US Stock MarketDetailed Quotes

ADSK Autodesk

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  • 216.400
  • +1.400+0.65%
Close Apr 25 16:00 ET
  • 216.290
  • -0.110-0.05%
Post 19:11 ET
46.29BMarket Cap51.65P/E (TTM)

Autodesk Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jan 31, 2024
(Q4)Jan 31, 2024
(Q3)Oct 31, 2023
(Q2)Jul 31, 2023
(Q1)Apr 30, 2023
(FY)Jan 31, 2023
(Q4)Jan 31, 2023
(Q3)Oct 31, 2022
(Q2)Jul 31, 2022
(Q1)Apr 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-36.60%1.31B
-52.03%437M
-96.16%18M
-47.47%135M
66.59%723M
35.27%2.07B
26.18%911M
73.06%469M
27.23%257M
29.17%434M
Net income from continuing operations
10.09%906M
-3.75%282M
21.72%241M
19.35%222M
10.27%161M
65.59%823M
229.21%293M
44.53%198M
61.74%186M
-6.41%146M
Depreciation and amortization
-7.33%139M
0.00%37M
-2.70%36M
-13.16%33M
-13.16%33M
1.35%150M
8.82%37M
-11.90%37M
-2.56%38M
15.15%38M
Deferred tax
68.95%-86M
116.76%30M
7.27%-51M
-66.67%-35M
-36.36%-30M
-3,362.50%-277M
-678.26%-179M
-400.00%-55M
-400.00%-21M
-215.79%-22M
Other non cash items
-550.00%-52M
-76.19%-37M
-25.00%18M
42.11%-22M
-140.74%-11M
-144.44%-8M
-520.00%-21M
500.00%24M
-280.00%-38M
42.11%27M
Change In working capital
-144.94%-311M
-106.79%-41M
-597.56%-408M
-214.12%-267M
345.05%405M
218.89%692M
64.13%604M
282.22%82M
14.14%-85M
1,400.00%91M
-Change in receivables
134.82%86M
7.26%-294M
15.17%-179M
-39.22%-71M
89.76%630M
-274.24%-247M
-133.09%-317M
5.38%-211M
-64.52%-51M
2.47%332M
-Change in prepaid assets
-2,466.67%-77M
-550.00%-26M
-207.69%-28M
550.00%9M
-39.13%-32M
97.76%-3M
-180.00%-4M
36.84%26M
93.75%-2M
81.75%-23M
-Change in payables and accrued expense
-102.78%-4M
-68.79%44M
--0
571.43%47M
47.22%-95M
7,300.00%144M
171.15%141M
51.72%176M
0.00%7M
-1.69%-180M
-Change in other working capital
-139.60%-316M
-70.03%235M
-320.88%-201M
-546.15%-252M
-157.89%-98M
90.45%798M
75.39%784M
111.63%91M
9.30%-39M
-35.71%-38M
Cash from discontinued investing activities
Operating cash flow
-36.60%1.31B
-52.03%437M
-96.16%18M
-47.47%135M
66.59%723M
35.27%2.07B
26.18%911M
73.06%469M
27.23%257M
29.17%434M
Investing cash flow
Cash flow from continuing investing activities
-251.05%-502M
137.29%22M
-73.77%-106M
-248.15%-188M
-841.94%-230M
91.03%-143M
80.07%-59M
46.02%-61M
63.01%-54M
102.98%31M
Capital expenditure reported
22.50%-31M
-25.00%-10M
44.44%-5M
36.36%-7M
25.00%-9M
28.57%-40M
-33.33%-8M
35.71%-9M
31.25%-11M
40.00%-12M
Net intangibles purchase and sale
-400.00%-30M
---5M
-1,400.00%-15M
-300.00%-4M
-50.00%-6M
45.45%-6M
--0
50.00%-1M
85.71%-1M
-300.00%-4M
Net business purchase and sale
27.08%-70M
---26M
---18M
--0
72.92%-26M
92.32%-96M
--0
--0
--0
90.70%-96M
Net investment purchase and sale
-752.83%-346M
238.00%69M
-48.89%-67M
-576.00%-169M
-203.47%-179M
119.41%53M
77.38%-50M
19.64%-45M
---25M
4,225.00%173M
Net other investing changes
53.70%-25M
-500.00%-6M
83.33%-1M
52.94%-8M
66.67%-10M
-980.00%-54M
66.67%-1M
45.45%-6M
---17M
-433.33%-30M
Cash from discontinued investing activities
