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HNHPF HON HAI PRECISION INDUSTRY SPON GDS EACH REP 2 SHS TWD10 REG'S'

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  • 9.450
  • +0.590+6.66%
15min DelayClose Apr 24 16:00 ET
65.50BMarket Cap15.34P/E (TTM)

HON HAI PRECISION INDUSTRY SPON GDS EACH REP 2 SHS TWD10 REG'S' Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
(Q1)Mar 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
2.51%192.22B
27.55%66.9B
11.76%57.22B
1.64%47.71B
-44.75%20.4B
-3.13%187.51B
-15.69%52.45B
6.78%51.2B
6.12%46.94B
-5.77%36.93B
Other non cash items
-97.00%-17.67B
-210.03%-5.97B
-118.22%-3.52B
-89.44%-6.18B
7.73%-2B
15.82%-8.97B
30.02%-1.92B
44.74%-1.61B
0.25%-3.26B
-26.48%-2.17B
Change In working capital
285.41%210.6B
249.28%89.03B
-90.64%1.08B
143.68%34.47B
540.09%86.02B
61.38%-113.59B
-47.36%-59.64B
110.93%11.53B
-418.38%-78.91B
107.77%13.44B
-Change in receivables
159.53%211.97B
-35.42%99.43B
41.08%-185.21B
-200.51%-98.81B
44.23%396.56B
136.80%81.67B
165.61%153.96B
-178.22%-314.37B
21.27%-32.88B
64.19%274.96B
-Change in inventory
180.17%201.69B
135.44%25.77B
105.26%6.16B
1,981.19%40.49B
316.81%129.27B
-172.23%-251.59B
-440.25%-72.71B
9.82%-117.1B
-102.07%-2.15B
-12.77%-59.62B
-Change in prepaid assets
-8.32%720.92M
-28.56%2.47B
-94.22%-4.24B
175.75%6.46B
-40.25%-3.97B
29.52%786.33M
-42.02%3.46B
44.99%-2.18B
693.74%2.34B
-68.18%-2.83B
-Change in other current assets
-124.90%-3.16B
28.46%6.26B
42.90%5.59B
-1,341.93%-7.9B
-318.50%-7.12B
577.05%12.68B
258.60%4.87B
42.40%3.91B
37.32%635.83M
216.43%3.26B
-Change in other current liabilities
-120.57%-8.78B
-28.73%4.64B
-183.07%-7.1B
-106.13%-1.28B
-175.25%-5.04B
150.28%42.69B
-22.03%6.51B
100.40%8.54B
707.02%20.94B
261.41%6.7B
Cash from discontinued investing activities
Operating cash flow
306.12%445.55B
1,110.78%159.4B
2.18%66.03B
368.48%79.81B
127.60%140.32B
211.71%109.71B
-57.63%13.17B
222.99%64.62B
-152.10%-29.73B
146.08%61.65B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale
-11.72%-105.97B
-35.87%-40.63B
-4.86%-22.68B
33.17%-17.96B
-50.17%-24.69B
-10.65%-94.85B
11.41%-29.91B
-21.49%-21.63B
-51.40%-26.88B
-0.21%-16.44B
Net intangibles purchase and sale
-49.34%-2.26B
68.98%-689M
-160.75%-565.61M
-1,529.97%-624.92M
-42.55%-382.85M
-50.08%-1.51B
-1,230.41%-2.22B
595.93%931.07M
109.55%43.7M
-36.08%-268.58M
Net business purchase and sale
138.65%17.44B
91.15%-242.05M
1,097.89%4.01B
101.72%700.97M
791.14%12.98B
-236.30%-45.14B
68.43%-2.73B
106.52%334.69M
-11,079.54%-40.86B
-44,946.43%-1.88B
Net investment purchase and sale
-448.46%-131.14B
-634.33%-66.45B
-498.74%-44.62B
-121.50%-12.27B
81.85%-7.81B
193.12%37.63B
292.87%12.44B
160.69%11.19B
575.74%57.05B
-227.31%-43.04B
Net other investing changes
-1,589.18%-5.52B
-443.51%-2.76B
386.02%2.37B
-656.05%-6.16B
172.33%1.02B
96.81%-327.01M
85.60%-507.23M
107.14%487.43M
560.07%1.11B
-535.38%-1.41B
Cash from discontinued investing activities
