bf/NYSE:IGT_icon.jpeg

NYSE:IGT

International Game Technology PLC

  • Stock

USD

Last Close

20.16

26/07 20:00

Market Cap

4.04B

Beta: 1.88

Volume Today

6.04M

Avg: 1.27M

PE Ratio

29.10

PFCF: 9.86

Dividend Yield

3.11%

Payout:90.40%

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
Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
533.12M
-
349.70M
34.40%
-89.03M
125.46%
264.21M
396.77%
-947.51M
458.62%
-86.37M
90.88%
111.66M
229.28%
-875.40M
884.01%
255M
129.13%
351M
37.65%
307M
12.54%
depreciation and amortization
613.62M
-
554.38M
9.65%
784.05M
41.43%
882.47M
12.55%
802.44M
9.07%
712.84M
11.17%
713.46M
0.09%
776.63M
8.85%
742M
4.46%
732M
1.35%
523M
28.55%
deferred income tax
-231.82M
-
-196.40M
15.28%
63.09M
132.12%
53.68M
14.90%
-296.26M
651.87%
-40.42M
86.36%
-68.29M
68.95%
-78.21M
14.52%
38M
148.59%
-77M
302.63%
21M
127.27%
stock based compensation
11.89M
-
9.45M
20.56%
46.35M
390.70%
26.35M
43.16%
4.70M
82.15%
22.90M
386.73%
26.51M
15.80%
-6.88M
125.94%
35M
608.94%
41M
17.14%
41M
0%
change in working capital
-206.69M
-
117.60M
156.90%
-146.77M
224.80%
-259.57M
76.86%
-269.78M
3.93%
-1.13B
319.73%
52.12M
104.60%
125.88M
141.50%
-103M
181.83%
-152M
47.57%
-148M
2.63%
accounts receivables
-149.95M
-
154.72M
203.18%
83.22M
46.21%
-23.76M
128.55%
45.47M
291.37%
-54.36M
219.56%
-7.18M
86.79%
73.58M
1,124.76%
-95M
229.11%
45M
147.37%
95M
111.11%
inventory
19.92M
-
4.03M
79.78%
72K
98.21%
-61.03M
84,858.33%
51.41M
184.24%
12.56M
75.57%
84.47M
572.76%
16.63M
80.32%
-13M
178.18%
-65M
400%
-59M
9.23%
accounts payables
-62.44M
-
-481.54K
99.23%
-61.59M
12,689.15%
-27.12M
55.96%
-3.03M
88.82%
-39.20M
1,193.40%
7.18M
118.31%
4.59M
36.00%
-36M
883.46%
-2M
94.44%
48M
2,500%
other working capital
-14.21M
-
-40.66M
186.10%
-168.47M
314.35%
-147.66M
12.35%
-363.62M
146.25%
-1.05B
189.13%
-32.35M
96.92%
31.08M
196.06%
41M
31.93%
-130M
417.07%
-232M
78.46%
other non cash items
241.31M
-
357.70M
48.23%
486.68M
36.06%
18.20M
96.26%
1.39B
7,548.12%
532.07M
61.79%
257.68M
51.57%
923.62M
258.44%
11M
98.81%
103M
836.36%
296M
187.38%
net cash provided by operating activities
961.43M
-
1.19B
24.03%
1.14B
4.03%
985.34M
13.90%
685.93M
30.39%
8.65M
98.74%
1.09B
12,530.10%
865.63M
20.81%
978M
12.98%
998M
2.04%
1.04B
4.21%
investments in property plant and equipment
-454.54M
-
-272.97M
39.95%
-402.63M
47.50%
-557.24M
38.40%
-698.01M
25.26%
-533.05M
23.63%
-442.08M
17.07%
-254.69M
42.39%
-238M
6.55%
-317M
33.19%
-399M
25.87%
acquisitions net
-37.93M
-
-31.90M
15.91%
-3.24B
10,062.45%
557.24M
117.19%
823.79M
47.83%
26.57M
-
-14.95M
156.26%
-94M
528.93%
334M
455.32%
purchases of investments
