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SIX:BB

BlackBerry Limited

  • Stock

USD

Last Close

3.33

26/07 20:00

Market Cap

1.95B

Beta: 1.44

Volume Today

1.23M

Avg: -

PE Ratio

−20.66

PFCF: −164.90

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Feb '14
Feb '15
Feb '16
Feb '17
Feb '18
Feb '19
Feb '20
Feb '21
Feb '22
Feb '23
Feb '24
net income
-5.87B
-
-304M
94.82%
-208M
31.58%
-1.21B
479.81%
405M
133.58%
93M
77.04%
-152M
263.44%
-1.10B
626.32%
12M
101.09%
-734M
6,216.67%
-130M
82.29%
depreciation and amortization
1.27B
-
694M
45.35%
616M
11.24%
239M
61.20%
177M
25.94%
149M
15.82%
212M
42.28%
198M
6.60%
176M
11.11%
105M
40.34%
59M
43.81%
deferred income tax
-149M
-
62M
141.61%
-105M
269.35%
33M
131.43%
-7M
121.21%
-25M
257.14%
32M
228.00%
-3M
109.38%
-22M
633.33%
474M
2,254.55%
stock based compensation
68M
-
50M
26.47%
60M
20%
60M
0%
49M
18.33%
67M
36.73%
63M
5.97%
44M
30.16%
36M
18.18%
34M
5.56%
33M
2.94%
change in working capital
1.26B
-
59M
95.31%
113M
91.53%
-103M
191.15%
-112M
8.74%
-15M
86.61%
-21M
40%
-56M
166.67%
1M
101.79%
7M
600%
-155M
2,314.29%
accounts receivables
1.38B
-
469M
66.04%
200M
57.36%
157M
21.50%
49M
68.79%
-9M
118.37%
18M
300%
29M
61.11%
44M
51.72%
18M
59.09%
-79M
538.89%
inventory
359M
-
123M
65.74%
-21M
117.07%
117M
657.14%
23M
80.34%
46M
100%
-4M
108.70%
5M
225%
5M
0%
16M
220.00%
accounts payables
-590M
-
-240M
59.32%
14M
105.83%
-167M
1,292.86%
-82M
50.90%
-15M
81.71%
-17M
13.33%
-11M
35.29%
2M
118.18%
2M
0%
-7M
450%
other working capital
109M
-
-293M
368.81%
-80M
72.70%
-210M
162.50%
-102M
51.43%
-37M
63.73%
-18M
51.35%
-79M
338.89%
-50M
36.71%
-29M
42%
7M
124.14%
other non cash items
3.27B
-
252M
92.28%
-219M
186.90%
753M
443.84%
192M
74.50%
-169M
188.02%
-108M
36.09%
1.00B
1,028.70%
-231M
123.03%
-149M
35.50%
-7M
95.30%
net cash provided by operating activities
-159M
-
813M
611.32%
257M
68.39%
-224M
187.16%
704M
414.29%
100M
85.80%
26M
74%
82M
215.38%
-28M
134.15%
-263M
839.29%
-3M
98.86%
investments in property plant and equipment
-1.36B
-
-508M
62.73%
-102M
79.92%
-69M
32.35%
-45M
34.78%
-49M
8.89%
-44M
10.20%
-44M
0%
-39M
11.36%
-41M
5.13%
-21M
48.78%
acquisitions net
-7M
-
-119M
1,600%
-698M
486.55%
-5M
99.28%
30M
700%
-1.40B
4,773.33%
1M
100.07%
-36M
3,700%
-31M
13.89%
-200M
545.16%
purchases of investments
-1.93B
-
-3.75B
94.55%
-3.09B
17.62%
-1.80B
41.88%
-3.53B
96.33%
-2.90B
17.84%
-1.18B
59.23%
-1.04B
11.60%
-917M
12.16%
-517M
43.62%
-156M
69.83%
sales maturities of investments
2.21B
-
2.86B
29.33%
3.45B
20.65%
2.50B
27.50%
2.94B
17.57%
3.97B
35.19%
1.04B
73.92%
1.05B
1.06%
1.14B
8.79%
717M
37.05%
223M
68.90%
other investing activites
49M
-
348M
610.20%
4M
98.85%
95M
2,275%
-27M
128.42%
1M
103.70%
12M
-
55M
358.33%
217M
294.55%
53M
75.58%
net cash used for investing activites
-1.04B
-
-1.17B
12.79%
-439M
62.57%
724M
264.92%
-630M
187.02%
-375M
40.48%
-188M
49.87%
-65M
65.43%
207M
418.46%
176M
14.98%
46M
73.86%
debt repayment
-1.31B
-
-2M
-
-611M
30,450%
-171M
-
common stock issued
3M
-
67M
2,133.33%
4M
94.03%
5M
25%
8M
60%
5M
37.50%
9M
80%
19M
111.11%
10M
47.37%
6M
40%
6M
0%
common stock repurchased
-16M
-
-93M
-
-18M
-
dividends paid
other financing activites
1.24B
-
-51M
104.12%
11M
121.57%
588M
5,245.45%
12M
97.96%
365M
-
6M
-
net cash used provided by financing activities
1.22B
-
16M
98.69%
-78M
587.50%
-722M
825.64%
2M
100.28%
5M
150%
7M
40%
-227M
3,342.86%
10M
104.41%
6M
40%
-165M
2,850%
effect of forex changes on cash
5M
-
-2M
140%
-16M
700%
-1M
93.75%
6M
700%
-3M
150%
-1M
66.67%
2M
300%
-1M
150%
-3M
200%
net change in cash
30M
-
-346M
1,253.33%
-276M
20.23%
-223M
19.20%
82M
136.77%
-273M
432.93%
-156M
42.86%
-208M
33.33%
188M
190.38%
-84M
144.68%
-122M
45.24%
cash at beginning of period
1.55B
-
1.58B
1.94%
1.23B
21.91%
957M
22.38%
734M
23.30%
855M
16.49%
582M
31.93%
426M
26.80%
218M
48.83%
406M
86.24%
322M
20.69%
cash at end of period
1.58B
-
1.23B
21.91%
957M
22.38%
734M
23.30%
816M
11.17%
582M
28.68%
426M
26.80%
218M
48.83%
406M
86.24%
322M
20.69%
200M
37.89%
operating cash flow
-159M
-
813M
611.32%
257M
68.39%
-224M
187.16%
704M
414.29%
100M
85.80%
26M
74%
82M
215.38%
-28M
134.15%
-263M
839.29%
-3M
98.86%
capital expenditure
-1.36B
-
-508M
62.73%
-102M
79.92%
-69M
32.35%
-45M
34.78%
-49M
8.89%
-44M
10.20%
-44M
0%
-39M
11.36%
-41M
5.13%
-21M
48.78%
free cash flow
-1.52B
-
305M
120.04%
155M
49.18%
-293M
289.03%
659M
324.91%
51M
92.26%
-18M
135.29%
38M
311.11%
-67M
276.32%
-304M
353.73%
-24M
92.11%

All numbers in USD (except ratios and percentages)