bf/NYSE:IPG_icon.jpeg

NYSE:IPG

The Interpublic Group of Companies, Inc.

  • Stock

USD

Last Close

31.63

17/05 20:00

Market Cap

12.63B

Beta: 1.12

Volume Today

2.76M

Avg: 4.11M

PE Ratio

13.53

PFCF: 17.00

Dividend Yield

3.77%

Payout:50.77%

Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
288.90M
-
505.40M
74.94%
480.50M
4.93%
632.50M
31.63%
595M
5.93%
637.70M
7.18%
673.90M
5.68%
354.20M
47.44%
972.80M
174.65%
956.10M
1.72%
1.10B
14.88%
depreciation and amortization
157.40M
-
163M
3.56%
157M
3.68%
160.20M
2.04%
157.10M
1.94%
202.90M
29.15%
278.50M
37.26%
290.60M
4.34%
283.80M
2.34%
274M
3.45%
264.30M
3.54%
deferred income tax
69.40M
-
83.50M
20.32%
49.50M
40.72%
45.70M
7.68%
1.10M
97.59%
14.10M
1,181.82%
9.70M
31.21%
-46.40M
578.35%
-8.20M
82.33%
-27M
229.27%
5.10M
118.89%
stock based compensation
43.10M
-
54.30M
25.99%
70.30M
29.47%
85.60M
21.76%
82M
4.21%
82.20M
0.24%
80.20M
2.43%
67M
16.46%
70.10M
4.63%
50M
28.67%
46.70M
6.60%
change in working capital
-5.50M
-
-161.70M
2,840%
-174.20M
7.73%
-509.80M
192.65%
-5.50M
98.92%
-447.90M
8,043.64%
414.20M
192.48%
758.30M
83.08%
644.10M
15.06%
-764.90M
218.75%
-896.70M
17.23%
accounts receivables
-157.10M
-
-20.10M
87.21%
-236.10M
1,074.63%
-220.70M
6.52%
37.60M
117.04%
-603.80M
1,705.85%
-111.20M
81.58%
551.40M
595.86%
-1.22B
321.00%
-118.20M
90.30%
-566.70M
379.44%
inventory
-270.20M
-
66.10M
124.46%
-282.30M
527.08%
-67.50M
76.09%
-379.40M
462.07%
-300.90M
20.69%
-38.50M
87.21%
313.70M
914.81%
63M
79.92%
-151.80M
-
accounts payables
417.70M
-
-177.10M
142.40%
400.90M
326.37%
-126.10M
131.45%
311.90M
347.34%
428.70M
37.45%
546M
27.36%
-27M
104.95%
1.86B
6,981.85%
-408M
121.96%
47.80M
111.72%
other working capital
4.10M
-
-30.60M
846.34%
-56.70M
85.29%
-95.50M
68.43%
24.40M
125.55%
28.10M
15.16%
17.90M
36.30%
-79.80M
545.81%
-58.40M
26.82%
-238.70M
308.73%
-226M
5.32%
other non cash items
39.60M
-
25M
36.87%
90.90M
263.60%
99.20M
9.13%
52.10M
47.48%
76.10M
46.07%
72.70M
4.47%
423.50M
482.53%
113M
73.32%
120.60M
6.73%
36.90M
69.40%
net cash provided by operating activities
592.90M
-
669.50M
12.92%
674M
0.67%
513.40M
23.83%
881.80M
71.76%
565.10M
35.92%
1.53B
170.61%
1.85B
20.80%
2.08B
12.36%
608.80M
70.67%
554.70M
8.89%
investments in property plant and equipment
-173M
-
-148.70M
14.05%
-161.10M
8.34%
-200.70M
24.58%
-155.90M
22.32%
-177.10M
13.60%
-198.50M
12.08%
-167.50M
15.62%
-195.30M
16.60%
-178.10M
8.81%
-179.30M
0.67%
acquisitions net
-61.50M
-
-53.60M
12.85%
-40.70M
24.07%
-52M
27.76%
-30.60M
41.15%
-2.31B
7,448.37%
-600K
99.97%
-4.90M
716.67%
-16.30M
232.65%
-252.60M
1,449.69%
52.40M
120.74%
purchases of investments
-600K
-
100K
116.67%
-13.50M
-
195.30M
1,546.67%
-200K
100.10%
-97.60M
48,700%
sales maturities of investments
14.20M
-
100K
99.30%
13.50M
-
34.80M
157.78%
