bf/NYSE:FDX_icon.jpeg

XETRA:FDX

FedEx Corporation

  • Stock

EUR

Last Close

296.25

30/08 20:00

Market Cap

72.17B

Beta: 1.34

Volume Today

1.10M

Avg: 126

PE Ratio

13.97

PFCF: 14.72

Dividend Yield

2.06%

Payout:28.32%

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
May '14
May '15
May '16
May '17
May '18
May '19
May '20
May '21
May '22
May '23
May '24
net income
2.10B
-
1.05B
49.93%
1.82B
73.33%
3.00B
64.67%
4.57B
52.55%
540M
88.19%
1.29B
138.15%
5.23B
306.77%
3.83B
26.86%
3.97B
3.82%
4.33B
9.04%
depreciation and amortization
2.59B
-
2.61B
0.93%
2.63B
0.77%
3.00B
13.84%
3.10B
3.34%
3.35B
8.34%
3.62B
7.81%
3.79B
4.92%
3.97B
4.67%
4.18B
5.19%
4.29B
2.66%
deferred income tax
581M
-
-572M
198.45%
31M
105.42%
909M
2,832.26%
-231M
125.41%
-233M
0.87%
1.06B
555.36%
2.89B
172.10%
2.93B
1.52%
-182M
106.21%
stock based compensation
117M
-
133M
13.68%
144M
8.27%
154M
6.94%
167M
8.44%
174M
4.19%
168M
3.45%
200M
19.05%
190M
5%
182M
4.21%
change in working capital
-1.25B
-
-437M
64.98%
-537M
22.88%
-2.20B
310.06%
-3.46B
57.13%
-2.49B
28.01%
-4.09B
64.27%
-1.87B
54.25%
-3.12B
66.61%
-3.17B
1.73%
-3.43B
8.13%
accounts receivables
-516M
-
-392M
24.03%
-199M
49.23%
-556M
179.40%
-1.05B
88.67%
-873M
16.78%
-1.33B
52.46%
-1.39B
4.36%
-310M
77.68%
782M
352.26%
inventory
-22M
-
25M
213.64%
-234M
1,036%
78M
133.33%
-135M
273.08%
873M
746.67%
1.33B
52.46%
1.39B
4.36%
accounts payables
-235M
-
659M
380.43%
467M
29.14%
103M
77.94%
141M
36.89%
-571M
504.96%
-1.79B
212.96%
71M
103.97%
-1.86B
2,721.13%
-3.33B
78.99%
other working capital
-475M
-
-729M
53.47%
-571M
21.67%
-1.83B
219.96%
-2.42B
32.29%
-1.92B
20.56%
-2.31B
20.05%
-1.94B
15.70%
-948M
51.21%
-624M
34.18%
other non cash items
130M
-
2.58B
1,885.38%
1.62B
37.27%
77M
95.24%
531M
589.61%
4.27B
704.14%
3.06B
28.36%
-104M
103.40%
2.03B
2,055.77%
3.84B
88.79%
11.70B
204.66%
net cash provided by operating activities
4.26B
-
5.37B
25.84%
5.71B
6.37%
4.93B
13.63%
4.67B
5.19%
5.61B
20.09%
5.10B
9.19%
10.13B
98.84%
9.83B
2.99%
8.81B
10.34%
8.31B
5.71%
investments in property plant and equipment
-3.53B
-
-4.35B
23.04%
-4.82B
10.84%
-5.12B
6.19%
-5.66B
10.69%
-5.49B
3.05%
-5.87B
6.89%
-5.88B
0.27%
-6.76B
14.94%
-6.17B
8.71%
-5.18B
16.16%
acquisitions net
-36M
-
-1.43B
3,869.44%
-4.62B
223.16%
-56M
-
-66M
17.86%
22M
133.33%
-228M
1,136.36%
94M
141.23%
84M
10.64%
114M
35.71%
purchases of investments
-147M
-
-84M
42.86%
-176M
109.52%
sales maturities of investments
-35M
-
-94M
-
