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CSCO Cisco

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  • 57.895
  • +0.365+0.63%
Trading Dec 19 13:56 ET
230.58BMarket Cap24.85P/E (TTM)

Cisco Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Oct 26, 2024
(FY)Jul 27, 2024
(Q4)Jul 27, 2024
(Q3)Apr 27, 2024
(Q2)Jan 27, 2024
(Q1)Oct 28, 2023
(FY)Jul 29, 2023
(Q4)Jul 29, 2023
(Q3)Apr 29, 2023
(Q2)Jan 28, 2023
Assets
Current assets
Cash, cash equivalents and short term investments
-20.63%18.67B
-31.71%17.85B
-31.71%17.85B
-19.40%18.77B
16.36%25.67B
18.90%23.52B
35.70%26.15B
35.70%26.15B
15.81%23.29B
4.49%22.06B
-Cash and cash equivalents
-5.59%9.07B
-25.83%7.51B
-25.83%7.51B
10.80%8.91B
52.24%13.72B
31.68%9.6B
43.00%10.12B
43.00%10.12B
15.71%8.04B
33.84%9.01B
-Short-term investments
-31.00%9.61B
-35.43%10.35B
-35.43%10.35B
-35.34%9.86B
-8.40%11.96B
11.44%13.92B
31.47%16.02B
31.47%16.02B
15.87%15.24B
-9.25%13.05B
Receivables
-8.09%7.58B
8.87%10.02B
8.87%10.02B
0.75%8.57B
-4.94%8.36B
-9.59%8.25B
-12.55%9.21B
-12.55%9.21B
-11.28%8.51B
-12.06%8.79B
-Accounts receivable
-7.78%4.46B
14.20%6.69B
14.20%6.69B
0.45%5.13B
-6.74%4.88B
-11.14%4.83B
-11.60%5.85B
-11.60%5.85B
-11.74%5.1B
-12.76%5.24B
-Loans receivable
-6.73%2.79B
2.78%3.07B
2.78%3.07B
2.64%3.03B
0.29%3.07B
-5.03%2.99B
--2.99B
--2.99B
37.55%2.95B
37.83%3.06B
-Other receivables
-21.03%338M
-26.65%267M
-26.65%267M
-8.17%416M
-18.00%410M
-20.59%428M
-90.68%364M
-90.68%364M
-72.71%453M
-71.89%500M
Inventory
-5.95%3.14B
-7.44%3.37B
-7.44%3.37B
-10.25%3.12B
2.20%3.21B
25.45%3.34B
41.90%3.64B
41.90%3.64B
55.71%3.47B
52.50%3.14B
Other current assets
39.83%6.36B
28.95%5.61B
28.95%5.61B
15.93%5.43B
8.12%4.89B
-0.53%4.55B
-0.07%4.35B
-0.07%4.35B
15.46%4.68B
24.62%4.52B
Total current assets
-9.85%35.75B
-14.96%36.86B
-14.96%36.86B
-10.17%35.89B
9.38%42.13B
9.73%39.66B
18.06%43.35B
18.06%43.35B
11.03%39.95B
4.66%38.52B
Non current assets
Net PPE
3.89%2.08B
0.24%2.09B
0.24%2.09B
-2.30%2B
2.09%2.01B
1.62%2B
4.41%2.09B
4.41%2.09B
0.05%2.05B
-8.22%1.96B
-Gross PPE
0.45%9.85B
-1.84%9.87B
-1.84%9.87B
-2.86%9.8B
-2.55%9.84B
-2.24%9.8B
-1.05%10.06B
-1.05%10.06B
-2.66%10.08B
-4.99%10.09B
-Accumulated depreciation
0.44%-7.76B
2.38%-7.78B
2.38%-7.78B
3.00%-7.8B
3.67%-7.83B
3.19%-7.8B
2.39%-7.97B
2.39%-7.97B
3.33%-8.04B
4.17%-8.13B
Goodwill and other intangible assets
70.33%69.52B
73.17%69.88B
73.17%69.88B
74.67%70.45B
0.60%40.77B
0.73%40.81B
-1.27%40.35B
-1.27%40.35B
-2.25%40.34B
-2.96%40.52B
-Goodwill
51.09%58.77B
52.23%58.66B
52.23%58.66B
52.81%58.63B
1.82%39.09B
1.94%38.9B
0.60%38.54B
0.60%38.54B
-0.22%38.37B
-0.75%38.39B
-Other intangible assets
461.34%10.74B
517.11%11.22B
517.11%11.22B
501.17%11.82B
-21.37%1.68B
-18.90%1.91B
-29.23%1.82B
-29.23%1.82B
-30.06%1.97B
-30.69%2.13B
Long-term notes receivables
2.38%2.75B
