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KO Coca-Cola

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  • 62.170
  • +0.180+0.29%
Close May 3 16:00 ET
  • 62.215
  • +0.045+0.07%
Post 19:59 ET
267.83BMarket Cap24.97P/E (TTM)

Coca-Cola Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 29, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 29, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jul 1, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
230.00%528M
5.27%11.6B
-9.49%2.67B
22.09%4.3B
13.92%4.47B
-74.32%160M
-12.73%11.02B
-13.08%2.95B
-4.96%3.52B
3.92B
Net income from continuing operations
2.31%3.19B
11.83%10.7B
-3.40%1.99B
9.25%3.08B
32.68%2.52B
11.46%3.11B
-2.38%9.57B
-16.08%2.06B
14.02%2.82B
--1.9B
Operating gains losses
81.70%-41M
-32.91%-844M
395.45%130M
-46.22%-541M
-182.43%-209M
-52.38%-224M
-20.04%-635M
-145.36%-44M
-41.22%-370M
---74M
Depreciation and amortization
-8.39%262M
-10.48%1.13B
-11.73%271M
-5.54%290M
-12.73%281M
-11.73%286M
-13.22%1.26B
-9.97%307M
-15.19%307M
--322M
Deferred tax
-166.54%-173M
98.36%-2M
1,069.23%152M
812.50%57M
-180.36%-471M
534.15%260M
-113.65%-122M
-92.26%13M
-103.54%-8M
---168M
Other non cash items
115.79%72M
1.09%1.21B
126.05%31M
2,235.00%467M
-10.39%1.16B
-6,414.29%-456M
281.31%1.19B
87.07%-119M
-90.52%20M
--1.3B
Change In working capital
1.11%-2.85B
-39.83%-846M
-96.48%23M
32.98%887M
106.83%1.12B
-16.57%-2.88B
-145.66%-605M
-43.47%654M
10.07%667M
--542M
-Change in receivables
----
97.10%-2M
----
----
----
----
69.33%-69M
----
----
----
-Change in inventory
----
37.81%-597M
----
----
----
----
-611.11%-960M
----
----
----
-Change in prepaid assets
----
-243.56%-323M
----
----
----
----
193.36%225M
----
----
----
-Change in payables and accrued expense
----
-34.09%263M
----
----
----
----
-82.48%399M
----
----
----
-Change in other current liabilities
----
6.50%-187M
----
----
----
----
43.02%-200M
----
----
----
Cash from discontinued investing activities
Operating cash flow
230.00%528M
5.27%11.6B
-9.49%2.67B
22.09%4.3B
13.92%4.47B
-74.32%160M
-12.73%11.02B
-13.08%2.95B
-4.96%3.52B
--3.92B
Investing cash flow
Cash flow from continuing investing activities
182.05%330M
-338.93%-3.35B
-164.94%-926M
-58.72%-1.66B
31.60%-883M
-19.86%117M
72.41%-763M
130.44%1.43B
-728.92%-1.04B
-1.29B
Net PPE purchase and sale
-39.61%-356M
-26.19%-1.78B
-21.21%-823M
-36.96%-378M
-27.27%-322M
-26.87%-255M
-11.91%-1.41B
-13.93%-679M
-14.52%-276M
---253M
Net business purchase and sale
864.88%2.89B
-4.42%368M
-56.12%86M
121.74%5M
-2,100.00%-22M
40.38%299M
114.89%385M
104.33%196M
-112.43%-23M
---1M
Net investment purchase and sale
-2,873.68%-2.11B
-329.80%-2.34B
-156.84%-648M
-241.19%-1.2B
-123.05%-571M
-84.43%76M
-0.87%1.02B
144.11%1.14B
-293.41%-352M
---256M
Net other investing changes
-2,933.33%-91M
153.36%405M
-40.31%459M
78.88%-83M
104.10%32M
99.15%-3M
-1,588.24%-759M
2,663.33%769M
-1,082.50%-393M
---781M
Cash from discontinued investing activities
Investing cash flow
182.05%330M
-338.93%-3.35B
-164.94%-926M
-58.72%-1.66B
31.60%-883M
-19.86%117M
72.41%-763M
130.44%1.43B
-728.92%-1.04B
---1.29B
