bf/NYSE:IQV_icon.jpeg

NYSE:IQV

IQVIA Holdings, Inc.

  • Stock

USD

Last Close

235.00

17/05 20:00

Market Cap

39.44B

Beta: 1.40

Volume Today

687.11K

Avg: 1.15M

PE Ratio

34.55

PFCF: 29.12

Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
226.03M
-
356.50M
57.72%
388.30M
8.92%
130M
66.52%
1.33B
921.54%
284M
78.61%
227M
20.07%
308M
35.68%
971M
215.26%
1.09B
12.36%
1.36B
24.47%
depreciation and amortization
107.50M
-
121.01M
12.57%
127.74M
5.56%
289M
126.24%
1.01B
249.83%
1.14B
12.86%
1.20B
5.35%
1.29B
7.07%
1.26B
1.79%
1.13B
10.60%
1.13B
0.44%
deferred income tax
-24.24M
-
-6.17M
74.55%
18.35M
397.52%
135M
635.65%
-1.22B
1,000.74%
-177M
85.44%
-157M
11.30%
-176M
12.10%
-138M
21.59%
-115M
16.67%
-269M
133.91%
stock based compensation
22.83M
-
30.00M
31.43%
37.76M
25.86%
80M
111.88%
106M
32.50%
113M
6.60%
146M
29.20%
95M
34.93%
170M
78.95%
194M
14.12%
217M
11.86%
change in working capital
59.78M
-
-45.86M
176.72%
-68.97M
50.38%
212M
407.40%
-292M
237.74%
-106M
63.70%
19M
117.92%
459M
2,315.79%
680M
48.15%
-84M
112.35%
-280M
233.33%
accounts receivables
-151.68M
-
-78.63M
48.16%
-246.03M
212.89%
-62M
74.80%
-142M
129.03%
-297M
109.15%
-124M
58.25%
255M
305.65%
-138M
154.12%
-421M
205.07%
-388M
7.84%
inventory
32.56M
-
-32.98M
201.28%
18.87M
157.21%
62M
228.63%
-136M
319.35%
-184M
35.29%
-116M
36.96%
-229M
97.41%
-17M
92.58%
accounts payables
107.05M
-
45.80M
57.21%
104.35M
127.82%
160M
53.33%
90M
43.75%
368M
308.89%
240M
34.78%
253M
5.42%
244M
3.56%
427M
75%
267M
37.47%
other working capital
71.85M
-
19.94M
72.24%
53.85M
170.00%
52M
3.43%
-104M
300%
7M
106.73%
19M
171.43%
180M
847.37%
591M
228.33%
-90M
115.23%
-159M
76.67%
other non cash items
5.47M
-
-23.73M
533.72%
-27.50M
15.87%
14M
150.91%
33M
135.71%
-1M
103.03%
-20M
1,900%
-14M
30%
-5M
64.29%
44M
980.00%
-2M
104.55%
net cash provided by operating activities
397.37M
-
431.75M
8.65%
475.69M
10.18%
860M
80.79%
970M
12.79%
1.25B
29.28%
1.42B
13.00%
1.96B
38.25%
2.94B
50.18%
2.26B
23.18%
2.15B
4.91%
investments in property plant and equipment
-92.35M
-
-82.65M
10.50%
-78.39M
5.15%
-164M
109.21%
-369M
125%
-459M
24.39%
-582M
26.80%
-616M
5.84%
-640M
3.90%
-674M
5.31%
-649M
3.71%
acquisitions net
-149.99M
-
-96.67M
35.55%
19.38M
120.04%
1.87B
9,551.61%
-827M
144.22%
-326M
60.58%
-588M
80.37%
-167M
71.60%
-1.46B
776.05%
-1.33B
8.75%
-876M
34.38%
purchases of investments
-314K
-
1.61M
613.06%
-10.98M
781.63%
-40M
264.27%
2M
105%
-27M
1,450%
-25M
7.41%
-11M
56.00%
-10M
9.09%
-5M
50%
-83M
1,560%
sales maturities of investments
2.33M
-
5.86M
151.01%
2.49M
