%
312M
6.31%
384M
23.08%
434M
13.02%
495M
14.06%
426M
13.94%
305M
28.40%
473M
55.08%
468M
1.06%
cash at end of period
272M
-
321M
18.01%
409M
27.41%
328M
19.80%
414M
26.22%
326M
21.26%
275M
15.64%
333M
21.09%
312M
6.31%
384M
23.08%
434M
13.02%
495M
14.06%
426M
13.94%
305M
28.40%
474M
55.41%
468M
1.27%
425K
99.91%
operating cash flow
41M
-
150M
265.85%
154M
2.67%
-12M
107.79%
47M
491.67%
99M
110.64%
105M
6.06%
204M
94.29%
46M
77.45%
154M
234.78%
116M
24.68%
226M
94.83%
39M
82.74%
61M
56.41%
243M
298.36%
215M
11.52%
50M
76.74%
capital expenditure
-48M
-
-54M
12.50%
-57M
5.56%
-63M
10.53%
-67M
6.35%
-52M
22.39%
-61M
17.31%
-70M
14.75%
-65M
7.14%
-89M
36.92%
-85M
4.49%
-103M
21.18%
-91M
11.65%
-59M
35.16%
-55M
6.78%
-69M
25.45%
-73M
5.80%
free cash flow
-7M
-
96M
1,471.43%
97M
1.04%
-75M
177.32%
-20M
73.33%
47M
335%
44M
6.38%
134M
204.55%
-19M
114.18%
65M
442.11%
31M
52.31%
123M
296.77%
-52M
142.28%
2M
103.85%
188M
9,300%
146M
22.34%
-23M
115.75%

All numbers in USD (except ratios and percentages)