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JMPLY JOHNSON MATTHEY SPON ADR EACH REPR 2 ORD (POST REV SPLT)

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  • 44.795
  • +0.475+1.07%
15min DelayClose May 2 16:00 ET
4.11BMarket Cap18.30P/E (TTM)

JOHNSON MATTHEY SPON ADR EACH REPR 2 ORD (POST REV SPLT) Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Mar 31, 2023
(FY)Mar 31, 2022
(FY)Mar 31, 2021
(FY)Mar 31, 2020
(FY)Mar 31, 2019
(FY)Mar 31, 2018
(FY)Mar 31, 2017
(FY)Mar 31, 2016
(FY)Mar 31, 2015
(FY)Mar 31, 2014
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
893.18%349M
-118.49%-44M
-21.97%238M
-37.50%305M
52.50%488M
-30.74%320M
19.60%462M
-22.09%386.3M
21.94%495.8M
16.64%406.6M
Other non cash items
1.67%61M
-29.41%60M
-1.16%85M
100.00%86M
13.16%43M
22.58%38M
-4.91%31M
-13.07%32.6M
-10.93%37.5M
26.81%42.1M
Change In working capital
-406.38%-238M
-119.83%-47M
3,485.71%237M
97.18%-7M
-86.47%-248M
-146.30%-133M
-113.13%-54M
206.39%411.2M
-760.80%-386.5M
12.98%-44.9M
-Change in receivables
-117.35%-102M
236.74%588M
20.52%-430M
-119.92%-541M
-70.83%-246M
-29.73%-144M
-172.45%-111M
206.76%153.2M
12.98%-143.5M
-7,069.57%-164.9M
-Change in inventory
-213.01%-139M
547.37%123M
103.30%19M
-45.94%-575M
-496.97%-394M
-78.38%-66M
-117.49%-37M
194.76%211.6M
-229.84%-223.3M
-515.45%-67.7M
Cash from discontinued investing activities
Operating cash flow
-51.90%291M
-21.33%605M
28.60%769M
79.04%598M
-13.47%334M
-26.20%386M
-39.64%523M
588.79%866.5M
-73.62%125.8M
20.25%476.9M
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale
29.33%-253M
-17.76%-358M
6.46%-304M
-51.16%-325M
-36.94%-215M
19.07%-157M
-1.57%-194M
-3.24%-191M
9.98%-185M
-18.51%-205.5M
Net intangibles purchase and sale
33.68%-63M
-23.38%-95M
30.63%-77M
-29.07%-111M
-45.76%-86M
10.61%-59M
-5.60%-66M
-130.63%-62.5M
-238.75%-27.1M
17.53%-8M
Net business purchase and sale
18.13%189M
742.11%160M
--19M
--0
-60.00%2M
125.00%5M
-109.44%-20M
357.45%211.8M
678.75%46.3M
94.65%-8M
Net investment purchase and sale
---17M
--0
----
----
----
----
----
--0
--0
99.60%-200K
Net other investing changes
1,400.00%15M
-80.00%1M
400.00%5M
0.00%1M
-85.71%1M
75.00%7M
0.00%4M
5.26%4M
8.57%3.8M
250.00%3.5M
Cash from discontinued investing activities
Investing cash flow
61.15%-101M
10.65%-260M
12.08%-291M
-39.66%-331M
-31.67%-237M
33.58%-180M
-741.61%-271M
79.12%-32.2M
29.33%-154.2M
42.88%-218.2M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
398.47%391M
-287.14%-131M
483.33%70M
-95.06%12M
1,418.75%243M
130.19%16M
31.35%-53M
-255.96%-77.2M
-37.50%49.5M
-71.76%79.2M
Net common stock issuance
70.97%-45M
---155M
--0
----
----
----
-93.55%-6M
81.87%-3.1M
11.40%-17.1M
19.25%-19.3M
Cash dividends paid
-1.44%-141M
-40.40%-139M
40.72%-99M
-7.05%-167M
-6.85%-156M
-5.04%-146M
68.74%-139M
-242.26%-444.6M
-9.53%-129.9M
63.89%-118.6M
Net other financing activities
----
----
----
----
-100.00%-2M
85.71%-1M
-45.83%-7M
27.27%-4.8M
-204.76%-6.6M
-38.24%6.3M
Cash from discontinued financing activities
Financing cash flow
117.64%97M
-172.28%-550M
45.41%-202M
-1,508.70%-370M
88.27%-23M
20.65%-196M
56.17%-247M
-287.62%-563.6M
-53.86%-145.4M
2.68%-94.5M
Net cash flow
Beginning cash position
-36.51%346M
99.63%545M
-27.78%273M
24.34%378M
2.01%304M
4.93%298M
7,182.05%284M
-97.86%3.9M
753.27%182.6M
-79.04%21.4M
Current changes in cash
240.00%287M
-174.28%-205M
367.96%276M
-239.19%-103M
640.00%74M
100.00%10M
-98.15%5M
251.48%270.7M
-208.83%-178.7M
299.03%164.2M
Effect of exchange rate changes
-33.33%4M
250.00%6M
-100.00%-4M
---2M
--0
-144.44%-4M
-2.17%9M
--9.2M
--0
-266.67%-3M
End cash Position
84.10%637M
-36.51%346M
99.63%545M
-27.78%273M
24.34%378M
2.01%304M
5.00%298M
7,176.92%283.8M
-97.86%3.9M