57.50%
41M
1,545.93%
2M
95.12%
459M
22,850%
-22M
104.79%
-2M
90.91%
5M
350%
-38M
-
other investing activites
138K
-
-1.26M
1,015.22%
551K
143.63%
24M
4,255.72%
2M
91.67%
-457M
22,950%
27M
105.91%
5M
-
8M
60%
43M
437.50%
net cash used for investing activites
-240.18M
-
-173.11M
27.92%
-66.95M
61.32%
1.73B
2,685.32%
-1.19B
168.75%
-810M
31.93%
-1.19B
46.91%
-796M
33.11%
-2.10B
164.20%
-2.01B
4.61%
-1.60B
20.09%
debt repayment
-2.45B
-
-182.77M
92.54%
-2.06B
1,027.69%
-1.95B
5.34%
-4.65B
138.44%
-3.06B
34.20%
-3.67B
20.06%
-2.50B
32%
-2.69B
7.68%
-2.66B
1.19%
-752M
71.72%
common stock issued
525M
-
35.23M
93.29%
64.30M
82.52%
97M
50.86%
91M
6.19%
15M
83.52%
11M
26.67%
-44M
500%
-59M
34.09%
common stock repurchased
-6.43M
-
-415.13M
6,352.14%
-515.01M
24.06%
-1.10B
113.01%
-2.62B
138.83%
-1.41B
46.37%
-949M
32.46%
-447M
52.90%
-406M
9.17%
-1.17B
187.68%
-992M
15.07%
dividends paid
-2.07B
-
-425M
79.50%
-2.25B
429.06%
-638M
71.63%
-7.16B
1,022.73%
-4.08B
43.10%
-11M
99.73%
-44M
300%
-59M
34.09%
other financing activites
4.07B
-
857.33M
78.96%
4.51B
426.17%
1.30B
71.07%
14.27B
993.64%
8.07B
43.42%
4.35B
46.15%
2.82B
35.21%
1.98B
29.71%
3.50B
76.67%
1.36B
61.06%
net cash used provided by financing activities
70.96M
-
-130.34M
283.69%
-249.25M
91.22%
-2.28B
816.36%
-72M
96.85%
-452M
527.78%
-276M
38.94%
-217M
21.38%
-1.24B
469.12%
-329M
73.36%
-382M
16.11%
effect of forex changes on cash
-17.74M
-
-39.08M
120.34%
-49.70M
27.16%
-86M
73.05%
53M
161.63%
-60M
213.21%
-5M
91.67%
31M
720%
-52M
267.74%
-75M
44.23%
-4M
94.67%
net change in cash
210.41M
-
89.22M
57.60%
109.79M
23.07%
221M
101.29%
-239M
208.14%
-68M
71.55%
-54M
20.59%
977M
1,909.26%
-448M
145.85%
-150M
66.52%
160M
206.67%
cash at beginning of period
567.73M
-
778.14M
37.06%
867.36M
11.47%
977M
12.64%
1.20B
22.62%
959M
19.95%
891M
7.09%
837M
6.06%
1.81B
116.73%
1.37B
24.70%
1.22B
10.98%
cash at end of period
778.14M
-
867.36M
11.47%
977.15M
12.66%
1.20B
22.60%
959M
19.95%
891M
7.09%
837M
6.06%
1.81B
116.73%
1.37B
24.70%
1.22B
10.98%
1.38B
13.16%
operating cash flow
397.37M
-
431.75M
8.65%
475.69M
10.18%
860M
80.79%
970M
12.79%
1.25B
29.28%
1.42B
13.00%
1.96B
38.25%
2.94B
50.18%
2.26B
23.18%
2.15B
4.91%
capital expenditure
-92.35M
-
-82.65M
10.50%
-78.39M
5.15%
-164M
109.21%
-369M
125%
-459M
24.39%
-582M
26.80%
-616M
5.84%
-640M
3.90%
-674M
5.31%
-649M
3.71%
free cash flow
305.02M
-
349.10M
14.45%
397.30M
13.81%
696M
75.18%
601M
13.65%
795M
32.28%
835M
5.03%
1.34B
60.84%
2.30B
71.41%
1.59B
31.10%
1.50B
5.42%

All numbers in USD (except ratios and percentages)