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CTLT Catalent

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  • 56.000
  • +0.150+0.27%
Close May 1 16:00 ET
  • 56.000
  • 0.0000.00%
Post 16:20 ET
10.13BMarket Cap-7799P/E (TTM)

Catalent Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Dec 31, 2023
(Q1)Sep 30, 2023
(FY)Jun 30, 2023
(Q4)Jun 30, 2023
(Q3)Mar 31, 2023
(Q2)Dec 31, 2022
(Q1)Sep 30, 2022
(FY)Jun 30, 2022
(Q4)Jun 30, 2022
(Q3)Mar 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-47.66%112M
23.91%-70M
-42.14%254M
184.06%196M
-146.38%-64M
210.14%214M
-156.44%-92M
1.39%439M
-48.51%69M
84.00%138M
Net income from continuing operations
-354.32%-206M
---759M
-151.30%-256M
-165.48%-110M
-260.99%-227M
-16.49%81M
--0
-14.70%499M
-7.69%168M
-39.22%141M
Operating gains losses
119.23%5M
-66.67%9M
-133.33%-9M
-160.00%-3M
---7M
-262.50%-26M
350.00%27M
113.30%27M
25.00%5M
--0
Depreciation and amortization
17.48%121M
13.13%112M
11.64%422M
14.00%114M
7.07%106M
5.10%103M
22.22%99M
30.80%378M
36.99%100M
30.26%99M
Deferred tax
0.00%17M
-1,000.00%-44M
-1,511.11%-127M
-1,350.00%-58M
-783.33%-82M
88.89%17M
50.00%-4M
-85.94%9M
-108.70%-4M
-47.83%12M
Other non cash items
22.22%11M
0.00%2M
136.36%26M
0.00%2M
1,200.00%13M
350.00%9M
-66.67%2M
-62.07%11M
-33.33%2M
-95.65%1M
Change In working capital
605.00%101M
59.00%-107M
50.94%-288M
149.78%113M
9.09%-120M
88.83%-20M
-432.65%-261M
-35.88%-587M
-20.11%-227M
2.94%-132M
-Change in receivables
-95.73%5M
416.13%160M
172.60%53M
126.32%35M
-83.10%-130M
316.67%117M
-83.24%31M
60.75%-73M
28.11%-133M
20.22%-71M
-Change in inventory
84.21%-15M
63.53%-31M
-50.00%-192M
-62.86%-57M
-18.18%45M
-11.76%-95M
-34.92%-85M
50.77%-128M
-75.00%-35M
155.00%55M
-Change in payables and accrued expense
306.25%33M
-40.38%-73M
-156.76%-21M
-74.65%18M
178.38%29M
-277.78%-16M
-766.67%-52M
-26.00%37M
446.15%71M
-260.87%-37M
-Change in other working capital
400.00%78M
-5.16%-163M
69.74%-128M
190.00%117M
18.99%-64M
46.94%-26M
6.06%-155M
-1,075.00%-423M
-4,433.33%-130M
-363.33%-79M
Cash from discontinued investing activities
Operating cash flow
-47.66%112M
23.91%-70M
-42.14%254M
184.06%196M
-146.38%-64M
210.14%214M
-156.44%-92M
1.39%439M
-48.51%69M
84.00%138M
Investing cash flow
Cash flow from continuing investing activities
84.38%-95M
27.59%-84M
49.31%-955M
69.29%-121M
42.41%-110M
46.29%-608M
30.54%-116M
-190.29%-1.88B
-84.98%-394M
-132.93%-191M
Net PPE purchase and sale
43.71%-94M
41.96%-83M
13.94%-568M
48.51%-121M
7.43%-137M
-35.77%-167M
7.14%-143M
3.79%-660M
-24.34%-235M
6.33%-148M
Net business purchase and sale
----
----
60.57%-474M
--0
--0
----
----
-958.57%-1.2B
---166M
-108.44%-13M
Net investment purchase and sale
-103.03%-1M
-103.70%-1M
495.45%87M
--0
190.00%27M
320.00%33M
68.75%27M
78.64%-22M
129.17%7M
61.54%-30M
Cash from discontinued investing activities
Investing cash flow
84.38%-95M
27.59%-84M
49.31%-955M
69.29%-121M
42.41%-110M
46.29%-608M
30.54%-116M
-190.29%-1.88B
-84.98%-394M
-132.93%-191M
Financing cash flow