753.27%182.6M
Free cash flow
-116.45%-25M
-60.82%152M
150.32%388M
369.70%155M
-80.59%33M
-35.36%170M
-57.10%263M
810.31%613M
-132.76%-86.3M
23.37%263.4M
Currency Unit
GBP
GBP
GBP
GBP
GBP
GBP
GBP
GBP
GBP
GBP
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(FY)Mar 31, 2023(FY)Mar 31, 2022(FY)Mar 31, 2021(FY)Mar 31, 2020(FY)Mar 31, 2019(FY)Mar 31, 2018(FY)Mar 31, 2017(FY)Mar 31, 2016(FY)Mar 31, 2015(FY)Mar 31, 2014
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations 893.18%349M-118.49%-44M-21.97%238M-37.50%305M52.50%488M-30.74%320M19.60%462M-22.09%386.3M21.94%495.8M16.64%406.6M
Other non cash items 1.67%61M-29.41%60M-1.16%85M100.00%86M13.16%43M22.58%38M-4.91%31M-13.07%32.6M-10.93%37.5M26.81%42.1M
Change In working capital -406.38%-238M-119.83%-47M3,485.71%237M97.18%-7M-86.47%-248M-146.30%-133M-113.13%-54M206.39%411.2M-760.80%-386.5M12.98%-44.9M
-Change in receivables -117.35%-102M236.74%588M20.52%-430M-119.92%-541M-70.83%-246M-29.73%-144M-172.45%-111M206.76%153.2M12.98%-143.5M-7,069.57%-164.9M
-Change in inventory -213.01%-139M547.37%123M103.30%19M-45.94%-575M-496.97%-394M-78.38%-66M-117.49%-37M194.76%211.6M-229.84%-223.3M-515.45%-67.7M
Cash from discontinued investing activities
Operating cash flow -51.90%291M-21.33%605M28.60%769M79.04%598M-13.47%334M-26.20%386M-39.64%523M588.79%866.5M-73.62%125.8M20.25%476.9M
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale 29.33%-253M-17.76%-358M6.46%-304M-51.16%-325M-36.94%-215M19.07%-157M-1.57%-194M-3.24%-191M9.98%-185M-18.51%-205.5M
Net intangibles purchase and sale 33.68%-63M-23.38%-95M30.63%-77M-29.07%-111M-45.76%-86M10.61%-59M-5.60%-66M-130.63%-62.5M-238.75%-27.1M17.53%-8M
Net business purchase and sale 18.13%189M742.11%160M--19M--0-60.00%2M125.00%5M-109.44%-20M357.45%211.8M678.75%46.3M94.65%-8M
Net investment purchase and sale ---17M--0----------------------0--099.60%-200K
Net other investing changes 1,400.00%15M-80.00%1M400.00%5M0.00%1M-85.71%1M75.00%7M0.00%4M5.26%4M8.57%3.8M250.00%3.5M
Cash from discontinued investing activities
Investing cash flow 61.15%-101M10.65%-260M12.08%-291M-39.66%-331M-31.67%-237M33.58%-180M-741.61%-271M79.12%-32.2M29.33%-154.2M42.88%-218.2M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt 398.47%391M-287.14%-131M483.33%70M-95.06%12M1,418.75%243M130.19%16M31.35%-53M-255.96%-77.2M-37.50%49.5M-71.76%79.2M
Net common stock issuance 70.97%-45M---155M--0-------------93.55%-6M81.87%-3.1M11.40%-17.1M19.25%-19.3M
Cash dividends paid -1.44%-141M-40.40%-139M40.72%-99M-7.05%-167M-6.85%-156M-5.04%-146M68.74%-139M-242.26%-444.6M-9.53%-129.9M63.89%-118.6M
Net other financing activities -----------------100.00%-2M85.71%-1M-45.83%-7M27.27%-4.8M-204.76%-6.6M-38.24%6.3M
Cash from discontinued financing activities
Financing cash flow 117.64%97M-172.28%-550M45.41%-202M-1,508.70%-370M88.27%-23M20.65%-196M56.17%-247M-287.62%-563.6M-53.86%-145.4M2.68%-94.5M
Net cash flow
Beginning cash position -36.51%346M99.63%545M-27.78%273M24.34%378M2.01%304M4.93%298M7,182.05%284M-97.86%3.9M753.27%182.6M-79.04%21.4M
Current changes in cash 240.00%287M-174.28%-205M367.96%276M-239.19%-103M640.00%74M100.00%10M-98.15%5M251.48%270.7M-208.83%-178.7M299.03%164.2M
Effect of exchange rate changes -33.33%4M250.00%6M-100.00%-4M---2M--0-144.44%-4M-2.17%9M--9.2M--0-266.67%-3M
End cash Position 84.10%637M-36.51%346M99.63%545M-27.78%273M24.34%378M2.01%304M5.00%298M7,176.92%283.8M-97.86%3.9M753.27%182.6M
Free cash flow -116.45%-25M-60.82%152M150.32%388M369.70%155M-80.59%33M-35.36%170M-57.10%263M810.31%613M-132.76%-86.3M23.37%263.4M
Currency Unit GBPGBPGBPGBPGBPGBPGBPGBPGBPGBP
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

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