Investing cash flow
-203.42%-137.87B
-923.88%-82.76B
-708.71%-36.35B
-345.92%-14.14B
90.58%-4.62B
50.65%-45.44B
74.36%-8.08B
116.17%5.97B
139.66%5.75B
-438.35%-49.08B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
-142.48%-16.34B
69.31%-41.14B
365.34%53.69B
-49.02%39.53B
-181.97%-68.42B
-65.84%38.47B
-713.83%-134.07B
-89.54%11.54B
509.33%77.54B
121.38%83.46B
Cash dividends paid
-2.15%-80.72B
--0
----
----
----
-34.52%-79.03B
--0
----
----
----
Net other financing activities
187.91%7.42B
490.20%5.11B
113.74%935.13M
1,271.68%1.26B
151.77%111.37M
-207.76%-8.44B
-124.41%-1.31B
-338.33%-6.81B
31.58%-107.55M
7.98%-215.13M
Cash from discontinued financing activities
Financing cash flow
-82.81%-160.64B
62.29%-56.11B
43.05%-47.37B
-64.40%24.96B
-211.00%-82.12B
-461.89%-87.87B
-651.87%-148.79B
-273.60%-83.17B
354.48%70.11B
212.02%73.98B
Net cash flow
Beginning cash position
0.27%1.06T
0.62%1.21T
-2.89%1.19T
-5.50%1.12T
0.27%1.06T
-14.06%1.06T
11.83%1.2T
9.93%1.22T
6.51%1.18T
-14.06%1.06T
Current changes in cash
722.97%147.04B
114.28%20.53B
-40.52%-17.68B
96.42%90.62B
-38.10%53.58B
85.78%-23.6B
-609.83%-143.71B
69.72%-12.58B
207.63%46.14B
172.61%86.55B
Effect of exchange rate changes
-144.15%-11.7B
-671.09%-30.9B
483.50%37.98B
-192.81%-22.42B
-90.62%3.63B
460.05%26.51B
-9.90%5.41B
-485.31%-9.9B
47.29%-7.66B
2,830.82%38.66B
End cash Position
12.74%1.2T
12.74%1.2T
0.62%1.21T
-2.89%1.19T
-5.50%1.12T
0.27%1.06T
0.27%1.06T
11.83%1.2T
9.93%1.22T
6.51%1.18T
Free cash flow
3,957.87%326.6B
699.12%115.32B
-0.74%41.06B
197.33%56.3B
160.21%113.91B
104.18%8.05B
-382.13%-19.25B
156.43%41.37B
-255.61%-57.85B
128.69%43.78B
Currency Unit
TWD
TWD
TWD
TWD
TWD
TWD
TWD
TWD
TWD
TWD
(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022(Q1)Mar 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations 2.51%192.22B27.55%66.9B11.76%57.22B1.64%47.71B-44.75%20.4B-3.13%187.51B-15.69%52.45B6.78%51.2B6.12%46.94B-5.77%36.93B
Other non cash items -97.00%-17.67B-210.03%-5.97B-118.22%-3.52B-89.44%-6.18B7.73%-2B15.82%-8.97B30.02%-1.92B44.74%-1.61B0.25%-3.26B-26.48%-2.17B
Change In working capital 285.41%210.6B249.28%89.03B-90.64%1.08B143.68%34.47B540.09%86.02B61.38%-113.59B-47.36%-59.64B110.93%11.53B-418.38%-78.91B107.77%13.44B
-Change in receivables 159.53%211.97B-35.42%99.43B41.08%-185.21B-200.51%-98.81B44.23%396.56B136.80%81.67B165.61%153.96B-178.22%-314.37B21.27%-32.88B64.19%274.96B
-Change in inventory 180.17%201.69B135.44%25.77B105.26%6.16B1,981.19%40.49B316.81%129.27B-172.23%-251.59B-440.25%-72.71B9.82%-117.1B-102.07%-2.15B-12.77%-59.62B
-Change in prepaid assets -8.32%720.92M-28.56%2.47B-94.22%-4.24B175.75%6.46B-40.25%-3.97B29.52%786.33M-42.02%3.46B44.99%-2.18B693.74%2.34B-68.18%-2.83B
-Change in other current assets -124.90%-3.16B28.46%6.26B42.90%5.59B-1,341.93%-7.9B-318.50%-7.12B577.05%12.68B258.60%4.87B42.40%3.91B37.32%635.83M216.43%3.26B
