bf/NYSE:SYF_icon.png

NYSE:SYF

adidas

  • Stock

USD

Last Close

73.55

06/11 21:35

Market Cap

19.31B

Beta: 1.58

Volume Today

3.30M

Avg: 5.45M

PE Ratio

6.77

PFCF: 1.97

Dividend Yield

2.53%

Payout:18.82%

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 '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
2.11B
-
2.21B
4.98%
2.25B
1.67%
1.94B
14.04%
2.79B
44.19%
3.75B
34.30%
1.39B
63.04%
4.22B
204.77%
3.02B
28.55%
2.24B
25.80%
depreciation and amortization
131M
-
174M
32.82%
219M
25.86%
254M
15.98%
302M
18.90%
367M
21.52%
383M
4.36%
390M
1.83%
419M
7.44%
458M
9.31%
deferred income tax
-203M
-
-295M
45.32%
389M
231.86%
385M
1.03%
-53M
113.77%
23M
143.40%
-602M
2,717.39%
219M
136.38%
-421M
292.24%
-458M
8.79%
stock based compensation
2.92B
-
2.95B
1.20%
3.99B
35.03%
5.30B
32.87%
5.54B
4.70%
4.18B
24.62%
5.31B
27.03%
726M
86.33%
5.96B
-
change in working capital
92M
-
710M
671.74%
-547M
177.04%
397M
172.58%
157M
60.45%
65M
58.60%
291M
347.69%
1.02B
250.86%
-269M
126.35%
-345M
28.25%
accounts receivables
68M
-
-163M
339.71%
-429M
163.19%
-298M
30.54%
-280M
6.04%
-391M
39.64%
339M
186.70%
424M
25.07%
-197M
146.46%
-645M
227.41%
inventory
accounts payables
other working capital
24M
-
873M
3,537.50%
-118M
113.52%
695M
688.98%
437M
37.12%
456M
4.35%
-48M
110.53%
597M
1,343.75%
-72M
112.06%
300M
516.67%
other non cash items
294M
-
429M
45.92%
525M
22.38%
649M
23.62%
601M
7.40%
608M
1.16%
720M
18.42%
522M
27.50%
3.95B
656.51%
735M
81.39%
net cash provided by operating activities
5.34B
-
6.18B
15.81%
6.82B
10.33%
8.92B
30.68%
9.34B
4.78%
8.99B
3.77%
7.49B
16.72%
7.10B
5.18%
6.69B
5.71%
8.59B
28.37%
investments in property plant and equipment
acquisitions net
purchases of investments
-1.38B
-
-5.10B
270.78%
-3.38B
33.75%
-3.16B
6.54%
-7.27B
130.17%
-7.86B
8.05%
-9.91B
26.18%
-2.99B
69.84%
-3.87B
29.30%
-3.62B
6.29%
sales maturities of investments
27M
-
3.54B
13,003.70%
1.38B
60.99%
3.76B
172.61%
5.67B
50.66%
8.09B
42.64%
8.38B
3.69%
5.08B
39.40%
3.98B
21.57%
5.01B
25.78%
other investing activites
-8.72B
-
-9.24B
5.96%
-11.32B
22.52%
-10.01B
11.55%
-17.43B
74.10%
-490M
97.19%
1.03B
310.61%
-6.90B
768.99%
-10.35B
49.94%
-15.62B
50.91%
net cash used for investing activites
-10.07B
-
-10.80B
7.30%
-13.32B
23.30%
-9.41B
29.35%
-19.04B
102.30%
-261M
98.63%
-498M
90.80%
-4.81B
866.67%
-10.23B
112.59%
-14.23B
39.09%
debt repayment
-16.09B
-
-9.99B
37.89%
-9.15B
8.44%
-5.41B
40.87%
-3.16B
41.65%
-9.48B
200.19%
-4.78B
49.53%
-4.39B
8.30%
-5.28B
20.47%
-1.26B
76.21%
common stock issued
2.84B
-
13.34B
-
10.13B
24.03%
13.85B
36.64%
7.18B
48.14%
-1.69B
123.59%
2.57B
251.77%
12.47B
-
common stock repurchased
-476M
-
-1.50B
214.50%
-1.87B
24.78%
-3.62B
93.68%
-985M
72.78%
-2.88B
191.98%
-3.32B
15.44%
-1.11B
66.51%
dividends paid
-214M
-
-446M
108.41%
-534M
19.73%
-581M
8.80%
-562M
3.27%
-542M
3.56%
-476M
12.18%
-448M
5.88%
other financing activites
27.48B
-
15.11B
45.03%
-5M
100.03%
-5M
0%
-34M
580%
37M
208.82%
-7M
118.92%
29M
514.29%
14.36B
49,431.03%
-22M
100.15%
net cash used provided by financing activities
14.24B
-
5.12B
64.07%
3.49B
31.72%
2.77B
20.56%
8.25B
197.41%
-6.46B
178.25%
-8.03B
24.36%
-5.20B
35.20%
5.28B
201.54%
9.63B
82.29%
effect of forex changes on cash
net change in cash
9.51B
-
497M
94.77%
-3.00B
704.43%
2.28B
175.93%
-1.44B
163.17%
2.27B
257.60%
-1.04B
145.88%
-2.92B
180.13%
1.74B
159.75%
3.99B
128.84%
cash at beginning of period
2.32B
-
11.83B
410.05%
12.32B
4.20%
9.32B
24.37%
11.82B
26.78%
10.38B
12.19%
12.65B
21.89%
11.61B
8.24%
8.69B
25.15%
10.43B
20.08%
cash at end of period
11.83B
-
12.32B
4.20%
9.32B
24.37%
11.60B
24.47%
10.38B
10.57%
12.65B
21.89%
11.61B
8.24%
8.69B
25.15%
10.43B
20.08%
14.42B
38.26%
operating cash flow
5.34B
-
6.18B
15.81%
6.82B
10.33%
8.92B
30.68%
9.34B
4.78%
8.99B
3.77%
7.49B
16.72%
7.10B
5.18%
6.69B
5.71%
8.59B
28.37%
capital expenditure
free cash flow
5.34B
-
6.18B
15.81%
6.82B
10.33%
8.92B
30.68%
9.34B
4.78%
8.99B
3.77%
7.49B
16.72%
7.10B
5.18%
6.69B
5.71%
8.59B
28.37%

All numbers in USD (except ratios and percentages)