bf/NASDAQ:CTSH_icon.jpeg

XETRA:COZ

Cognizant Technology Solutions Corporation

  • Stock

EUR

Last Close

73.21

26/07 20:00

Market Cap

33.73B

Beta: 1.10

Volume Today

4.16M

Avg: 240

PE Ratio

18.22

PFCF: 18.67

Dividend Yield

0.36%

Payout:27.96%

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 '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
1.23B
-
1.44B
17.15%
1.62B
12.81%
1.55B
4.35%
1.50B
3.16%
2.10B
39.69%
1.84B
12.33%
1.39B
24.43%
2.14B
53.52%
2.29B
7.16%
2.13B
7.16%
depreciation and amortization
179.93M
-
208.07M
15.64%
330M
58.60%
379M
14.85%
443M
16.89%
498M
12.42%
526M
5.62%
559M
6.27%
574M
2.68%
569M
0.87%
519M
8.79%
deferred income tax
-88.19M
-
-99.58M
12.91%
-126.10M
26.63%
-91M
27.84%
124M
236.26%
8M
93.55%
-306M
3,925%
184M
160.13%
27M
85.33%
-273M
1,111.11%
-339M
24.18%
stock based compensation
118.80M
-
134.82M
13.49%
192M
42.41%
217M
13.02%
221M
1.84%
267M
20.81%
217M
18.73%
232M
6.91%
246M
6.03%
261M
6.10%
176M
32.57%
change in working capital
-40.87M
-
-220.97M
440.64%
108.70M
149.19%
-471M
533.30%
186M
139.49%
-407M
318.82%
101M
124.82%
813M
704.95%
-488M
160.02%
-324M
33.61%
-189M
41.67%
accounts receivables
-258.47M
-
-259.33M
0.33%
-322.40M
24.32%
-330M
2.36%
-249M
24.55%
-365M
46.59%
37M
110.14%
264M
613.51%
-407M
254.17%
-238M
41.52%
-43M
81.93%
inventory
254.06M
-
-6.44M
102.53%
400.60M
6,320.50%
-50M
112.48%
490M
1,080%
272M
44.49%
375M
-
-65M
117.33%
accounts payables
-12.12M
-
25.68M
311.84%
19.40M
24.46%
6M
69.07%
16M
166.67%
-4M
125%
8M
300%
109M
1,262.50%
-35M
132.11%
-11M
68.57%
-23M
109.09%
other working capital
-24.34M
-
19.12M
178.56%
11.10M
41.95%
-97M
973.87%
-71M
26.80%
-310M
336.62%
56M
118.06%
65M
16.07%
19M
70.77%
-75M
494.74%
-123M
64%
other non cash items
25.53M
-
11.40M
55.35%
25.10M
120.16%
34M
35.46%
-71M
308.82%
125M
276.06%
119M
4.80%
119M
0%
-1M
100.84%
45M
4,600%
37M
17.78%
net cash provided by operating activities
1.42B
-
1.47B
3.46%
2.15B
46.18%
1.62B
24.72%
2.41B
48.49%
2.59B
7.69%
2.50B
3.59%
3.30B
32.01%
2.50B
24.37%
2.57B
2.93%
2.33B
9.27%
investments in property plant and equipment
-261.63M
-
-212.20M
18.89%
-272.80M
28.56%
-300M
9.97%
-284M
5.33%
-377M
32.75%
-392M
3.98%
-398M
1.53%
-279M
29.90%
-332M
19.00%
-317M
4.52%
acquisitions net
-193.81M
-
-2.69B
1,288.73%
-1.70M
99.94%
-334M
19,547.06%
-216M
35.33%
-1.11B
414.35%
-617M
44.46%
-1.12B
82.01%
-970M
13.62%
-339M
65.05%
-409M
20.65%
purchases of investments
-1.85B
-
-2.50B
35.08%
-3.00B
20.28%
-5.17B
72.09%
-4.34B
16.02%
-2.99B
31.05%
-1.03B
65.72%
-202M
80.31%
-633M
213.37%
-1.27B