-Change in other current liabilities -120.57%-8.78B-28.73%4.64B-183.07%-7.1B-106.13%-1.28B-175.25%-5.04B150.28%42.69B-22.03%6.51B100.40%8.54B707.02%20.94B261.41%6.7B
Cash from discontinued investing activities
Operating cash flow 306.12%445.55B1,110.78%159.4B2.18%66.03B368.48%79.81B127.60%140.32B211.71%109.71B-57.63%13.17B222.99%64.62B-152.10%-29.73B146.08%61.65B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale -11.72%-105.97B-35.87%-40.63B-4.86%-22.68B33.17%-17.96B-50.17%-24.69B-10.65%-94.85B11.41%-29.91B-21.49%-21.63B-51.40%-26.88B-0.21%-16.44B
Net intangibles purchase and sale -49.34%-2.26B68.98%-689M-160.75%-565.61M-1,529.97%-624.92M-42.55%-382.85M-50.08%-1.51B-1,230.41%-2.22B595.93%931.07M109.55%43.7M-36.08%-268.58M
Net business purchase and sale 138.65%17.44B91.15%-242.05M1,097.89%4.01B101.72%700.97M791.14%12.98B-236.30%-45.14B68.43%-2.73B106.52%334.69M-11,079.54%-40.86B-44,946.43%-1.88B
Net investment purchase and sale -448.46%-131.14B-634.33%-66.45B-498.74%-44.62B-121.50%-12.27B81.85%-7.81B193.12%37.63B292.87%12.44B160.69%11.19B575.74%57.05B-227.31%-43.04B
Net other investing changes -1,589.18%-5.52B-443.51%-2.76B386.02%2.37B-656.05%-6.16B172.33%1.02B96.81%-327.01M85.60%-507.23M107.14%487.43M560.07%1.11B-535.38%-1.41B
Cash from discontinued investing activities
Investing cash flow -203.42%-137.87B-923.88%-82.76B-708.71%-36.35B-345.92%-14.14B90.58%-4.62B50.65%-45.44B74.36%-8.08B116.17%5.97B139.66%5.75B-438.35%-49.08B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt -142.48%-16.34B69.31%-41.14B365.34%53.69B-49.02%39.53B-181.97%-68.42B-65.84%38.47B-713.83%-134.07B-89.54%11.54B509.33%77.54B121.38%83.46B
Cash dividends paid -2.15%-80.72B--0-------------34.52%-79.03B--0------------
Net other financing activities 187.91%7.42B490.20%5.11B113.74%935.13M1,271.68%1.26B151.77%111.37M-207.76%-8.44B-124.41%-1.31B-338.33%-6.81B31.58%-107.55M7.98%-215.13M
Cash from discontinued financing activities
Financing cash flow -82.81%-160.64B62.29%-56.11B43.05%-47.37B-64.40%24.96B-211.00%-82.12B-461.89%-87.87B-651.87%-148.79B-273.60%-83.17B354.48%70.11B212.02%73.98B
Net cash flow
Beginning cash position 0.27%1.06T0.62%1.21T-2.89%1.19T-5.50%1.12T0.27%1.06T-14.06%1.06T11.83%1.2T9.93%1.22T6.51%1.18T-14.06%1.06T
Current changes in cash 722.97%147.04B114.28%20.53B-40.52%-17.68B96.42%90.62B-38.10%53.58B85.78%-23.6B-609.83%-143.71B69.72%-12.58B207.63%46.14B172.61%86.55B
Effect of exchange rate changes -144.15%-11.7B-671.09%-30.9B483.50%37.98B-192.81%-22.42B-90.62%3.63B460.05%26.51B-9.90%5.41B-485.31%-9.9B47.29%-7.66B2,830.82%38.66B
End cash Position 12.74%1.2T12.74%1.2T0.62%1.21T-2.89%1.19T-5.50%1.12T0.27%1.06T0.27%1.06T11.83%1.2T9.93%1.22T6.51%1.18T
Free cash flow 3,957.87%326.6B699.12%115.32B-0.74%41.06B197.33%56.3B160.21%113.91B104.18%8.05B-382.13%-19.25B156.43%41.37B-255.61%-57.85B128.69%43.78B
Currency Unit TWDTWDTWDTWDTWDTWDTWDTWDTWDTWD

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Price Target

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