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AXAHY AXA SA Sponsored ADR

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  • 34.500
  • +0.040+0.12%
15min DelayClose May 1 16:00 ET
77.70BMarket Cap11.18P/E (TTM)

AXA SA Sponsored ADR Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2022
(FY)Dec 31, 2021
(FY)Dec 31, 2020
(FY)Dec 31, 2019
(FY)Dec 31, 2018
(FY)Dec 31, 2017
(FY)Dec 31, 2016
(FY)Dec 31, 2015
(FY)Dec 31, 2014
(FY)Dec 31, 2013
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
-5.28%8.71B
88.75%9.2B
-13.37%4.87B
267.58%5.62B
-80.09%1.53B
-11.00%7.69B
11.65%8.64B
8.52%7.74B
14.07%7.13B
18.24%6.25B
Other non cash items
-76.39%314M
-35.25%1.33B
-1.34%2.05B
-86.16%2.08B
1,919.33%15.04B
-23.04%745M
-45.03%968M
15.02%1.76B
-9.99%1.53B
33.83%1.7B
Change in working capital
-199.12%-9.51B
-47.24%9.59B
-14.84%18.18B
322.89%21.35B
-135.37%-9.58B
43.31%27.08B
83.51%18.9B
-46.05%10.3B
-5.87%19.09B
-7.15%20.28B
-Change in receivables
----
----
----
----
----
317.88%2.01B
--481M
----
----
1,164.98%6.5B
-Change in other current assets
-77.99%956M
-54.11%4.34B
1,584.52%9.47B
194.14%562M
---597M
----
----
13,000.00%1.31B
--10M
----
Cash from discontinued operating activities
Operating cash flow
20.76%7.88B
-74.44%6.53B
189.27%25.53B
15.63%8.83B
-53.79%7.63B
25.88%16.52B
-27.99%13.12B
40.90%18.23B
143.28%12.94B
-49.45%5.32B
Investing cash flow
Cash flow from continuing investing activities
Net investment purchase and sale
92.74%9.18B
171.48%4.76B
51.64%-6.66B
-13,542.57%-13.78B
99.20%-101M
9.97%-12.62B
-4,238.70%-14.01B
95.00%-323M
-62.05%-6.46B
2.90%-3.98B
Net PPE purchase and sale
6.98%-320M
10.88%-344M
0.26%-386M
13.42%-387M
-28.45%-447M
18.69%-348M
-1.42%-428M
-23.39%-422M
-2.40%-342M
-4.70%-334M
Net business purchase and sale
125.95%281M
-224.48%-1.08B
1,605.88%870M
100.53%51M
-80,350.00%-9.65B
-113.64%-12M
22.22%88M
116.29%72M
-225.93%-442M
308.14%351M
Net other investing changes
101.27%36M
-300.85%-2.83B
-114.64%-707M
21.85%4.83B
1,654.12%3.96B
-106.30%-255M
37.91%4.05B
124.12%2.94B
148.64%1.31B
-93.32%-2.69B
Cash from discontinued investing activities
Investing cash flow
105.25%470M
21.70%-8.95B
-3.53%-11.43B
-419.82%-11.04B
82.78%-2.12B
-20.14%-12.34B
-7.78%-10.27B
-14.40%-9.53B
27.40%-8.33B
-53.48%-11.47B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
101.21%1.82B
149.89%906M
-185.53%-1.82B
-115.77%-636M
427.09%4.03B
-183.37%-1.23B
196.92%1.48B
---1.53B
----
600.00%185M
Net common stock issuance
-254.56%-3.65B
-392.82%-1.03B
90.16%-209M
-603.32%-2.12B
139.00%422M
-145.35%-1.08B
16.16%-441M
38.26%-526M
-199.19%-852M
161.89%859M
Cash dividends paid
-5.36%-3.68B
-100.17%-3.49B
46.66%-1.74B
4.25%-3.27B
-10.17%-3.41B
-5.99%-3.1B
-10.85%-2.92B
-17.99%-2.64B
-14.38%-2.24B
-8.98%-1.95B
Net other financing charges
----
-150.00%-2M
107.84%4M
-101.38%-51M
1,848.34%3.69B
1.40%-211M
-19.55%-214M
-17,800.00%-179M
99.16%-1M
46.15%-119M
Cash from discontinued financing activities
Financing cash flow
-41.33%-6.12B
12.06%-4.33B
29.38%-4.93B
-278.03%-6.98B
164.13%3.92B
-112.33%-6.11B
50.45%-2.88B
-40.70%-5.81B
-115.22%-4.13B
27.51%-1.92B
Net cash flow
Beginning cash position
-11.43%24.37B
25.20%27.52B
-30.44%21.98B
36.21%31.6B
-9.86%23.2B
0.41%25.73B
18.49%25.63B
5.64%21.63B
-31.58%20.48B
-0.37%29.93B
Current changes in cash
132.95%2.23B
-173.65%-6.76B
199.84%9.18B
-197.48%-9.19B
590.33%9.43B
-590.56%-1.92B
-86.44%392M
504.60%2.89B
105.92%478M
-2,128.64%-8.07B
Effect of exchange rate changes
-312.87%-430M
127.41%202M
-256.48%-737M
-75.92%471M
501.64%1.96B
-77.09%-487M
-123.31%-275M
68.57%1.18B
151.32%700M
-305.95%-1.36B
End cash position
5.37%25.68B
-11.43%24.37B
25.20%27.52B
-28.08%21.98B
31.73%30.56B
-9.86%23.2B
0.41%25.73B
18.49%25.63B
5.64%21.63B