Cash flow from continuing financing activities
-102.68%-14M
32.43%98M
-49.47%521M
-5,200.00%-51M
-733.33%-25M
1,167.35%523M
-93.16%74M
626.06%1.03B
105.88%1M
-101.81%-3M
Net issuance payments of debt
27.27%700M
53.33%115M
-52.54%485M
-194.87%-230M
--90M
13,650.00%550M
-93.16%75M
932.32%1.02B
-14.71%-78M
--0
Net common stock issuance
----
----
--0
----
----
----
----
--0
----
----
Cash dividends paid
----
----
--0
--0
----
----
----
81.82%-4M
--0
--0
Proceeds from stock option exercised by employees
--0
0.00%1M
-84.62%4M
--0
50.00%3M
--0
-87.50%1M
-31.58%26M
-68.75%5M
-90.91%2M
Net other financing activities
-2,544.44%-714M
-800.00%-18M
346.15%32M
141.89%179M
-2,260.00%-118M
57.81%-27M
88.89%-2M
76.36%-13M
89.74%74M
68.75%-5M
Cash from discontinued financing activities
Financing cash flow
-102.68%-14M
32.43%98M
-49.47%521M
-5,200.00%-51M
-733.33%-25M
1,167.35%523M
-93.16%74M
626.06%1.03B
105.88%1M
-101.81%-3M
Net cash flow
Beginning cash position
-25.62%209M
-37.64%280M
-49.89%449M
-67.94%252M
-47.94%442M
-85.73%281M
-49.89%449M
-5.98%896M
-20.45%786M
1.92%849M
Current changes in cash
-97.67%3M
58.21%-56M
56.52%-180M
107.41%24M
-255.36%-199M
111.60%129M
-112.43%-134M
-459.46%-414M
-237.50%-324M
-135.22%-56M
Effect of exchange rate changes
-46.88%17M
55.88%-15M
133.33%11M
130.77%4M
228.57%9M
500.00%32M
-580.00%-34M
-294.12%-33M
-425.00%-13M
-75.00%-7M
End cash Position
-48.19%229M
-25.62%209M
-37.64%280M
-37.64%280M
-67.94%252M
-47.94%442M
-85.73%281M
-49.89%449M
-49.89%449M
-20.45%786M
Free cash flow
-60.87%18M
36.10%-154M
-45.70%-322M
145.18%75M
-1,920.00%-202M
185.19%46M
-2,777.78%-241M
12.65%-221M
-201.82%-166M
87.95%-10M
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
--
--
--
--
Unqualified Opinion
--
--
(Q2)Dec 31, 2023(Q1)Sep 30, 2023(FY)Jun 30, 2023(Q4)Jun 30, 2023(Q3)Mar 31, 2023(Q2)Dec 31, 2022(Q1)Sep 30, 2022(FY)Jun 30, 2022(Q4)Jun 30, 2022(Q3)Mar 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -47.66%112M23.91%-70M-42.14%254M184.06%196M-146.38%-64M210.14%214M-156.44%-92M1.39%439M-48.51%69M84.00%138M
Net income from continuing operations -354.32%-206M---759M-151.30%-256M-165.48%-110M-260.99%-227M-16.49%81M--0-14.70%499M-7.69%168M-39.22%141M
Operating gains losses 119.23%5M-66.67%9M-133.33%-9M-160.00%-3M---7M-262.50%-26M350.00%27M113.30%27M25.00%5M--0
Depreciation and amortization 17.48%121M13.13%112M11.64%422M14.00%114M7.07%106M5.10%103M22.22%99M30.80%378M36.99%100M30.26%99M
Deferred tax 0.00%17M-1,000.00%-44M-1,511.11%-127M-1,350.00%-58M-783.33%-82M88.89%17M50.00%-4M-85.94%9M-108.70%-4M-47.83%12M
Other non cash items 22.22%11M0.00%2M136.36%26M0.00%2M1,200.00%13M350.00%9M-66.67%2M-62.07%11M-33.33%2M-95.65%1M
Change In working capital 605.00%101M59.00%-107M50.94%-288M149.78%113M9.09%-120M88.83%-20M-432.65%-261M-35.88%-587M-20.11%-227M2.94%-132M
-Change in receivables -95.73%5M416.13%160M172.60%53M126.32%35M-83.10%-130M316.67%117M-83.24%31M60.75%-73M28.11%-133M20.22%-71M