-27.34M
-
-6.80M
-
-2.60M
61.82%
sales maturities of investments
-148.87M
-
36.22M
-
16.57M
54.26%
other investing activites
197.02M
-
15.08M
92.35%
260.21M
1,625.72%
-1.03B
497.35%
172.89M
116.72%
17.50M
89.88%
103.33M
490.38%
1.06M
98.97%
968M
90,877.44%
150M
84.50%
6M
96%
net cash used for investing activites
-471.67M
-
-289.78M
38.56%
-3.35B
1,057.56%
-1.02B
69.59%
298.67M
129.28%
-515.55M
272.62%
-312.19M
39.45%
-268.57M
13.97%
636M
336.81%
167M
73.74%
-393M
335.33%
debt repayment
-142.20M
-
-1.38B
867.51%
-2.82B
104.67%
-326.92M
88.39%
-1.79B
448.48%
-1.95B
8.74%
-1.31B
32.94%
-946.24M
27.64%
-2.98B
215.04%
-657M
77.96%
-804M
22.37%
common stock issued
772.31M
-
6.17B
698.54%
1.41B
-
common stock repurchased
-48.90M
-
-407.76M
733.91%
-41M
-
-115M
180.49%
dividends paid
-173.88M
-
-158.72M
8.72%
-209.59M
32.05%
-161.18M
23.10%
-162.53M
0.84%
-163.24M
0.44%
-163.50M
0.16%
-40.89M
74.99%
-41M
0.28%
-161M
292.68%
-160M
0.62%
other financing activites
-206.51M
-
-283.49M
37.27%
-179.22M
36.78%
175.96M
198.18%
1.71B
871.05%
1.80B
5.44%
1.09B
39.23%
549.27M
49.83%
-242M
144.06%
-174M
28.10%
326M
287.36%
net cash used provided by financing activities
-522.60M
-
-1.09B
109.46%
2.55B
333.39%
-312.14M
112.22%
-246.97M
20.88%
-311.55M
26.15%
-376.27M
20.78%
-437.86M
16.37%
-1.90B
333.47%
-1.11B
41.68%
-638M
42.37%
effect of forex changes on cash
-17.77M
-
-82.69K
99.53%
-34.26M
41,334.85%
13.40M
139.12%
25.70M
91.78%
11.69M
54.52%
-22.20M
289.86%
75.77M
441.35%
-37M
148.83%
-58M
56.76%
-11M
81.03%
net change in cash
-50.60M
-
-192.05M
279.54%
310.38M
261.61%
-333.39M
207.41%
763.32M
328.96%
-806.75M
205.69%
382.47M
147.41%
234.97M
38.57%
-321M
236.61%
-1M
99.69%
-1M
0%
cash at beginning of period
629.35M
-
509.65M
19.02%
317.11M
37.78%
627.48M
97.88%
294.09M
53.13%
1.06B
259.55%
511.78M
51.60%
894.25M
74.73%
1.13B
26.25%
591M
47.65%
740M
25.21%
cash at end of period
578.75M
-
317.60M
45.12%
627.48M
97.57%
294.09M
53.13%
1.06B
259.55%
250.67M
76.29%
894.25M
256.75%
1.13B
26.28%
808M
28.45%
590M
26.98%
739M
25.25%
operating cash flow
961.43M
-
1.19B
24.03%
1.14B
4.03%
985.34M
13.90%
685.93M
30.39%
8.65M
98.74%
1.09B
12,530.10%
865.63M
20.81%
978M
12.98%
998M
2.04%
1.04B
4.21%
capital expenditure
-454.54M
-
-272.97M
39.95%
-402.63M
47.50%
-557.24M
38.40%
-698.01M
25.26%
-533.05M
23.63%
-442.08M
17.07%
-254.69M
42.39%
-238M
6.55%
-317M
33.19%
-399M
25.87%
free cash flow
506.89M
-
919.47M
81.39%
741.74M
19.33%
428.11M
42.28%
-12.08M
102.82%
-524.40M
4,240.32%
651.05M
224.15%
610.94M
6.16%
740M
21.12%
681M
7.97%
641M
5.87%

All numbers in USD (except ratios and percentages)