-4.60%2.74B
-4.60%2.74B
-10.91%2.56B
-8.51%2.73B
-11.44%2.69B
--2.87B
--2.87B
26.85%2.88B
30.01%2.99B
Non current accounts receivable
3.60%662M
4.07%639M
4.07%639M
33.33%688M
11.25%633M
9.04%639M
-84.68%614M
-84.68%614M
-69.49%516M
-67.07%569M
Non current deferred assets
-8.28%6.51B
-4.77%6.26B
-4.77%6.26B
-4.99%5.53B
37.91%7.34B
45.21%7.1B
47.81%6.58B
47.81%6.58B
36.04%5.82B
24.64%5.32B
Other non current assets
3.01%6.06B
-1.05%5.94B
-1.05%5.94B
-1.75%5.88B
-6.52%5.58B
-0.56%5.88B
0.84%6.01B
0.84%6.01B
13.56%5.99B
13.13%5.96B
Total non current assets
48.13%87.58B
49.65%87.55B
49.65%87.55B
51.29%87.11B
3.00%59.05B
3.88%59.12B
2.13%58.5B
2.13%58.5B
1.34%57.58B
-0.24%57.33B
Total assets
24.85%123.33B
22.15%124.41B
22.15%124.41B
26.11%123B
5.57%101.17B
6.16%98.78B
8.35%101.85B
8.35%101.85B
5.10%97.53B
1.67%95.84B
Liabilities
Current liabilities
Payables
-8.33%4.09B
-42.84%3.74B
-42.84%3.74B
-29.66%3.92B
-17.77%3.72B
39.24%4.46B
101.97%6.55B
101.97%6.55B
77.46%5.57B
54.15%4.53B
-accounts payable
-4.22%2B
-0.39%2.3B
-0.39%2.3B
-15.89%2.05B
-20.65%1.85B
-10.02%2.08B
1.40%2.31B
1.40%2.31B
6.68%2.44B
10.85%2.33B
-Total tax payable
-11.93%2.1B
-66.02%1.44B
-66.02%1.44B
-40.39%1.87B
-14.73%1.88B
167.42%2.38B
340.69%4.24B
340.69%4.24B
267.61%3.13B
162.84%2.2B
Current debt and capital lease obligation
1,148.89%12.36B
554.41%11.34B
554.41%11.34B
586.94%11.89B
294.88%4.94B
-20.74%990M
57.69%1.73B
57.69%1.73B
73.10%1.73B
-50.04%1.25B
-Current debt
1,148.89%12.36B
554.41%11.34B
554.41%11.34B
586.94%11.89B
294.88%4.94B
-20.74%990M
57.69%1.73B
57.69%1.73B
73.10%1.73B
-50.04%1.25B
Current deferred liabilities
13.05%15.62B
16.83%16.25B
16.83%16.25B
18.88%15.75B
6.88%14.01B
9.81%13.81B
8.79%13.91B
8.79%13.91B
8.16%13.25B
6.86%13.11B
Other current liabilities
18.60%5.61B
9.87%5.64B
9.87%5.64B
10.82%5.33B
-4.11%4.96B
-4.56%4.73B
-1.21%5.14B
-1.21%5.14B
1.80%4.81B
6.90%5.18B
Current liabilities
49.96%40.54B
29.62%40.58B
29.62%40.58B
39.66%40.11B
13.21%30.85B
8.59%27.04B
22.11%31.31B
22.11%31.31B
18.92%28.72B
5.16%27.25B
Non current liabilities
Long term debt and capital lease obligation
194.64%19.62B
194.70%19.62B
194.70%19.62B
201.70%20.1B
-12.68%6.67B
-12.70%6.66B
-20.89%6.66B
-20.89%6.66B
-20.85%6.66B
-14.85%7.64B
-Long term debt
194.64%19.62B
194.70%19.62B
194.70%19.62B
201.70%20.1B
-12.68%6.67B
-12.70%6.66B
-20.89%6.66B
-20.89%6.66B
-20.85%6.66B
-14.85%7.64B
Non current deferred liabilities
0.34%11.89B
5.02%12.23B
5.02%12.23B
6.48%11.72B
8.71%11.76B
13.47%11.85B
11.09%11.64B
11.09%11.64B
9.63%11.01B
7.70%10.82B
Other non current liabilities
17.72%2.64B
19.03%2.54B
19.03%2.54B
14.70%2.43B
9.90%2.25B
13.07%2.24B
8.43%2.13B
8.43%2.13B
0.95%2.12B
-7.20%2.05B
Total non current liabilities
41.36%37.51B
46.51%38.37B
46.51%38.37B
40.00%37.12B
-11.22%24.07B
-4.84%26.54B
-8.39%26.19B
-8.39%26.19B