-84M
10.64%
38M
145.24%
other investing activites
18M
-
24M
33.33%
-10M
141.67%
170M
1,800%
42M
75.29%
83M
97.62%
102M
-
94M
7.84%
84M
10.64%
net cash used for investing activites
-3.55B
-
-5.75B
61.98%
-9.45B
64.22%
-4.98B
47.27%
-5.68B
13.97%
-5.47B
3.59%
-5.85B
6.82%
-6.01B
2.81%
-6.82B
13.41%
-6.17B
9.42%
-5.20B
15.78%
debt repayment
-254M
-
-5M
98.03%
-41M
720%
-82M
100%
-38M
53.66%
-1.44B
3,678.95%
-2.55B
77.44%
-6.32B
147.96%
-161M
97.45%
-152M
5.59%
-147M
3.29%
common stock issued
557M
-
320M
42.55%
183M
42.81%
337M
84.15%
327M
2.97%
101M
69.11%
64M
36.63%
740M
1,056.25%
184M
75.14%
231M
25.54%
491M
112.55%
common stock repurchased
-4.86B
-
-1.25B
74.18%
-2.72B
117.07%
-509M
81.30%
-1.02B
99.80%
-1.48B
45.53%
-3M
99.80%
4.21B
140,500%
-2.25B
153.37%
-1.50B
33.27%
-2.50B
66.67%
dividends paid
-187M
-
-227M
21.39%
-277M
22.03%
-426M
53.79%
-535M
25.59%
-683M
27.66%
-679M
0.59%
-686M
1.03%
-793M
15.60%
-1.18B
48.42%
-1.26B
6.97%
other financing activites
2.02B
-
2.52B
24.38%
6.47B
157.18%
1.21B
81.32%
1.49B
23.34%
2.46B
65.03%
6.55B
166.25%
-38M
100.58%
-1M
97.37%
1M
200%
-11M
1,200%
net cash used provided by financing activities
-2.72B
-
1.35B
149.61%
3.61B
167.68%
528M
85.38%
227M
57.01%
-1.04B
557.71%
3.38B
425.41%
-2.09B
161.82%
-3.02B
44.45%
-2.60B
13.98%
-3.43B
31.92%
effect of forex changes on cash
-3M
-
-108M
3,500%
-102M
5.56%
-42M
58.82%
72M
271.43%
-47M
165.28%
-70M
48.94%
171M
344.29%
-187M
209.36%
-118M
36.90%
net change in cash
-2.01B
-
855M
142.56%
-229M
126.78%
435M
289.96%
-704M
261.84%
-946M
34.38%
2.56B
370.82%
2.21B
13.90%
-190M
108.61%
-74M
61.05%
-355M
379.73%
cash at beginning of period
4.92B
-
2.91B
40.86%
3.76B
29.40%
3.53B
6.09%
3.97B
12.31%
3.27B
17.74%
2.32B
28.97%
4.88B
110.48%
7.09B
45.20%
6.90B
2.68%
6.86B
0.59%
cash at end of period
2.91B
-
3.76B
29.40%
3.53B
6.09%
3.97B
12.31%
3.27B
17.74%
2.32B
28.97%
4.88B
110.48%
7.09B
45.20%
6.90B
2.68%
6.82B
1.07%
6.50B
4.72%
operating cash flow
4.26B
-
5.37B
25.84%
5.71B
6.37%
4.93B
13.63%
4.67B
5.19%
5.61B
20.09%
5.10B
9.19%
10.13B
98.84%
9.83B
2.99%
8.81B
10.34%
8.31B
5.71%
capital expenditure
-3.53B
-
-4.35B
23.04%
-4.82B
10.84%
-5.12B
6.19%
-5.66B
10.69%
-5.49B
3.05%
-5.87B
6.89%
-5.88B
0.27%
-6.76B
14.94%
-6.17B
8.71%
-5.18B
16.16%
free cash flow
731M
-
1.02B
39.40%
890M
12.66%
-186M
120.90%
-989M
431.72%
123M
112.44%
-771M
726.83%
4.25B
651.36%
3.07B
27.81%
2.64B
13.95%
3.14B
18.74%

All numbers in EUR (except ratios and percentages)