CSCO

Cisco Systems, Inc. (CSCO)

Last Price$49.80.4%
Market Cap$203.0bn
Financial profile score
1/10
LTM Revenue
$53.8 bn
-2.8% YoY
LTM Net Income
$10.3 bn
-14.8% YoY
LTM Free Cash Flow
$10.2 bn
-17.7% YoY
Net Debt
$23.5 bn
Short-term financial position
0.9x
Current Assets / Current Liabilities

CSCO Income statement

Crunching data... Almost there!
Earnings growth (<10% annually)
CSCO's earnings have decreased by -1.7% per year over the past 5 years.
Growing Net income margin
CSCO's net income margin has decreased (-2.9%) in the last year from (22.1%) to (19.2%)

CSCO Balance sheet

Crunching data... Almost there!

CSCO Key balance sheet metrics

Crunching data... Almost there!

CSCO Cash flow statement

Crunching data... Almost there!

CSCO Key cash flow statement metrics

Crunching data... Almost there!
Growing free cash flow margin
CSCO's free cash flow margin has decreased (-14.4%) in the last year from (33.4%) to (19.0%)

Discover more CSCO fundamentals

Stock picking tips. Ultimate guide 2024
Discover the secrets to successful stock picking in 2024! We asked 1,000 top investors for their insights on the best stocks, investment strategies, and market trends.

FAQ

What are Cisco Systems, Inc. (CSCO) Key Income Statement Metrics?

As of today, Cisco Systems, Inc. last 12-month Revenue is $53.8 bn , EBITDA is $15.8 bn and Net Income is $10.3 bn , based on the financial report for July 27, 2024 (Q3 2024).

What are Cisco Systems, Inc. (CSCO) Key Balance Sheet Metrics?

As of today, Cisco Systems, Inc. Total Assets are $124.4 bn and Total Liabilities are $79.0 bn , based on the financial report for July 27, 2024 (Q3 2024).

What are Cisco Systems, Inc. (CSCO) Key Cash Flow Statement Metrics?

As of today, Cisco Systems, Inc. last 12-month Cash Flow from Operating Activities is $3.7 bn, Cash Flow from Investing Activities is $-0.8 bn and Cash Flow from Financing Activities is $-4.5 bn, based on the financial report for July 27, 2024 (Q3 2024).

What is Cisco Systems, Inc. (CSCO) Free Cash Flow?

As of today, Cisco Systems, Inc. last 12-month Free Cash Flow is $10.2 bn , based on the financial report for July 27, 2024 (Q3 2024).