-6.13%26.52B
-6.02%27.11B
Total liabilities
45.70%78.06B
37.32%78.96B
37.32%78.96B
39.82%77.23B
1.02%54.92B
1.50%53.57B
6.03%57.5B
6.03%57.5B
5.41%55.23B
-0.73%54.37B
Shareholders'equity
Share capital
3.24%45.99B
3.41%45.8B
3.41%45.8B
3.90%45.34B
3.63%45B
3.63%44.55B
3.69%44.29B
3.69%44.29B
2.47%43.64B
2.68%43.42B
-common stock
3.24%45.99B
3.41%45.8B
3.41%45.8B
3.90%45.34B
3.63%45B
3.63%44.55B
3.69%44.29B
3.69%44.29B
2.47%43.64B
2.68%43.42B
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
-75.38%662M
-33.68%1.09B
-33.68%1.09B
684.35%2.06B
858.52%2.76B
552.69%2.69B
224.26%1.64B
224.26%1.64B
136.19%262M
81.85%-364M
Gains losses not affecting retained earnings
32.05%-1.38B
9.21%-1.43B
9.21%-1.43B
-1.49%-1.63B
4.67%-1.51B
4.39%-2.03B
2.90%-1.58B
2.90%-1.58B
-9.77%-1.61B
-101.01%-1.59B
Total stockholders'equity
0.15%45.28B
2.49%45.46B
2.49%45.46B
8.21%45.77B
11.52%46.25B
12.26%45.21B
11.52%44.35B
11.52%44.35B
4.69%42.3B
5.01%41.47B
Total equity
0.15%45.28B
2.49%45.46B
2.49%45.46B
8.21%45.77B
11.52%46.25B
12.26%45.21B
11.52%44.35B
11.52%44.35B
4.69%42.3B
5.01%41.47B
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
(Q1)Oct 26, 2024(FY)Jul 27, 2024(Q4)Jul 27, 2024(Q3)Apr 27, 2024(Q2)Jan 27, 2024(Q1)Oct 28, 2023(FY)Jul 29, 2023(Q4)Jul 29, 2023(Q3)Apr 29, 2023(Q2)Jan 28, 2023
Assets
Current assets
Cash, cash equivalents and short term investments -20.63%18.67B-31.71%17.85B-31.71%17.85B-19.40%18.77B16.36%25.67B18.90%23.52B35.70%26.15B35.70%26.15B15.81%23.29B4.49%22.06B
-Cash and cash equivalents -5.59%9.07B-25.83%7.51B-25.83%7.51B10.80%8.91B52.24%13.72B31.68%9.6B43.00%10.12B43.00%10.12B15.71%8.04B33.84%9.01B
-Short-term investments -31.00%9.61B-35.43%10.35B-35.43%10.35B-35.34%9.86B-8.40%11.96B11.44%13.92B31.47%16.02B31.47%16.02B15.87%15.24B-9.25%13.05B
Receivables -8.09%7.58B8.87%10.02B8.87%10.02B0.75%8.57B-4.94%8.36B-9.59%8.25B-12.55%9.21B-12.55%9.21B-11.28%8.51B-12.06%8.79B
-Accounts receivable -7.78%4.46B14.20%6.69B14.20%6.69B0.45%5.13B-6.74%4.88B-11.14%4.83B-11.60%5.85B-11.60%5.85B-11.74%5.1B-12.76%5.24B
-Loans receivable -6.73%2.79B2.78%3.07B2.78%3.07B2.64%3.03B0.29%3.07B-5.03%2.99B--2.99B--2.99B37.55%2.95B37.83%3.06B
-Other receivables -21.03%338M-26.65%267M-26.65%267M-8.17%416M-18.00%410M-20.59%428M-90.68%364M-90.68%364M-72.71%453M-71.89%500M
Inventory -5.95%3.14B-7.44%3.37B-7.44%3.37B-10.25%3.12B2.20%3.21B25.45%3.34B41.90%3.64B41.90%3.64B55.71%3.47B52.50%3.14B
Other current assets 39.83%6.36B28.95%5.61B28.95%5.61B15.93%5.43B8.12%4.89B-0.53%4.55B-0.07%4.35B-0.07%4.35B15.46%4.68B24.62%4.52B
Total current assets -9.85%35.75B-14.96%36.86B-14.96%36.86B-10.17%35.89B9.38%42.13B9.73%39.66B18.06%43.35B18.06%43.35B11.03%39.95B4.66%38.52B
Non current assets
Net PPE 3.89%2.08B0.24%2.09B0.24%2.09B-2.30%2B2.09%2.01B1.62%2B4.41%2.09B4.41%2.09B0.05%2.05B-8.22%1.96B
