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INTU Intuit

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  • 615.240
  • -7.910-1.27%
Trading Apr 30 10:14 ET
172.00BMarket Cap57.55P/E (TTM)

Intuit Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jan 31, 2025
(Q1)Oct 31, 2024
(FY)Jul 31, 2024
(Q4)Jul 31, 2024
(Q3)Apr 30, 2024
(Q2)Jan 31, 2024
(Q1)Oct 31, 2023
(FY)Jul 31, 2023
(Q4)Jul 31, 2023
(Q3)Apr 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
74.39%1.07B
473.20%362M
-3.21%4.88B
-50.48%417M
9.99%3.95B
115.85%613M
-129.57%-97M
29.75%5.05B
148.38%842M
8.19%3.59B
Net income from continuing operations
33.43%471M
-18.26%197M
24.29%2.96B
-122.47%-20M
14.47%2.39B
110.12%353M
502.50%241M
15.39%2.38B
258.93%89M
16.33%2.09B
Depreciation and amortization
3.65%199M
5.24%201M
-2.11%789M
6.67%208M
2.59%198M
-8.13%192M
-8.61%191M
8.04%806M
-6.25%195M
-7.66%193M
Deferred tax
26.09%-136M
27.78%-91M
11.78%-554M
19.25%-193M
48.48%-51M
29.77%-184M
-350.00%-126M
-623.33%-628M
-1,807.14%-239M
-183.90%-99M
Other non cash items
45.95%54M
100.00%82M
2.34%175M
-25.45%41M
100.00%56M
-31.48%37M
20.59%41M
101.18%171M
25.00%55M
-6.67%28M
Change In working capital
93.46%-17M
42.71%-538M
-171.38%-429M
-146.94%-138M
-5.81%908M
15.58%-260M
-169.05%-939M
237.84%601M
235.48%294M
17.13%964M
-Change in receivables
1.36%-655M
82.22%82M
-194.34%-100M
-8.80%259M
3.59%260M
-33.60%-664M
-33.82%45M
5,400.00%106M
39.22%284M
-34.46%251M
-Change in prepaid assets
-724.14%-181M
18.18%-27M
60.00%-30M
-122.75%-48M
112.36%22M
139.73%29M
5.71%-33M
38.02%-75M
739.39%211M
-495.56%-178M
-Change in payables and accrued expense
1,583.33%404M
88.95%-63M
-194.10%-558M
-119.62%-582M
-29.28%570M
-80.65%24M
-691.67%-570M
766.29%593M
28.38%-265M
309.14%806M
-Change in other current liabilities
-37.07%73M
-520.00%-42M
122.97%51M
52.78%-34M
-215.38%-41M
202.65%116M
141.67%10M
-458.06%-222M
42.86%-72M
-108.55%-13M
-Change in other working capital
45.53%342M
-24.81%-488M
4.52%208M
96.32%267M
-1.02%97M
-6.37%235M
-36.71%-391M
169.58%199M
25.93%136M
113.04%98M
Cash from discontinued investing activities
Operating cash flow
74.39%1.07B
473.20%362M
-3.21%4.88B
-50.48%417M
9.99%3.95B
115.85%613M
-129.57%-97M
29.75%5.05B
148.38%842M
8.19%3.59B
Investing cash flow
Cash flow from continuing investing activities
-1,538.24%-489M
-189.52%-188M
75.38%-227M
32.44%-252M
-241.29%-219M
107.59%34M
182.03%210M
82.99%-922M
-19.94%-373M
136.21%155M
Capital expenditure reported
----
----
-18.00%-59M
----
----
----
----
30.56%-50M
----
----
Net PPE purchase and sale
50.79%-31M
60.71%-33M
9.05%-191M
70.00%17M
30.68%-61M
-14.55%-63M
-9.09%-84M
-33.76%-210M
-9.09%10M
-44.26%-88M
Net business purchase and sale
----
----
-151.52%-83M
---83M
----
----
----
99.42%-33M
--0
--0
Net investment purchase and sale
9.07%601M
-68.98%94M
301.23%656M
147.77%139M
-11,333.33%-337M
555.95%551M
348.36%303M
-135.13%-326M
-155.26%-291M
101.35%3M
Net other investing changes
-133.26%-1.06B
-2,666.67%-249M
-81.52%-550M
-533.33%-266M
-25.42%179M
-2.25%-454M
84.21%-9M
30.82%-303M
69.12%-42M
266.67%240M
Cash from discontinued investing activities
Investing cash flow
-1,538.24%-489M
-189.52%-188M
75.38%-227M
32.44%-252M
-241.29%-219M
107.59%34M
182.03%210M
82.99%-922M
-19.94%-373M
136.21%155M
Financing cash flow
