bf/NYSE:NOV_icon.png

NYSE:NOV

NOV Inc.

  • Stock

USD

Last Close

18.67

26/07 20:00

Market Cap

7.04B

Beta: 1.90

Volume Today

10.99M

Avg: 4.65M

PE Ratio

6.85

PFCF: −30.18

Dividend Yield

1.16%

Payout:6.04%

Preview

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Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
2.33B
-
2.46B
5.46%
-767M
131.24%
-2.42B
214.99%
-236M
90.23%
-22M
90.68%
-6.09B
27,595.45%
-2.54B
58.36%
-245M
90.34%
155M
163.27%
993M
540.65%
depreciation and amortization
755M
-
778M
3.05%
747M
3.98%
703M
5.89%
698M
0.71%
690M
1.15%
533M
22.75%
352M
33.96%
306M
13.07%
301M
1.63%
302M
0.33%
deferred income tax
-333M
-
-300M
9.91%
-258M
14.00%
-198M
23.26%
-341M
72.22%
-63M
81.52%
-426M
576.19%
-65M
84.74%
11M
116.92%
-2M
118.18%
-489M
24,350%
stock based compensation
92M
-
101M
9.78%
109M
7.92%
107M
1.83%
124M
15.89%
110M
11.29%
130M
18.18%
105M
19.23%
78M
25.71%
67M
14.10%
66M
1.49%
change in working capital
488M
-
-794M
262.70%
-466M
41.31%
1.04B
324.03%
448M
57.09%
-147M
132.81%
6.27B
4,368.03%
1.22B
80.55%
230M
81.15%
-762M
431.30%
-584M
23.36%
accounts receivables
-493M
-
-153M
68.97%
1.09B
813.07%
845M
22.55%
72M
91.48%
-72M
200%
275M
481.94%
574M
108.73%
-52M
109.06%
-440M
746.15%
-324M
26.36%
inventory
396M
-
-710M
279.29%
410M
157.75%
782M
90.73%
229M
70.72%
-7M
103.06%
104M
1,585.71%
429M
312.50%
17M
96.04%
-480M
2,923.53%
-361M
24.79%
accounts payables
9M
-
95M
955.56%
-570M
700%
-243M
57.37%
86M
135.39%
196M
127.91%
-19M
109.69%
-226M
1,089.47%
118M
152.21%
289M
144.92%
-4M
101.38%
other working capital
576M
-
-26M
104.51%
-1.40B
5,273.08%
-340M
75.66%
61M
117.94%
-264M
532.79%
5.91B
2,340.15%
443M
92.51%
147M
66.82%
-131M
189.12%
105M
180.15%
other non cash items
67M
-
374M
458.21%
1.97B
425.94%
1.72B
12.56%
139M
91.92%
-47M
133.81%
296M
729.79%
1.85B
525.34%
-89M
104.81%
62M
169.66%
-145M
333.87%
net cash provided by operating activities
3.40B
-
2.61B
23.05%
1.33B
49.04%
960M
27.93%
832M
13.33%
521M
37.38%
714M
37.04%
926M
29.69%
291M
68.57%
-179M
161.51%
143M
179.89%
investments in property plant and equipment
-669M
-
-699M
4.48%
-453M
35.19%
-284M
37.31%
-192M
32.39%
-244M
27.08%
-233M
4.51%
-226M
3.00%
-201M
11.06%
-214M
6.47%
-283M
32.24%
acquisitions net
-2.37B
-
-291M
87.71%
-86M
70.45%
-230M
167.44%
-86M
62.61%
-280M
225.58%
-180M
35.71%
-14M
92.22%
-52M
271.43%
-49M
5.77%
-22M
55.10%
purchases of investments
sales maturities of investments
other investing activites
72M
-
-114M
258.33%
25M
121.93%
26M
4%
33M
26.92%
67M
103.03%
98M
46.27%
96M
2.04%
57M
40.63%
25M
56.14%
12M
52%
net cash used for investing activites
-2.96B
-
-1.10B
62.75%
-514M
53.44%
-488M
5.06%
-245M
49.80%
-457M
86.53%
-315M
31.07%
-144M
54.29%
-196M
36.11%
-238M
21.43%
-293M
23.11%
debt repayment
-2.61B
-
-155M
94.06%
-10.62B
6,748.39%
-4.87B
54.10%
-506M
89.61%
-8M
98.42%
-1B
12,400%
-217M
78.30%
-183M
15.67%
-4M
97.81%
-31M
675%
common stock issued
281M
-
11.38B
3,951.25%
common stock repurchased
-779M
-
-2.22B
185.11%
dividends paid
-389M
-
-703M
80.72%
-710M
1.00%
-230M
67.61%
-76M
66.96%
-76M
0%
-77M
1.32%
-19M
75.32%
-20M
5.26%
-78M
290%
-79M
1.28%
other financing activites
2.69B
-
13M
99.52%
-1M
107.69%
3.96B
396,200%
-13M
100.33%
54M
515.38%
430M
696.30%
-23M
105.35%
14M
160.87%
-14M
200%
7M
150%
net cash used provided by financing activities
-305M
-
-1.34B
340.33%
-2.16B
61.06%
-1.14B
47.25%
-595M
47.85%
-30M
94.96%
-647M
2,056.67%
-259M
59.97%
-189M
27.03%
-96M
49.21%
-103M
7.29%
effect of forex changes on cash
-11M
-
-67M
509.09%
-111M
65.67%
-3M
97.30%
37M
1,333.33%
-44M
218.92%
-8M
81.82%
-2M
75%
-7M
250%
-9M
28.57%
net change in cash
117M
-
100M
14.53%
-1.46B
1,556%
-672M
53.85%
29M
104.32%
-10M
134.48%
-256M
2,460%
521M
303.52%
-101M
119.39%
-522M
416.83%
-253M
51.53%
cash at beginning of period
3.32B
-
3.44B
3.53%
3.54B
2.91%
2.08B
41.18%
1.41B
32.31%
1.44B
2.06%
1.43B
0.70%
1.17B
17.94%
1.69B
44.49%
1.59B
5.97%
1.07B
32.81%
cash at end of period
3.44B
-
3.54B
2.91%
2.08B
41.18%
1.41B
32.31%
1.44B
2.06%
1.43B
0.70%
1.17B
17.94%
1.69B
44.49%
1.59B
5.97%
1.07B
32.81%
816M
23.67%
operating cash flow
3.40B
-
2.61B
23.05%
1.33B
49.04%
960M
27.93%
832M
13.33%
521M
37.38%
714M
37.04%
926M
29.69%
291M
68.57%
-179M
161.51%
143M
179.89%
capital expenditure
-669M
-
-699M
4.48%
-453M
35.19%
-284M
37.31%
-192M
32.39%
-244M
27.08%
-233M
4.51%
-226M
3.00%
-201M
11.06%
-214M
6.47%
-283M
32.24%
free cash flow
2.73B
-
1.92B
29.80%
879M
54.10%
676M
23.09%
640M
5.33%
277M
56.72%
481M
73.65%
700M
45.53%
90M
87.14%
-393M
536.67%
-140M
64.38%

All numbers in USD (except ratios and percentages)