Investing cash flow
-251.05%-502M
137.29%22M
-73.77%-106M
-248.15%-188M
-841.94%-230M
91.03%-143M
80.07%-59M
46.02%-61M
63.01%-54M
102.98%31M
Financing cash flow
Cash flow from continuing financing activities
42.70%-852M
83.22%-99M
46.34%-88M
47.99%-142M
-13.70%-523M
-779.88%-1.49B
8.10%-590M
-124.51%-164M
-405.56%-273M
-223.94%-460M
Net issuance payments of debt
--0
----
----
----
----
-135.11%-350M
----
----
----
----
Net common stock issuance
31.93%-665M
68.60%-65M
57.36%-55M
58.57%-104M
-13.08%-441M
-1.24%-977M
65.21%-207M
45.34%-129M
-434.04%-251M
-348.28%-390M
Net other financing activities
-16.88%-187M
-3.03%-34M
5.71%-33M
-72.73%-38M
-17.14%-82M
20.40%-160M
29.79%-33M
61.96%-35M
-214.29%-22M
-27.27%-70M
Cash from discontinued financing activities
Financing cash flow
42.70%-852M
83.22%-99M
46.34%-88M
47.99%-142M
-13.70%-523M
-779.88%-1.49B
8.10%-590M
-124.51%-164M
-405.56%-273M
-223.94%-460M
Net cash flow
Beginning cash position
27.42%1.95B
-8.35%1.53B
19.03%1.71B
25.76%1.91B
27.42%1.95B
-13.77%1.53B
-4.80%1.67B
55.84%1.44B
64.46%1.52B
-13.77%1.53B
Current changes in cash
-109.30%-41M
37.40%360M
-172.13%-176M
-178.57%-195M
-700.00%-30M
289.27%441M
221.30%262M
-70.50%244M
-3,600.00%-70M
100.59%5M
Effect of exchange rate changes
36.36%-14M
-70.00%6M
36.84%-12M
--0
46.67%-8M
-100.00%-22M
500.00%20M
-850.00%-19M
-700.00%-8M
-400.00%-15M
End cash Position
-2.82%1.89B
-2.82%1.89B
-8.35%1.53B
19.03%1.71B
25.76%1.91B
27.42%1.95B
27.42%1.95B
-4.80%1.67B
55.84%1.44B
64.46%1.52B
Free cash flow
-38.17%1.25B
-53.27%422M
-100.44%-2M
-49.39%124M
69.38%708M
38.32%2.03B
26.29%903M
80.00%459M
36.87%245M
32.70%418M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
--
--
Unqualified Opinion
--
--
--
--
(FY)Jan 31, 2024(Q4)Jan 31, 2024(Q3)Oct 31, 2023(Q2)Jul 31, 2023(Q1)Apr 30, 2023(FY)Jan 31, 2023(Q4)Jan 31, 2023(Q3)Oct 31, 2022(Q2)Jul 31, 2022(Q1)Apr 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -36.60%1.31B-52.03%437M-96.16%18M-47.47%135M66.59%723M35.27%2.07B26.18%911M73.06%469M27.23%257M29.17%434M
Net income from continuing operations 10.09%906M-3.75%282M21.72%241M19.35%222M10.27%161M65.59%823M229.21%293M44.53%198M61.74%186M-6.41%146M
Depreciation and amortization -7.33%139M0.00%37M-2.70%36M-13.16%33M-13.16%33M1.35%150M8.82%37M-11.90%37M-2.56%38M15.15%38M
Deferred tax 68.95%-86M116.76%30M7.27%-51M-66.67%-35M-36.36%-30M-3,362.50%-277M-678.26%-179M-400.00%-55M-400.00%-21M-215.79%-22M
Other non cash items -550.00%-52M-76.19%-37M-25.00%18M42.11%-22M-140.74%-11M-144.44%-8M-520.00%-21M500.00%24M-280.00%-38M42.11%27M
Change In working capital -144.94%-311M-106.79%-41M-597.56%-408M-214.12%-267M345.05%405M218.89%692M64.13%604M282.22%82M14.14%-85M1,400.00%91M
-Change in receivables 134.82%86M7.26%-294M15.17%-179M-39.22%-71M89.76%630M-274.24%-247M-133.09%-317M5.38%-211M-64.52%-51M2.47%332M
-Change in prepaid assets -2,466.67%-77M-550.00%-26M-207.69%-28M550.00%9M-39.13%-32M97.76%-3M-180.00%-4M36.84%26M93.75%-2M81.75%-23M