100.79%
-441M
65.30%
sales maturities of investments
1.57B
-
2.24B
42.38%
1.91B
14.85%
4.84B
153.72%
3.81B
21.32%
3.00B
21.17%
3.60B
20.09%
467M
87.05%
300M
35.76%
1.37B
356.33%
836M
38.93%
other investing activites
451M
-
-148M
132.82%
18M
112.16%
18M
0%
-582M
3,333.33%
467M
180.24%
net cash used for investing activites
-730.76M
-
-3.16B
332.52%
-1.37B
56.64%
-963M
29.74%
-582M
39.56%
-1.63B
179.55%
1.59B
197.60%
-1.24B
177.96%
-2.16B
74.80%
-106M
95.10%
-331M
212.26%
debt repayment
-14.18M
-
-53.40M
276.48%
-57M
6.74%
-95M
66.67%
-91M
4.21%
-28M
69.23%
-50M
78.57%
-53M
6%
-686M
1,194.34%
-25M
96.36%
common stock issued
117.56M
-
101.45M
13.70%
131.60M
29.71%
176M
33.74%
189M
7.39%
181M
4.23%
159M
12.15%
142M
10.69%
130M
8.45%
86M
33.85%
71M
17.44%
common stock repurchased
-179.00M
-
-248.32M
38.72%
-460M
85.25%
-512M
11.30%
-1.89B
268.95%
-1.26B
33.25%
-2.25B
78.19%
-1.62B
27.86%
-771M
52.44%
-1.42B
84.44%
-1.06B
25.18%
dividends paid
-1.65B
-
-300M
81.82%
-350M
16.67%
-265M
24.29%
-468M
76.60%
-453M
3.21%
-480M
5.96%
-509M
6.04%
-564M
10.81%
-591M
4.79%
other financing activites
30.58M
-
3.31B
10,738.29%
33.70M
98.98%
24M
28.78%
75M
212.50%
-54M
172%
-2.12B
3,818.52%
-1.53B
27.74%
647M
-
net cash used provided by financing activities
-30.87M
-
1.50B
4,970.61%
-648.10M
143.11%
-719M
10.94%
-1.99B
176.08%
-1.69B
14.71%
-2.57B
51.74%
-2.01B
21.80%
-1.20B
40.12%
-1.94B
61.18%
-1.61B
17.02%
effect of forex changes on cash
-19.22M
-
-18.58M
3.30%
-19.50M
4.93%
-30M
53.85%
51M
270%
-36M
170.59%
-34M
5.56%
-17M
50%
-16M
5.88%
-21M
31.25%
33M
257.14%
net change in cash
642.93M
-
-202.86M
131.55%
115.10M
156.74%
-91M
179.06%
-109M
19.78%
-764M
600.92%
1.48B
294.24%
35M
97.64%
-888M
2,637.14%
502M
156.53%
-404M
180.48%
cash at beginning of period
1.57B
-
2.21B
40.95%
2.01B
9.17%
2.13B
5.72%
2.03B
4.28%
1.93B
5.36%
1.16B
39.69%
2.65B
127.82%
2.68B
1.32%
1.79B
33.13%
2.19B
22.27%
cash at end of period
2.21B
-
2.01B
9.17%
2.13B
5.72%
2.03B
4.29%
1.93B
5.36%
1.16B
39.69%
2.65B
127.82%
2.68B
1.32%
1.79B
33.13%
2.29B
28.01%
1.79B
22.10%
operating cash flow
1.42B
-
1.47B
3.46%
2.15B
46.18%
1.62B
24.72%
2.41B
48.49%
2.59B
7.69%
2.50B
3.59%
3.30B
32.01%
2.50B
24.37%
2.57B
2.93%
2.33B
9.27%
capital expenditure
-261.63M
-
-212.20M
18.89%
-272.80M
28.56%
-300M
9.97%
-284M
5.33%
-377M
32.75%
-392M
3.98%
-398M
1.53%
-279M
29.90%
-332M
19.00%
-317M
4.52%
free cash flow
1.16B
-
1.26B
8.49%
1.88B
49.15%
1.32B
29.75%
2.12B
60.71%
2.21B
4.33%
2.11B
4.88%
2.90B
37.68%
2.22B
23.61%
2.24B
0.90%
2.01B
9.97%

All numbers in EUR (except ratios and percentages)