Financing cash flow
Cash flow from continuing financing activities
-80.34%406M
18.93%-8.31B
18.31%-4.23B
-173.67%-3.09B
-214.15%-3.06B
169.41%2.07B
-51.05%-10.25B
-2,552.31%-5.17B
30.76%-1.13B
-975M
Net issuance payments of debt
-68.31%919M
293.84%1.86B
141.21%638M
-23.88%-1.05B
-143.82%-628M
41,328.57%2.9B
-520.18%-958M
-209.24%-1.55B
-5,412.50%-850M
--1.43B
Net common stock issuance
33.44%-412M
-201.20%-1.75B
-891.13%-981M
70.07%-44M
77.01%-106M
-538.14%-619M
-198.31%-581M
-38.61%124M
-197.35%-147M
---461M
Cash dividends paid
1.98%-99M
-4.41%-7.95B
-4.53%-3.87B
-1,889.00%-1.99B
-4.41%-1.99B
94.70%-101M
-5.02%-7.62B
-104.19%-3.71B
94.49%-100M
---1.9B
Net other financing activities
98.26%-2M
57.53%-465M
80.95%-8M
96.77%-1M
-693.02%-341M
88.25%-115M
-210.20%-1.1B
-4,300.00%-42M
-272.22%-31M
---43M
Cash from discontinued financing activities
Financing cash flow
-80.34%406M
18.93%-8.31B
18.31%-4.23B
-173.67%-3.09B
-214.15%-3.06B
169.41%2.07B
-51.05%-10.25B
-2,552.31%-5.17B
30.76%-1.13B
---975M
Net cash flow
Beginning cash position
-1.35%9.69B
-2.00%9.83B
17.02%12.21B
37.97%12.85B
50.20%12B
-2.00%9.83B
41.00%10.03B
-10.15%10.43B
-2.03%9.32B
--7.99B
Current changes in cash
-46.03%1.26B
-1,300.00%-60M
-211.68%-2.48B
-132.89%-444M
-68.44%523M
206.17%2.34B
-99.84%5M
46.40%-796M
-39.81%1.35B
--1.66B
Effect of exchange rate changes
-222.12%-138M
64.39%-73M
-119.79%-37M
14.29%-198M
114.67%49M
-34.68%113M
-28.93%-205M
281.55%187M
-67.39%-231M
---334M
End cash Position
-13.00%10.44B
-1.35%9.69B
-1.35%9.69B
17.02%12.21B
37.97%12.85B
50.20%12B
-2.00%9.83B
-2.00%9.83B
-10.15%10.43B
--9.32B
Free cash flow
236.21%158M
2.23%9.75B
-18.87%1.82B
21.06%3.91B
13.06%4.13B
-128.57%-116M
-15.31%9.53B
-18.62%2.24B
-5.69%3.23B
--3.65B
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
--
--
--
(Q1)Mar 29, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 29, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jul 1, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 230.00%528M5.27%11.6B-9.49%2.67B22.09%4.3B13.92%4.47B-74.32%160M-12.73%11.02B-13.08%2.95B-4.96%3.52B3.92B
Net income from continuing operations 2.31%3.19B11.83%10.7B-3.40%1.99B9.25%3.08B32.68%2.52B11.46%3.11B-2.38%9.57B-16.08%2.06B14.02%2.82B--1.9B
Operating gains losses 81.70%-41M-32.91%-844M395.45%130M-46.22%-541M-182.43%-209M-52.38%-224M-20.04%-635M-145.36%-44M-41.22%-370M---74M
Depreciation and amortization -8.39%262M-10.48%1.13B-11.73%271M-5.54%290M-12.73%281M-11.73%286M-13.22%1.26B-9.97%307M-15.19%307M--322M
Deferred tax -166.54%-173M98.36%-2M1,069.23%152M812.50%57M-180.36%-471M534.15%260M-113.65%-122M-92.26%13M-103.54%-8M---168M
Other non cash items 115.79%72M1.09%1.21B126.05%31M2,235.00%467M-10.39%1.16B-6,414.29%-456M281.31%1.19B87.07%-119M-90.52%20M--1.3B
Change In working capital 1.11%-2.85B-39.83%-846M-96.48%23M32.98%887M106.83%1.12B-16.57%-2.88B-145.66%-605M-43.47%654M10.07%667M--542M
-Change in receivables ----97.10%-2M----------------69.33%-69M------------
-Change in inventory ----37.81%-597M-----------------611.11%-960M------------
-Change in prepaid assets -----243.56%-323M----------------193.36%225M------------