-Change in payables and accrued expense -102.78%-4M-68.79%44M--0571.43%47M47.22%-95M7,300.00%144M171.15%141M51.72%176M0.00%7M-1.69%-180M
-Change in other working capital -139.60%-316M-70.03%235M-320.88%-201M-546.15%-252M-157.89%-98M90.45%798M75.39%784M111.63%91M9.30%-39M-35.71%-38M
Cash from discontinued investing activities
Operating cash flow -36.60%1.31B-52.03%437M-96.16%18M-47.47%135M66.59%723M35.27%2.07B26.18%911M73.06%469M27.23%257M29.17%434M
Investing cash flow
Cash flow from continuing investing activities -251.05%-502M137.29%22M-73.77%-106M-248.15%-188M-841.94%-230M91.03%-143M80.07%-59M46.02%-61M63.01%-54M102.98%31M
Capital expenditure reported 22.50%-31M-25.00%-10M44.44%-5M36.36%-7M25.00%-9M28.57%-40M-33.33%-8M35.71%-9M31.25%-11M40.00%-12M
Net intangibles purchase and sale -400.00%-30M---5M-1,400.00%-15M-300.00%-4M-50.00%-6M45.45%-6M--050.00%-1M85.71%-1M-300.00%-4M
Net business purchase and sale 27.08%-70M---26M---18M--072.92%-26M92.32%-96M--0--0--090.70%-96M
Net investment purchase and sale -752.83%-346M238.00%69M-48.89%-67M-576.00%-169M-203.47%-179M119.41%53M77.38%-50M19.64%-45M---25M4,225.00%173M
Net other investing changes 53.70%-25M-500.00%-6M83.33%-1M52.94%-8M66.67%-10M-980.00%-54M66.67%-1M45.45%-6M---17M-433.33%-30M
Cash from discontinued investing activities
Investing cash flow -251.05%-502M137.29%22M-73.77%-106M-248.15%-188M-841.94%-230M91.03%-143M80.07%-59M46.02%-61M63.01%-54M102.98%31M
Financing cash flow
Cash flow from continuing financing activities 42.70%-852M83.22%-99M46.34%-88M47.99%-142M-13.70%-523M-779.88%-1.49B8.10%-590M-124.51%-164M-405.56%-273M-223.94%-460M
Net issuance payments of debt --0-----------------135.11%-350M----------------
Net common stock issuance 31.93%-665M68.60%-65M57.36%-55M58.57%-104M-13.08%-441M-1.24%-977M65.21%-207M45.34%-129M-434.04%-251M-348.28%-390M
Net other financing activities -16.88%-187M-3.03%-34M5.71%-33M-72.73%-38M-17.14%-82M20.40%-160M29.79%-33M61.96%-35M-214.29%-22M-27.27%-70M
Cash from discontinued financing activities
Financing cash flow 42.70%-852M83.22%-99M46.34%-88M47.99%-142M-13.70%-523M-779.88%-1.49B8.10%-590M-124.51%-164M-405.56%-273M-223.94%-460M
Net cash flow
Beginning cash position 27.42%1.95B-8.35%1.53B19.03%1.71B25.76%1.91B27.42%1.95B-13.77%1.53B-4.80%1.67B55.84%1.44B64.46%1.52B-13.77%1.53B
Current changes in cash -109.30%-41M37.40%360M-172.13%-176M-178.57%-195M-700.00%-30M289.27%441M221.30%262M-70.50%244M-3,600.00%-70M100.59%5M
Effect of exchange rate changes 36.36%-14M-70.00%6M36.84%-12M--046.67%-8M-100.00%-22M500.00%20M-850.00%-19M-700.00%-8M-400.00%-15M
End cash Position -2.82%1.89B-2.82%1.89B-8.35%1.53B19.03%1.71B25.76%1.91B27.42%1.95B27.42%1.95B-4.80%1.67B55.84%1.44B64.46%1.52B
Free cash flow -38.17%1.25B-53.27%422M-100.44%-2M-49.39%124M69.38%708M38.32%2.03B26.29%903M80.00%459M36.87%245M32.70%418M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----------Unqualified Opinion--------

Analysis

Analyst Rating

No Data

Price Target

No Data

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