Cash flow from continuing financing activities
-20,275.00%-3.26B
-10.37%761M
90.70%-397M
133.26%454M
-8.72%-1.68B
96.38%-16M
192.99%849M
-346.48%-4.27B
-52.17%-1.37B
-249.66%-1.55B
Net issuance payments of debt
91.43%134M
134.84%85M
89.01%-89M
117.31%85M
--0
-12.50%70M
-448.57%-244M
-116.59%-810M
-918.33%-491M
-490.83%-469M
Net common stock issuance
-30.13%-717M
4.62%-557M
-1.07%-1.99B
40.47%-281M
-19.67%-572M
-8.68%-551M
-14.51%-584M
-5.70%-1.97B
9.92%-472M
-3.24%-478M
Cash dividends paid
-17.19%-300M
-13.85%-296M
-16.31%-1.03B
-17.57%-261M
-16.29%-257M
-14.29%-256M
-17.12%-260M
-14.86%-889M
-14.43%-222M
-13.33%-221M
Proceeds from stock option exercised by employees
2.60%79M
4.35%96M
23.68%282M
-28.21%56M
-17.39%57M
266.67%77M
53.33%92M
40.74%228M
69.57%78M
68.29%69M
Net other financing activities
-481.37%-2.46B
-22.33%1.43B
392.66%2.43B
431.40%855M
-102.67%-912M
242.55%644M
693.25%1.85B
-22.75%-831M
9.47%-258M
-933.33%-450M
Cash from discontinued financing activities
Financing cash flow
-20,275.00%-3.26B
-10.37%761M
90.70%-397M
133.26%454M
-8.72%-1.68B
96.38%-16M
192.99%849M
-346.48%-4.27B
-52.17%-1.37B
-249.66%-1.55B
Net cash flow
Beginning cash position
111.59%8.03B
148.91%7.1B
-4.84%2.85B
72.83%6.48B
186.70%4.44B
77.43%3.8B
-4.84%2.85B
6.31%3B
-3.10%3.75B
8.09%1.55B
Current changes in cash
-524.72%-2.68B
-2.81%935M
3,037.93%4.26B
169.08%619M
-6.82%2.05B
204.13%631M
214.39%962M
-172.50%-145M
-3.11%-896M
-10.25%2.2B
Effect of exchange rate changes
-192.31%-12M
--0
---13M
50.00%-1M
-366.67%-8M
-13.33%13M
-6.25%-17M
--0
50.00%-2M
125.00%3M
End cash Position
20.29%5.34B
111.59%8.03B
148.91%7.1B
148.91%7.1B
72.83%6.48B
186.70%4.44B
77.43%3.8B
-4.84%2.85B
-4.84%2.85B
-3.10%3.75B
Free cash flow
88.73%1.04B
281.77%329M
-3.18%4.63B
-53.24%375M
11.02%3.89B
140.17%550M
-172.11%-181M
30.77%4.79B
188.49%802M
7.52%3.5B
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
--
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(Q2)Jan 31, 2025(Q1)Oct 31, 2024(FY)Jul 31, 2024(Q4)Jul 31, 2024(Q3)Apr 30, 2024(Q2)Jan 31, 2024(Q1)Oct 31, 2023(FY)Jul 31, 2023(Q4)Jul 31, 2023(Q3)Apr 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 74.39%1.07B473.20%362M-3.21%4.88B-50.48%417M9.99%3.95B115.85%613M-129.57%-97M29.75%5.05B148.38%842M8.19%3.59B
Net income from continuing operations 33.43%471M-18.26%197M24.29%2.96B-122.47%-20M14.47%2.39B110.12%353M502.50%241M15.39%2.38B258.93%89M16.33%2.09B
Depreciation and amortization 3.65%199M5.24%201M-2.11%789M6.67%208M2.59%198M-8.13%192M-8.61%191M8.04%806M-6.25%195M-7.66%193M
Deferred tax 26.09%-136M27.78%-91M11.78%-554M19.25%-193M48.48%-51M29.77%-184M-350.00%-126M-623.33%-628M-1,807.14%-239M-183.90%-99M
Other non cash items 45.95%54M100.00%82M2.34%175M-25.45%41M100.00%56M-31.48%37M20.59%41M101.18%171M25.00%55M-6.67%28M
Change In working capital 93.46%-17M42.71%-538M-171.38%-429M-146.94%-138M-5.81%908M15.58%-260M-169.05%-939M237.84%601M235.48%294M17.13%964M
-Change in receivables 1.36%-655M82.22%82M-194.34%-100M-8.80%259M3.59%260M-33.60%-664M-33.82%45M5,400.00%106M39.22%284M-34.46%251M
-Change in prepaid assets -724.14%-181M18.18%-27M60.00%-30M-122.75%-48M112.36%22M139.73%29M5.71%-33M38.02%-75M739.39%211M-495.56%-178M
-Change in payables and accrued expense 1,583.33%404M88.95%-63M-194.10%-558M-119.62%-582M-29.28%570M-80.65%24M-691.67%-570M766.29%593M28.38%-265M309.14%806M