-Change in inventory 84.21%-15M63.53%-31M-50.00%-192M-62.86%-57M-18.18%45M-11.76%-95M-34.92%-85M50.77%-128M-75.00%-35M155.00%55M
-Change in payables and accrued expense 306.25%33M-40.38%-73M-156.76%-21M-74.65%18M178.38%29M-277.78%-16M-766.67%-52M-26.00%37M446.15%71M-260.87%-37M
-Change in other working capital 400.00%78M-5.16%-163M69.74%-128M190.00%117M18.99%-64M46.94%-26M6.06%-155M-1,075.00%-423M-4,433.33%-130M-363.33%-79M
Cash from discontinued investing activities
Operating cash flow -47.66%112M23.91%-70M-42.14%254M184.06%196M-146.38%-64M210.14%214M-156.44%-92M1.39%439M-48.51%69M84.00%138M
Investing cash flow
Cash flow from continuing investing activities 84.38%-95M27.59%-84M49.31%-955M69.29%-121M42.41%-110M46.29%-608M30.54%-116M-190.29%-1.88B-84.98%-394M-132.93%-191M
Net PPE purchase and sale 43.71%-94M41.96%-83M13.94%-568M48.51%-121M7.43%-137M-35.77%-167M7.14%-143M3.79%-660M-24.34%-235M6.33%-148M
Net business purchase and sale --------60.57%-474M--0--0---------958.57%-1.2B---166M-108.44%-13M
Net investment purchase and sale -103.03%-1M-103.70%-1M495.45%87M--0190.00%27M320.00%33M68.75%27M78.64%-22M129.17%7M61.54%-30M
Cash from discontinued investing activities
Investing cash flow 84.38%-95M27.59%-84M49.31%-955M69.29%-121M42.41%-110M46.29%-608M30.54%-116M-190.29%-1.88B-84.98%-394M-132.93%-191M
Financing cash flow
Cash flow from continuing financing activities -102.68%-14M32.43%98M-49.47%521M-5,200.00%-51M-733.33%-25M1,167.35%523M-93.16%74M626.06%1.03B105.88%1M-101.81%-3M
Net issuance payments of debt 27.27%700M53.33%115M-52.54%485M-194.87%-230M--90M13,650.00%550M-93.16%75M932.32%1.02B-14.71%-78M--0
Net common stock issuance ----------0------------------0--------
Cash dividends paid ----------0--0------------81.82%-4M--0--0
Proceeds from stock option exercised by employees --00.00%1M-84.62%4M--050.00%3M--0-87.50%1M-31.58%26M-68.75%5M-90.91%2M
Net other financing activities -2,544.44%-714M-800.00%-18M346.15%32M141.89%179M-2,260.00%-118M57.81%-27M88.89%-2M76.36%-13M89.74%74M68.75%-5M
Cash from discontinued financing activities
Financing cash flow -102.68%-14M32.43%98M-49.47%521M-5,200.00%-51M-733.33%-25M1,167.35%523M-93.16%74M626.06%1.03B105.88%1M-101.81%-3M
Net cash flow
Beginning cash position -25.62%209M-37.64%280M-49.89%449M-67.94%252M-47.94%442M-85.73%281M-49.89%449M-5.98%896M-20.45%786M1.92%849M
Current changes in cash -97.67%3M58.21%-56M56.52%-180M107.41%24M-255.36%-199M111.60%129M-112.43%-134M-459.46%-414M-237.50%-324M-135.22%-56M
Effect of exchange rate changes -46.88%17M55.88%-15M133.33%11M130.77%4M228.57%9M500.00%32M-580.00%-34M-294.12%-33M-425.00%-13M-75.00%-7M
End cash Position -48.19%229M-25.62%209M-37.64%280M-37.64%280M-67.94%252M-47.94%442M-85.73%281M-49.89%449M-49.89%449M-20.45%786M
Free cash flow -60.87%18M36.10%-154M-45.70%-322M145.18%75M-1,920.00%-202M185.19%46M-2,777.78%-241M12.65%-221M-201.82%-166M87.95%-10M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

Analysis

Analyst Rating

No Data

Price Target

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