2.60M
92.53%
135.80M
5,123.08%
other investing activites
10M
-
-12.10M
221%
-1.20M
90.08%
-11.20M
833.33%
-9.70M
13.39%
-4.60M
52.58%
37.40M
913.04%
-43.80M
217.11%
-203.80M
365.30%
-1.80M
99.12%
3.30M
283.33%
net cash used for investing activites
-224.50M
-
-200.80M
10.56%
-202.80M
1.00%
-263.90M
30.13%
-196.20M
25.65%
-2.49B
1,169.88%
-161.70M
93.51%
-216.20M
33.70%
-185.30M
14.29%
-430.10M
132.11%
-85.40M
80.14%
debt repayment
-602.40M
-
-351.20M
41.70%
-2M
99.43%
-1.80M
10%
-324.60M
17,933.33%
-104.80M
67.71%
-403.30M
284.83%
-503.70M
24.89%
-1.57B
211.87%
-59.30M
96.23%
-8.70M
85.33%
common stock issued
52.80M
-
456M
763.64%
65.90M
85.55%
-46M
169.80%
16.10M
135%
2.49B
15,379.50%
4.30M
99.83%
6.50M
51.16%
8M
23.08%
59.30M
641.25%
296.30M
399.66%
common stock repurchased
-481.80M
-
-275.10M
42.90%
-285.20M
3.67%
-303.30M
6.35%
-300.10M
1.06%
-117.10M
60.98%
-22.40M
80.87%
-22.30M
0.45%
-25.50M
14.35%
-320.10M
1,155.29%
-350.20M
9.40%
dividends paid
-137.60M
-
-159M
15.55%
-195.50M
22.96%
-238.40M
21.94%
-280.30M
17.58%
-322.10M
14.91%
-363.10M
12.73%
-398.10M
9.64%
-427.70M
7.44%
-457.30M
6.92%
-479.10M
4.77%
other financing activites
-43.30M
-
-14.60M
66.28%
-56M
283.56%
-76.90M
37.32%
-116M
50.85%
-95M
18.10%
-58.50M
38.42%
571.40M
1,076.75%
931.90M
63.09%
-122M
113.09%
-92.60M
24.10%
net cash used provided by financing activities
-1.21B
-
-343.90M
71.63%
-472.80M
37.48%
-666.40M
40.95%
-1.00B
50.80%
1.85B
284.42%
-843M
145.49%
-346.20M
58.93%
-1.08B
213.17%
-899.40M
17.04%
-634.30M
29.48%
effect of forex changes on cash
-94.10M
-
-101M
7.33%
-156.10M
54.55%
11.60M
107.43%
16.80M
44.83%
-47.30M
381.55%
-6M
87.32%
31M
616.67%
-45.40M
246.45%
1.60M
103.52%
7M
337.50%
net change in cash
-938M
-
23.80M
102.54%
-157.70M
762.61%
-405.30M
157.01%
-302.50M
25.36%
-120.50M
60.17%
518.50M
530.29%
1.32B
153.77%
760.70M
42.19%
-719.10M
194.53%
-155.30M
78.40%
cash at beginning of period
2.57B
-
1.64B
36.43%
1.66B
1.45%
1.50B
9.50%
1.10B
26.79%
797.70M
27.50%
677.20M
15.11%
1.20B
76.57%
2.51B
110.04%
3.27B
30.29%
2.55B
22.21%
cash at end of period
1.64B
-
1.66B
1.45%
1.50B
9.50%
1.10B
26.97%
797.70M
27.32%
677.20M
15.11%
1.20B
76.57%
2.51B
110.04%
3.27B
30.29%
2.55B
21.98%
2.39B
6.39%
operating cash flow
592.90M
-
669.50M
12.92%
674M
0.67%
513.40M
23.83%
881.80M
71.76%
565.10M
35.92%
1.53B
170.61%
1.85B
20.80%
2.08B
12.36%
608.80M
70.67%
554.70M
8.89%
capital expenditure
-173M
-
-148.70M
14.05%
-161.10M
8.34%
-200.70M
24.58%
-155.90M
22.32%
-177.10M
13.60%
-198.50M
12.08%
-167.50M
15.62%
-195.30M
16.60%
-178.10M
8.81%
-179.30M
0.67%
free cash flow
419.90M
-
520.80M
24.03%
512.90M
1.52%
312.70M
39.03%
725.90M
132.14%
388M
46.55%
1.33B
242.96%
1.68B
26.23%
1.88B
11.94%
430.70M
77.09%
375.40M
12.84%

All numbers in USD (except ratios and percentages)