US Stock MarketDetailed Quotes

LNVGY LENOVO GROUP LTD

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  • 32.550
  • -0.580-1.75%
15min DelayClose Feb 26 16:00 ET
20.19BMarket Cap17.44P/E (TTM)

LENOVO GROUP LTD Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Dec 31, 2024
(Q2)Sep 30, 2024
(Q1)Jun 30, 2024
(FY)Mar 31, 2024
(Q3)Dec 31, 2023
(Q2)Sep 30, 2023
(Q1)Jun 30, 2023
(FY)Mar 31, 2023
(Q4)Mar 31, 2023
(Q3)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
9.75%516.99M
32.32%473.19M
37.20%313M
-36.07%1.37B
-22.14%471.04M
-49.63%357.62M
-66.96%228.13M
-22.83%2.14B
-74.93%130.42M
-29.26%605M
Other non cash items
15.22%165.32M
15.08%170.39M
10.63%173.97M
16.09%618.73M
-6.19%143.49M
2.84%148.06M
92.57%157.25M
74.22%532.98M
135.56%154.4M
99.84%152.95M
Change In working capital
18.83%-351.89M
197.43%196.3M
20.44%248.56M
34.01%-150.54M
32.78%-433.52M
-122.42%-201.48M
137.22%206.37M
-162.42%-228.11M
-87.60%72.69M
-60.38%-644.96M
-Change in receivables
52.96%-107.79M
-37.31%-2.13B
-193.43%-393.39M
-104.05%-190.93M
-197.86%-229.14M
-156.43%-1.55B
6.44%421.06M
268.82%4.72B
-22.74%1.34B
107.13%234.17M
-Change in inventory
9.77%-47.51M
-407.33%-1.35B
-339.59%-1.09B
-119.23%-360.69M
-105.92%-52.66M
-160.35%-266.51M
179.90%453.05M
197.45%1.88B
689.08%1.11B
210.59%889.44M
Cash from discontinued investing activities
Operating cash flow
-5.51%344.11M
117.43%986.69M
21.80%791.39M
-28.21%2.01B
391.88%364.17M
-78.23%453.79M
62.96%649.76M
-31.29%2.8B
-83.29%244.37M
-87.79%74.04M
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale
-5.02%-160.36M
23.04%-145.5M
6.05%-148.7M
35.12%-701.77M
49.86%-152.69M
36.51%-189.06M
26.19%-158.28M
-10.69%-1.08B
20.69%-264.84M
-18.54%-304.52M
Net intangibles purchase and sale
11.27%-174.6M
39.10%-93.56M
4.24%-149.99M
-20.61%-556.12M
-57.71%-196.78M
-89.56%-153.62M
2.11%-156.62M
-61.34%-461.08M
-280.21%-95.27M
-23.14%-124.77M
Net business purchase and sale
84.79%-1.93M
95.22%-6.44M
---15.81M
70.97%-147.12M
-45.33%-12.69M
72.84%-134.69M
--0
-314.87%-506.88M
99.17%-1.96M
-2,169.43%-8.73M
Net investment purchase and sale
28.80%-23.98M
96.84%-1.25M
-148.03%-26.15M
-372.87%-49.27M
-891.67%-33.68M
-206.04%-39.56M
265.43%54.44M
110.37%18.06M
140.24%17.06M
12.77%-3.4M
Cash from discontinued investing activities
Investing cash flow
8.00%-335.23M
56.28%-204.94M
-59.85%-319.75M
32.98%-1.28B
10.52%-364.38M
41.85%-468.71M
48.42%-200.03M
-27.80%-1.92B
45.31%-313.99M
-4.61%-407.24M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
141.56%47.39M
23.64%-30.47M
-103.89%-389K
-122.16%-138.39M
-167.23%-114.02M
-103.49%-39.91M
-61.33%10M
289.23%624.39M
-51.36%-503.38M
-1,406.60%-42.67M
Net common stock issuance
162.06%36.56M
-113.80%-157.41M
95.42%-9.99M
-130.08%-469.96M