-31.97%20.48B
Free cash flow
21.89%7.53B
-75.44%6.18B
200.60%25.15B
16.63%8.37B
-55.53%7.17B
27.47%16.13B
-28.78%12.65B
41.19%17.76B
153.21%12.58B
-51.19%4.97B
Currency Unit
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
(FY)Dec 31, 2022(FY)Dec 31, 2021(FY)Dec 31, 2020(FY)Dec 31, 2019(FY)Dec 31, 2018(FY)Dec 31, 2017(FY)Dec 31, 2016(FY)Dec 31, 2015(FY)Dec 31, 2014(FY)Dec 31, 2013
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations -5.28%8.71B88.75%9.2B-13.37%4.87B267.58%5.62B-80.09%1.53B-11.00%7.69B11.65%8.64B8.52%7.74B14.07%7.13B18.24%6.25B
Other non cash items -76.39%314M-35.25%1.33B-1.34%2.05B-86.16%2.08B1,919.33%15.04B-23.04%745M-45.03%968M15.02%1.76B-9.99%1.53B33.83%1.7B
Change in working capital -199.12%-9.51B-47.24%9.59B-14.84%18.18B322.89%21.35B-135.37%-9.58B43.31%27.08B83.51%18.9B-46.05%10.3B-5.87%19.09B-7.15%20.28B
-Change in receivables --------------------317.88%2.01B--481M--------1,164.98%6.5B
-Change in other current assets -77.99%956M-54.11%4.34B1,584.52%9.47B194.14%562M---597M--------13,000.00%1.31B--10M----
Cash from discontinued operating activities
Operating cash flow 20.76%7.88B-74.44%6.53B189.27%25.53B15.63%8.83B-53.79%7.63B25.88%16.52B-27.99%13.12B40.90%18.23B143.28%12.94B-49.45%5.32B
Investing cash flow
Cash flow from continuing investing activities
Net investment purchase and sale 92.74%9.18B171.48%4.76B51.64%-6.66B-13,542.57%-13.78B99.20%-101M9.97%-12.62B-4,238.70%-14.01B95.00%-323M-62.05%-6.46B2.90%-3.98B
Net PPE purchase and sale 6.98%-320M10.88%-344M0.26%-386M13.42%-387M-28.45%-447M18.69%-348M-1.42%-428M-23.39%-422M-2.40%-342M-4.70%-334M
Net business purchase and sale 125.95%281M-224.48%-1.08B1,605.88%870M100.53%51M-80,350.00%-9.65B-113.64%-12M22.22%88M116.29%72M-225.93%-442M308.14%351M
Net other investing changes 101.27%36M-300.85%-2.83B-114.64%-707M21.85%4.83B1,654.12%3.96B-106.30%-255M37.91%4.05B124.12%2.94B148.64%1.31B-93.32%-2.69B
Cash from discontinued investing activities
Investing cash flow 105.25%470M21.70%-8.95B-3.53%-11.43B-419.82%-11.04B82.78%-2.12B-20.14%-12.34B-7.78%-10.27B-14.40%-9.53B27.40%-8.33B-53.48%-11.47B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt 101.21%1.82B149.89%906M-185.53%-1.82B-115.77%-636M427.09%4.03B-183.37%-1.23B196.92%1.48B---1.53B----600.00%185M
Net common stock issuance -254.56%-3.65B-392.82%-1.03B90.16%-209M-603.32%-2.12B139.00%422M-145.35%-1.08B16.16%-441M38.26%-526M-199.19%-852M161.89%859M
Cash dividends paid -5.36%-3.68B-100.17%-3.49B46.66%-1.74B4.25%-3.27B-10.17%-3.41B-5.99%-3.1B-10.85%-2.92B-17.99%-2.64B-14.38%-2.24B-8.98%-1.95B
Net other financing charges -----150.00%-2M107.84%4M-101.38%-51M1,848.34%3.69B1.40%-211M-19.55%-214M-17,800.00%-179M99.16%-1M46.15%-119M
Cash from discontinued financing activities
Financing cash flow -41.33%-6.12B12.06%-4.33B29.38%-4.93B-278.03%-6.98B164.13%3.92B-112.33%-6.11B50.45%-2.88B-40.70%-5.81B-115.22%-4.13B27.51%-1.92B
Net cash flow
Beginning cash position -11.43%24.37B25.20%27.52B-30.44%21.98B36.21%31.6B-9.86%23.2B0.41%25.73B18.49%25.63B5.64%21.63B-31.58%20.48B-0.37%29.93B
Current changes in cash 132.95%2.23B-173.65%-6.76B199.84%9.18B-197.48%-9.19B590.33%9.43B-590.56%-1.92B-86.44%392M504.60%2.89B105.92%478M-2,128.64%-8.07B
Effect of exchange rate changes -312.87%-430M127.41%202M-256.48%-737M-75.92%471M501.64%1.96B-77.09%-487M-123.31%-275M68.57%1.18B151.32%700M-305.95%-1.36B
End cash position 5.37%25.68B-11.43%24.37B25.20%27.52B-28.08%21.98B31.73%30.56B-9.86%23.2B0.41%25.73B18.49%25.63B5.64%21.63B-31.97%20.48B
Free cash flow 21.89%7.53B-75.44%6.18B200.60%25.15B16.63%8.37B-55.53%7.17B27.47%16.13B-28.78%12.65B41.19%17.76B153.21%12.58B-51.19%4.97B
Currency Unit EUREUREUREUREUREUREUREUREUREUR

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