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Applied Materials, Inc. Banner

Applied Materials, Inc.

AMAT Stock Analysis

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Breakdown
2014
2015
2016
2017
2018
2019
2020
2021
2022
2023
Net Income
1.106B1.377B1.721B3.434B3.313B2.706B3.619B5.888B6.525B6.856B
Depreciation & Amortization
375.000M371.000M389.000M407.000M457.000M363.000M376.000M394.000M444.000M515.000M
Change in Working Capital
80.000M-635.000m119.000M-377.000m-339.000m-115.000m-638.000m-1.344b-1.792b775.000M
Operating Cash Flow
1.800B1.163B2.466B3.609B3.787B3.247B3.804B5.442B5.399B8.700B
Capital Expenditure
-241.000m-215.000m-253.000m-345.000m-622.000m-441.000m-422.000m-668.000m-787.000m-1.106b
Free Cash Flow
1.559B948.000M2.213B3.264B3.165B2.806B3.382B4.774B4.612B7.594B
Debt Repayment
0.0002.581B-1.207b1.971B0.0000.00097.000M0.0000.00084.000M
Dividends Paid
-485.000m-487.000m-444.000m-430.000m-605.000m-771.000m-787.000m-838.000m-873.000m-975.000m
Common Stock Issued
107.000M88.000M88.000M97.000M124.000M145.000M174.000M175.000M199.000M227.000M
Common Stock Repurchased
0.000-1.325b-1.892b-1.172b-5.283b-2.403b-649.000m-3.750b-6.103b-2.189b
Net Change in Cash
1.291B1.795B-1.391b1.604B-1.570b-311.000m2.337B-365.000m-3.001b4.133B