-Gross PPE 0.45%9.85B-1.84%9.87B-1.84%9.87B-2.86%9.8B-2.55%9.84B-2.24%9.8B-1.05%10.06B-1.05%10.06B-2.66%10.08B-4.99%10.09B
-Accumulated depreciation 0.44%-7.76B2.38%-7.78B2.38%-7.78B3.00%-7.8B3.67%-7.83B3.19%-7.8B2.39%-7.97B2.39%-7.97B3.33%-8.04B4.17%-8.13B
Goodwill and other intangible assets 70.33%69.52B73.17%69.88B73.17%69.88B74.67%70.45B0.60%40.77B0.73%40.81B-1.27%40.35B-1.27%40.35B-2.25%40.34B-2.96%40.52B
-Goodwill 51.09%58.77B52.23%58.66B52.23%58.66B52.81%58.63B1.82%39.09B1.94%38.9B0.60%38.54B0.60%38.54B-0.22%38.37B-0.75%38.39B
-Other intangible assets 461.34%10.74B517.11%11.22B517.11%11.22B501.17%11.82B-21.37%1.68B-18.90%1.91B-29.23%1.82B-29.23%1.82B-30.06%1.97B-30.69%2.13B
Long-term notes receivables 2.38%2.75B-4.60%2.74B-4.60%2.74B-10.91%2.56B-8.51%2.73B-11.44%2.69B--2.87B--2.87B26.85%2.88B30.01%2.99B
Non current accounts receivable 3.60%662M4.07%639M4.07%639M33.33%688M11.25%633M9.04%639M-84.68%614M-84.68%614M-69.49%516M-67.07%569M
Non current deferred assets -8.28%6.51B-4.77%6.26B-4.77%6.26B-4.99%5.53B37.91%7.34B45.21%7.1B47.81%6.58B47.81%6.58B36.04%5.82B24.64%5.32B
Other non current assets 3.01%6.06B-1.05%5.94B-1.05%5.94B-1.75%5.88B-6.52%5.58B-0.56%5.88B0.84%6.01B0.84%6.01B13.56%5.99B13.13%5.96B
Total non current assets 48.13%87.58B49.65%87.55B49.65%87.55B51.29%87.11B3.00%59.05B3.88%59.12B2.13%58.5B2.13%58.5B1.34%57.58B-0.24%57.33B
Total assets 24.85%123.33B22.15%124.41B22.15%124.41B26.11%123B5.57%101.17B6.16%98.78B8.35%101.85B8.35%101.85B5.10%97.53B1.67%95.84B
Liabilities
Current liabilities
Payables -8.33%4.09B-42.84%3.74B-42.84%3.74B-29.66%3.92B-17.77%3.72B39.24%4.46B101.97%6.55B101.97%6.55B77.46%5.57B54.15%4.53B
-accounts payable -4.22%2B-0.39%2.3B-0.39%2.3B-15.89%2.05B-20.65%1.85B-10.02%2.08B1.40%2.31B1.40%2.31B6.68%2.44B10.85%2.33B
-Total tax payable -11.93%2.1B-66.02%1.44B-66.02%1.44B-40.39%1.87B-14.73%1.88B167.42%2.38B340.69%4.24B340.69%4.24B267.61%3.13B162.84%2.2B
Current debt and capital lease obligation 1,148.89%12.36B554.41%11.34B554.41%11.34B586.94%11.89B294.88%4.94B-20.74%990M57.69%1.73B57.69%1.73B73.10%1.73B-50.04%1.25B
-Current debt 1,148.89%12.36B554.41%11.34B554.41%11.34B586.94%11.89B294.88%4.94B-20.74%990M57.69%1.73B57.69%1.73B73.10%1.73B-50.04%1.25B
Current deferred liabilities 13.05%15.62B16.83%16.25B16.83%16.25B18.88%15.75B6.88%14.01B9.81%13.81B8.79%13.91B8.79%13.91B8.16%13.25B6.86%13.11B
Other current liabilities 18.60%5.61B9.87%5.64B9.87%5.64B10.82%5.33B-4.11%4.96B-4.56%4.73B-1.21%5.14B-1.21%5.14B1.80%4.81B6.90%5.18B
Current liabilities 49.96%40.54B29.62%40.58B29.62%40.58B39.66%40.11B13.21%30.85B8.59%27.04B22.11%31.31B22.11%31.31B18.92%28.72B5.16%27.25B
Non current liabilities
Long term debt and capital lease obligation 194.64%19.62B194.70%19.62B194.70%19.62B201.70%20.1B-12.68%6.67B-12.70%6.66B-20.89%6.66B-20.89%6.66B-20.85%6.66B-14.85%7.64B
