bf/NYSE:SAIC_icon.jpeg

NYSE:SAIC

Science Applications International Corporation

  • Stock

USD

Last Close

129.84

03/05 20:00

Market Cap

6.82B

Beta: 0.70

Volume Today

199.74K

Avg: 310.00K

PE Ratio

13.16

PFCF: 14.61

Dividend Yield

1.16%

Payout:15.63%

Jan '14
Jan '15
Jan '16
Feb '17
Feb '18
Feb '19
Jan '20
Jan '21
Jan '22
Feb '23
Feb '24
net income
113M
-
141M
24.78%
117M
17.02%
148M
26.50%
179M
20.95%
137M
23.46%
229M
67.15%
211M
7.86%
279M
32.23%
303M
8.60%
477M
57.43%
depreciation and amortization
13M
-
21M
61.54%
62M
195.24%
53M
14.52%
46M
13.21%
49M
6.52%
138M
181.63%
179M
29.71%
165M
7.82%
157M
4.85%
142M
9.55%
deferred income tax
18M
-
4M
77.78%
3M
25%
1M
66.67%
13M
1,200%
19M
46.15%
44M
131.58%
12M
72.73%
59M
391.67%
-17M
128.81%
-17M
0%
stock based compensation
33M
-
35M
6.06%
33M
5.71%
31M
6.06%
27M
12.90%
45M
66.67%
37M
17.78%
42M
13.51%
46M
9.52%
48M
4.35%
68M
41.67%
change in working capital
6M
-
79M
1,216.67%
20M
74.68%
55M
175%
-48M
187.27%
-106M
120.83%
5M
104.72%
293M
5,760%
-21M
107.17%
42M
300%
-33M
178.57%
accounts receivables
34M
-
77M
126.47%
-5M
106.49%
96M
2,020%
-135M
240.63%
-4M
97.04%
-43M
975%
366M
951.16%
-31M
108.47%
79M
354.84%
-46M
158.23%
inventory
-2M
-
16M
900%
-11M
168.75%
-36M
227.27%
19M
152.78%
-26M
236.84%
-10M
61.54%
8M
180%
14M
75%
-10M
171.43%
accounts payables
-33M
-
-19M
42.42%
44M
331.58%
16M
63.64%
68M
325%
-65M
195.59%
62M
195.38%
-76M
222.58%
30M
139.47%
-9M
130%
13M
244.44%
other working capital
7M
-
5M
28.57%
-8M
260%
-21M
162.50%
-11M
-
-4M
63.64%
-5M
25%
-34M
580%
-18M
47.06%
33M
283.33%
other non cash items
-3M
-
-9M
200%
-15M
66.67%
40M
-
5M
87.50%
18M
260%
-10M
155.56%
-1M
90%
-241M
24,000%
net cash provided by operating activities
183M
-
277M
51.37%
226M
18.41%
273M
20.80%
217M
20.51%
184M
15.21%
458M
148.91%
755M
64.85%
518M
31.39%
532M
2.70%
396M
25.56%
investments in property plant and equipment
-16M
-
-22M
37.50%
-20M
9.09%
-15M
25%
-22M
46.67%
-28M
27.27%
-21M
25%
-46M
119.05%
-36M
21.74%
-25M
30.56%
acquisitions net
-764M
-
-2M
99.74%
-1.00B
-
-1.19B
-
-247M
79.16%
purchases of investments
-24M
-
-6M
75%
-9M
50%
-7M
22.22%
-8M
14.29%
sales maturities of investments
3M
-
9M
200%
6M
33.33%
4M
33.33%
6M
50%
other investing activites
-14M
-
6M
142.86%
1M
-
-5M
600%
-3M
40%
-6M
100%
-8M
33.33%
316M
4,050%
net cash used for investing activites
-16M
-
-22M
37.50%
-798M
3,527.27%
-11M
98.62%
-22M
100%
-1.03B
4,572.73%
-47M
95.43%
-1.23B
2,519.15%
-292M
76.28%
-36M
87.67%
314M
972.22%
debt repayment
-1M
-
-13M
1,200%
-72M
453.85%
-236M
227.78%
-50M
78.81%
-779M
1,458%
-274M
64.83%
-399M
45.62%
-119M
70.18%
-990M
731.93%
common stock issued
30M
-
3M
90%
4M
33.33%
5M
25%
6M
20%
7M
16.67%
10M
42.86%
13M
30%
16M
23.08%
16M
0%
17M
6.25%
common stock repurchased
-13M
-
-149M
1,046.15%
-69M
53.69%
-180M
160.87%
-186M
3.33%
-69M
62.90%
-197M
185.51%
-34M
82.74%
-226M
564.71%
-267M
18.14%
dividends paid
-322M
-
-52M
83.85%
-55M
5.77%
-54M
1.82%
-54M
0%
-53M
1.85%
-87M
64.15%
-87M
0%
-86M
1.15%
-83M
3.49%
-79M
4.82%
other financing activites
392M
-
3M
99.23%
658M
21,833.33%
218M
66.87%
23M
89.45%
1.83B
7,865.22%
93M
94.92%
971M
944.09%
114M
88.26%
831M
628.95%
-663M
179.78%
net cash used provided by financing activities
86M
-
-208M
341.86%
466M
324.04%
-247M
153.00%
-261M
5.67%
938M
459.39%
-455M
148.51%
464M
201.98%
-301M
164.87%
-493M
63.79%
-725M
47.06%
effect of forex changes on cash
net change in cash
253M
-
47M
81.42%
-106M
325.53%
15M
114.15%
-66M
540%
94M
242.42%
-44M
146.81%
-12M
72.73%
-75M
525%
3M
104%
-15M
600%
cash at beginning of period
1M
-
254M
25,300%
301M
18.50%
195M
35.22%
218M
11.79%
152M
30.28%
246M
61.84%
202M
17.89%
190M
5.94%
115M
39.47%
118M
2.61%
cash at end of period
254M
-
301M
18.50%
195M
35.22%
210M
7.69%
152M
27.62%
246M
61.84%
202M
17.89%
190M
5.94%
115M
39.47%
118M
2.61%
103M
12.71%
operating cash flow
183M
-
277M
51.37%
226M
18.41%
273M
20.80%
217M
20.51%
184M
15.21%
458M
148.91%
755M
64.85%
518M
31.39%
532M
2.70%
396M
25.56%
capital expenditure
-16M
-
-22M
37.50%
-20M
9.09%
-15M
25%
-22M
46.67%
-28M
27.27%
-21M
25%
-46M
119.05%
-36M
21.74%
-25M
30.56%
free cash flow
167M
-
255M
52.69%
206M
19.22%
258M
25.24%
195M
24.42%
156M
20%
437M
180.13%
709M
62.24%
482M
32.02%
507M
5.19%
396M
21.89%

All numbers in USD (except ratios and percentages)