-Change in payables and accrued expense -----34.09%263M-----------------82.48%399M------------
-Change in other current liabilities ----6.50%-187M----------------43.02%-200M------------
Cash from discontinued investing activities
Operating cash flow 230.00%528M5.27%11.6B-9.49%2.67B22.09%4.3B13.92%4.47B-74.32%160M-12.73%11.02B-13.08%2.95B-4.96%3.52B--3.92B
Investing cash flow
Cash flow from continuing investing activities 182.05%330M-338.93%-3.35B-164.94%-926M-58.72%-1.66B31.60%-883M-19.86%117M72.41%-763M130.44%1.43B-728.92%-1.04B-1.29B
Net PPE purchase and sale -39.61%-356M-26.19%-1.78B-21.21%-823M-36.96%-378M-27.27%-322M-26.87%-255M-11.91%-1.41B-13.93%-679M-14.52%-276M---253M
Net business purchase and sale 864.88%2.89B-4.42%368M-56.12%86M121.74%5M-2,100.00%-22M40.38%299M114.89%385M104.33%196M-112.43%-23M---1M
Net investment purchase and sale -2,873.68%-2.11B-329.80%-2.34B-156.84%-648M-241.19%-1.2B-123.05%-571M-84.43%76M-0.87%1.02B144.11%1.14B-293.41%-352M---256M
Net other investing changes -2,933.33%-91M153.36%405M-40.31%459M78.88%-83M104.10%32M99.15%-3M-1,588.24%-759M2,663.33%769M-1,082.50%-393M---781M
Cash from discontinued investing activities
Investing cash flow 182.05%330M-338.93%-3.35B-164.94%-926M-58.72%-1.66B31.60%-883M-19.86%117M72.41%-763M130.44%1.43B-728.92%-1.04B---1.29B
Financing cash flow
Cash flow from continuing financing activities -80.34%406M18.93%-8.31B18.31%-4.23B-173.67%-3.09B-214.15%-3.06B169.41%2.07B-51.05%-10.25B-2,552.31%-5.17B30.76%-1.13B-975M
Net issuance payments of debt -68.31%919M293.84%1.86B141.21%638M-23.88%-1.05B-143.82%-628M41,328.57%2.9B-520.18%-958M-209.24%-1.55B-5,412.50%-850M--1.43B
Net common stock issuance 33.44%-412M-201.20%-1.75B-891.13%-981M70.07%-44M77.01%-106M-538.14%-619M-198.31%-581M-38.61%124M-197.35%-147M---461M
Cash dividends paid 1.98%-99M-4.41%-7.95B-4.53%-3.87B-1,889.00%-1.99B-4.41%-1.99B94.70%-101M-5.02%-7.62B-104.19%-3.71B94.49%-100M---1.9B
Net other financing activities 98.26%-2M57.53%-465M80.95%-8M96.77%-1M-693.02%-341M88.25%-115M-210.20%-1.1B-4,300.00%-42M-272.22%-31M---43M
Cash from discontinued financing activities
Financing cash flow -80.34%406M18.93%-8.31B18.31%-4.23B-173.67%-3.09B-214.15%-3.06B169.41%2.07B-51.05%-10.25B-2,552.31%-5.17B30.76%-1.13B---975M
Net cash flow
Beginning cash position -1.35%9.69B-2.00%9.83B17.02%12.21B37.97%12.85B50.20%12B-2.00%9.83B41.00%10.03B-10.15%10.43B-2.03%9.32B--7.99B
Current changes in cash -46.03%1.26B-1,300.00%-60M-211.68%-2.48B-132.89%-444M-68.44%523M206.17%2.34B-99.84%5M46.40%-796M-39.81%1.35B--1.66B
Effect of exchange rate changes -222.12%-138M64.39%-73M-119.79%-37M14.29%-198M114.67%49M-34.68%113M-28.93%-205M281.55%187M-67.39%-231M---334M
End cash Position -13.00%10.44B-1.35%9.69B-1.35%9.69B17.02%12.21B37.97%12.85B50.20%12B-2.00%9.83B-2.00%9.83B-10.15%10.43B--9.32B
Free cash flow 236.21%158M2.23%9.75B-18.87%1.82B21.06%3.91B13.06%4.13B-128.57%-116M-15.31%9.53B-18.62%2.24B-5.69%3.23B--3.65B
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

No Data

Business Data

Unit case volume growth

No Data

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