-Long term debt 194.64%19.62B194.70%19.62B194.70%19.62B201.70%20.1B-12.68%6.67B-12.70%6.66B-20.89%6.66B-20.89%6.66B-20.85%6.66B-14.85%7.64B
Non current deferred liabilities 0.34%11.89B5.02%12.23B5.02%12.23B6.48%11.72B8.71%11.76B13.47%11.85B11.09%11.64B11.09%11.64B9.63%11.01B7.70%10.82B
Other non current liabilities 17.72%2.64B19.03%2.54B19.03%2.54B14.70%2.43B9.90%2.25B13.07%2.24B8.43%2.13B8.43%2.13B0.95%2.12B-7.20%2.05B
Total non current liabilities 41.36%37.51B46.51%38.37B46.51%38.37B40.00%37.12B-11.22%24.07B-4.84%26.54B-8.39%26.19B-8.39%26.19B-6.13%26.52B-6.02%27.11B
Total liabilities 45.70%78.06B37.32%78.96B37.32%78.96B39.82%77.23B1.02%54.92B1.50%53.57B6.03%57.5B6.03%57.5B5.41%55.23B-0.73%54.37B
Shareholders'equity
Share capital 3.24%45.99B3.41%45.8B3.41%45.8B3.90%45.34B3.63%45B3.63%44.55B3.69%44.29B3.69%44.29B2.47%43.64B2.68%43.42B
-common stock 3.24%45.99B3.41%45.8B3.41%45.8B3.90%45.34B3.63%45B3.63%44.55B3.69%44.29B3.69%44.29B2.47%43.64B2.68%43.42B
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings -75.38%662M-33.68%1.09B-33.68%1.09B684.35%2.06B858.52%2.76B552.69%2.69B224.26%1.64B224.26%1.64B136.19%262M81.85%-364M
Gains losses not affecting retained earnings 32.05%-1.38B9.21%-1.43B9.21%-1.43B-1.49%-1.63B4.67%-1.51B4.39%-2.03B2.90%-1.58B2.90%-1.58B-9.77%-1.61B-101.01%-1.59B
Total stockholders'equity 0.15%45.28B2.49%45.46B2.49%45.46B8.21%45.77B11.52%46.25B12.26%45.21B11.52%44.35B11.52%44.35B4.69%42.3B5.01%41.47B
Total equity 0.15%45.28B2.49%45.46B2.49%45.46B8.21%45.77B11.52%46.25B12.26%45.21B11.52%44.35B11.52%44.35B4.69%42.3B5.01%41.47B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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Companies involved in the creation, trade, and services of digital forms of money.Displayed third-party logos, brands, or trademark images on screens or web pages are only for identification purposes and remain the property of their respective owners.Displayed third-party logos, brands, or trademark images on screens or web pages are only for identification purposes and remain the property of their respective owners. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in U.S. Crypto Concept Stocks, ranked from highest to lowest based on real-time market data. Companies involved in the creation, trade, and services of digital forms of money.Displayed third-party logos, brands, or trademark images on screens or web pages are only for identification purposes and remain the property of their respective owners.Displayed third-party logos, brands, or trademark images on screens or web pages are only for identification purposes and remain the property of their respective owners. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in U.S. Crypto Concept Stocks, ranked from highest to lowest based on real-time market data.