-69.64%-58.91M
-375.66%-73.63M
-1,884.92%-218.04M
47.29%-204.26M
-122.43%-143.07M
-186.01%-34.73M
Net preferred stock issuance
----
----
----
--0
----
----
----
81.75%-46.44M
---46.44M
----
Cash dividends paid
-7.64%-134.02M
----
----
-0.45%-583.27M
-0.88%-124.5M
----
----
-17.26%-580.68M
-108,000.00%-1.08M
-1.65%-123.42M
Net other financing activities
-82.51%4.51M
131.11%77.93M
99.47%-179K
58.80%27.06M
159.85%25.8M
--33.72M
-402.36%-33.97M
115.10%17.04M
98.59%-4.13M
-92.53%9.93M
Cash from discontinued financing activities
Financing cash flow
69.35%-99.13M
-9.08%-627.05M
83.34%-47.21M
-222.91%-1.34B
-7.26%-323.38M
-191.93%-574.86M
-3,235.51%-283.39M
76.45%-413.78M
2.80%-729.13M
-173.07%-301.49M
Net cash flow
Beginning cash position
11.83%4.18B
-10.19%3.91B
-16.24%3.56B
8.14%4.25B
-32.88%3.74B
14.96%4.35B
8.14%4.25B
28.09%3.93B
33.61%5.02B
52.64%5.57B
Current changes in cash
72.11%-90.25M
126.23%154.7M
155.15%424.43M
-228.77%-608.56M
49.02%-323.59M
-130.98%-589.78M
6,681.37%166.35M
-42.45%472.61M
-677.84%-798.75M
-695.65%-634.69M
Effect of exchange rate changes
-392.24%-154.22M
503.41%113.09M
-18.68%-73.14M
46.54%-81.69M
-38.75%52.77M
77.44%-28.03M
57.39%-61.63M
-475.60%-152.81M
-15.87%29.94M
3,435.29%86.16M
End cash Position
13.51%3.93B
11.83%4.18B
-10.19%3.91B
-16.24%3.56B
-30.94%3.47B
-32.88%3.74B
14.96%4.35B
8.14%4.25B
8.14%4.25B
33.61%5.02B
Free cash flow
-156.68%-4.82M
582.57%740.9M
52.96%486.87M
-40.72%725.09M
102.36%8.5M
-93.62%108.55M
2,439.70%318.3M
-56.20%1.22B
-111.82%-129.78M
-247.41%-360.41M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(Q3)Dec 31, 2024(Q2)Sep 30, 2024(Q1)Jun 30, 2024(FY)Mar 31, 2024(Q3)Dec 31, 2023(Q2)Sep 30, 2023(Q1)Jun 30, 2023(FY)Mar 31, 2023(Q4)Mar 31, 2023(Q3)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations 9.75%516.99M32.32%473.19M37.20%313M-36.07%1.37B-22.14%471.04M-49.63%357.62M-66.96%228.13M-22.83%2.14B-74.93%130.42M-29.26%605M
Other non cash items 15.22%165.32M15.08%170.39M10.63%173.97M16.09%618.73M-6.19%143.49M2.84%148.06M92.57%157.25M74.22%532.98M135.56%154.4M99.84%152.95M
Change In working capital 18.83%-351.89M197.43%196.3M20.44%248.56M34.01%-150.54M32.78%-433.52M-122.42%-201.48M137.22%206.37M-162.42%-228.11M-87.60%72.69M-60.38%-644.96M
-Change in receivables 52.96%-107.79M-37.31%-2.13B-193.43%-393.39M-104.05%-190.93M-197.86%-229.14M-156.43%-1.55B6.44%421.06M268.82%4.72B-22.74%1.34B107.13%234.17M
-Change in inventory 9.77%-47.51M-407.33%-1.35B-339.59%-1.09B-119.23%-360.69M-105.92%-52.66M-160.35%-266.51M179.90%453.05M197.45%1.88B689.08%1.11B210.59%889.44M
Cash from discontinued investing activities
Operating cash flow -5.51%344.11M117.43%986.69M21.80%791.39M-28.21%2.01B391.88%364.17M-78.23%453.79M62.96%649.76M-31.29%2.8B-83.29%244.37M-87.79%74.04M