-Change in other current liabilities -37.07%73M-520.00%-42M122.97%51M52.78%-34M-215.38%-41M202.65%116M141.67%10M-458.06%-222M42.86%-72M-108.55%-13M
-Change in other working capital 45.53%342M-24.81%-488M4.52%208M96.32%267M-1.02%97M-6.37%235M-36.71%-391M169.58%199M25.93%136M113.04%98M
Cash from discontinued investing activities
Operating cash flow 74.39%1.07B473.20%362M-3.21%4.88B-50.48%417M9.99%3.95B115.85%613M-129.57%-97M29.75%5.05B148.38%842M8.19%3.59B
Investing cash flow
Cash flow from continuing investing activities -1,538.24%-489M-189.52%-188M75.38%-227M32.44%-252M-241.29%-219M107.59%34M182.03%210M82.99%-922M-19.94%-373M136.21%155M
Capital expenditure reported ---------18.00%-59M----------------30.56%-50M--------
Net PPE purchase and sale 50.79%-31M60.71%-33M9.05%-191M70.00%17M30.68%-61M-14.55%-63M-9.09%-84M-33.76%-210M-9.09%10M-44.26%-88M
Net business purchase and sale ---------151.52%-83M---83M------------99.42%-33M--0--0
Net investment purchase and sale 9.07%601M-68.98%94M301.23%656M147.77%139M-11,333.33%-337M555.95%551M348.36%303M-135.13%-326M-155.26%-291M101.35%3M
Net other investing changes -133.26%-1.06B-2,666.67%-249M-81.52%-550M-533.33%-266M-25.42%179M-2.25%-454M84.21%-9M30.82%-303M69.12%-42M266.67%240M
Cash from discontinued investing activities
Investing cash flow -1,538.24%-489M-189.52%-188M75.38%-227M32.44%-252M-241.29%-219M107.59%34M182.03%210M82.99%-922M-19.94%-373M136.21%155M
Financing cash flow
Cash flow from continuing financing activities -20,275.00%-3.26B-10.37%761M90.70%-397M133.26%454M-8.72%-1.68B96.38%-16M192.99%849M-346.48%-4.27B-52.17%-1.37B-249.66%-1.55B
Net issuance payments of debt 91.43%134M134.84%85M89.01%-89M117.31%85M--0-12.50%70M-448.57%-244M-116.59%-810M-918.33%-491M-490.83%-469M
Net common stock issuance -30.13%-717M4.62%-557M-1.07%-1.99B40.47%-281M-19.67%-572M-8.68%-551M-14.51%-584M-5.70%-1.97B9.92%-472M-3.24%-478M
Cash dividends paid -17.19%-300M-13.85%-296M-16.31%-1.03B-17.57%-261M-16.29%-257M-14.29%-256M-17.12%-260M-14.86%-889M-14.43%-222M-13.33%-221M
Proceeds from stock option exercised by employees 2.60%79M4.35%96M23.68%282M-28.21%56M-17.39%57M266.67%77M53.33%92M40.74%228M69.57%78M68.29%69M
Net other financing activities -481.37%-2.46B-22.33%1.43B392.66%2.43B431.40%855M-102.67%-912M242.55%644M693.25%1.85B-22.75%-831M9.47%-258M-933.33%-450M
Cash from discontinued financing activities
Financing cash flow -20,275.00%-3.26B-10.37%761M90.70%-397M133.26%454M-8.72%-1.68B96.38%-16M192.99%849M-346.48%-4.27B-52.17%-1.37B-249.66%-1.55B
Net cash flow
Beginning cash position 111.59%8.03B148.91%7.1B-4.84%2.85B72.83%6.48B186.70%4.44B77.43%3.8B-4.84%2.85B6.31%3B-3.10%3.75B8.09%1.55B
Current changes in cash -524.72%-2.68B-2.81%935M3,037.93%4.26B169.08%619M-6.82%2.05B204.13%631M214.39%962M-172.50%-145M-3.11%-896M-10.25%2.2B
Effect of exchange rate changes -192.31%-12M--0---13M50.00%-1M-366.67%-8M-13.33%13M-6.25%-17M--050.00%-2M125.00%3M
End cash Position 20.29%5.34B111.59%8.03B148.91%7.1B148.91%7.1B72.83%6.48B186.70%4.44B77.43%3.8B-4.84%2.85B-4.84%2.85B-3.10%3.75B
Free cash flow 88.73%1.04B281.77%329M-3.18%4.63B-53.24%375M11.02%3.89B140.17%550M-172.11%-181M30.77%4.79B188.49%802M7.52%3.5B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

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