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale -5.02%-160.36M23.04%-145.5M6.05%-148.7M35.12%-701.77M49.86%-152.69M36.51%-189.06M26.19%-158.28M-10.69%-1.08B20.69%-264.84M-18.54%-304.52M
Net intangibles purchase and sale 11.27%-174.6M39.10%-93.56M4.24%-149.99M-20.61%-556.12M-57.71%-196.78M-89.56%-153.62M2.11%-156.62M-61.34%-461.08M-280.21%-95.27M-23.14%-124.77M
Net business purchase and sale 84.79%-1.93M95.22%-6.44M---15.81M70.97%-147.12M-45.33%-12.69M72.84%-134.69M--0-314.87%-506.88M99.17%-1.96M-2,169.43%-8.73M
Net investment purchase and sale 28.80%-23.98M96.84%-1.25M-148.03%-26.15M-372.87%-49.27M-891.67%-33.68M-206.04%-39.56M265.43%54.44M110.37%18.06M140.24%17.06M12.77%-3.4M
Cash from discontinued investing activities
Investing cash flow 8.00%-335.23M56.28%-204.94M-59.85%-319.75M32.98%-1.28B10.52%-364.38M41.85%-468.71M48.42%-200.03M-27.80%-1.92B45.31%-313.99M-4.61%-407.24M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt 141.56%47.39M23.64%-30.47M-103.89%-389K-122.16%-138.39M-167.23%-114.02M-103.49%-39.91M-61.33%10M289.23%624.39M-51.36%-503.38M-1,406.60%-42.67M
Net common stock issuance 162.06%36.56M-113.80%-157.41M95.42%-9.99M-130.08%-469.96M-69.64%-58.91M-375.66%-73.63M-1,884.92%-218.04M47.29%-204.26M-122.43%-143.07M-186.01%-34.73M
Net preferred stock issuance --------------0------------81.75%-46.44M---46.44M----
Cash dividends paid -7.64%-134.02M---------0.45%-583.27M-0.88%-124.5M---------17.26%-580.68M-108,000.00%-1.08M-1.65%-123.42M
Net other financing activities -82.51%4.51M131.11%77.93M99.47%-179K58.80%27.06M159.85%25.8M--33.72M-402.36%-33.97M115.10%17.04M98.59%-4.13M-92.53%9.93M
Cash from discontinued financing activities
Financing cash flow 69.35%-99.13M-9.08%-627.05M83.34%-47.21M-222.91%-1.34B-7.26%-323.38M-191.93%-574.86M-3,235.51%-283.39M76.45%-413.78M2.80%-729.13M-173.07%-301.49M
Net cash flow
Beginning cash position 11.83%4.18B-10.19%3.91B-16.24%3.56B8.14%4.25B-32.88%3.74B14.96%4.35B8.14%4.25B28.09%3.93B33.61%5.02B52.64%5.57B
Current changes in cash 72.11%-90.25M126.23%154.7M155.15%424.43M-228.77%-608.56M49.02%-323.59M-130.98%-589.78M6,681.37%166.35M-42.45%472.61M-677.84%-798.75M-695.65%-634.69M
Effect of exchange rate changes -392.24%-154.22M503.41%113.09M-18.68%-73.14M46.54%-81.69M-38.75%52.77M77.44%-28.03M57.39%-61.63M-475.60%-152.81M-15.87%29.94M3,435.29%86.16M
End cash Position 13.51%3.93B11.83%4.18B-10.19%3.91B-16.24%3.56B-30.94%3.47B-32.88%3.74B14.96%4.35B8.14%4.25B8.14%4.25B33.61%5.02B
Free cash flow -156.68%-4.82M582.57%740.9M52.96%486.87M-40.72%725.09M102.36%8.5M-93.62%108.55M2,439.70%318.3M-56.20%1.22B-111.82%-129.78M-247.41%-360.41M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

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