US Stock MarketDetailed Quotes

TTWO Take-Two Interactive Software

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  • 187.850
  • +0.230+0.12%
Close Nov 26 16:00 ET
  • 188.990
  • +1.140+0.61%
Post 18:19 ET
32.99BMarket Cap-8860P/E (TTM)

Take-Two Interactive Software Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Sep 30, 2024
(Q1)Jun 30, 2024
(FY)Mar 31, 2024
(Q4)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
Assets
Current assets
Cash, cash equivalents and short term investments
9.69%879.6M
23.90%1.1B
-23.50%776M
-23.50%776M
-18.35%922.2M
-38.52%801.9M
-32.27%885M
-60.25%1.01B
-60.25%1.01B
-54.19%1.13B
-Cash and cash equivalents
15.76%876.1M
39.35%1.08B
-8.87%754M
-8.87%754M
4.39%898.7M
-20.87%756.8M
-8.45%775.8M
-52.23%827.4M
-52.23%827.4M
-12.75%860.9M
-Short-term investments
-92.24%3.5M
-85.90%15.4M
-88.24%22M
-88.24%22M
-91.25%23.5M
-87.04%45.1M
-76.22%109.2M
-77.20%187M
-77.20%187M
-81.84%268.6M
Receivables
4.60%938.3M
-3.87%674.9M
-9.30%764.7M
-9.30%764.7M
-5.09%755M
-2.39%897M
-19.77%702.1M
23.21%843.1M
23.21%843.1M
22.78%795.5M
-Accounts receivable
5.45%858.9M
-4.50%594.2M
-10.94%679.7M
-10.94%679.7M
-6.30%666.3M
-2.03%814.5M
-1.81%622.2M
31.72%763.2M
31.72%763.2M
9.75%711.1M
-Other receivables
-3.76%79.4M
1.00%80.7M
6.38%85M
6.38%85M
5.09%88.7M
-5.82%82.5M
-66.90%79.9M
-23.83%79.9M
-23.83%79.9M
--84.4M
Restricted cash
-15.76%357.5M
-19.72%306.1M
-18.04%252.1M
-18.04%252.1M
-44.31%184.6M
-28.27%424.4M
-28.70%381.3M
-14.51%307.6M
-14.51%307.6M
24.15%331.5M
Other current assets
28.25%530.3M
68.00%481.5M
36.12%466.9M
36.12%466.9M
1.86%356.7M
-5.16%413.5M
-10.30%286.6M
24.82%343M
24.82%343M
17.80%350.2M
Total current assets
6.66%2.71B
13.48%2.56B
-9.90%2.26B
-9.90%2.26B
-14.89%2.22B
-21.97%2.54B
-25.72%2.26B
-35.21%2.51B
-35.21%2.51B
-29.64%2.61B
Non current assets
Net PPE
9.27%770.1M
9.81%766M
7.48%736.8M
7.48%736.8M
5.36%717M
11.50%704.8M
14.93%697.6M
49.28%685.5M
49.28%685.5M
51.75%680.5M
-Gross PPE
9.27%770.1M
9.81%766M
10.29%1.1B
10.29%1.1B
5.36%717M
11.50%704.8M
14.93%697.6M
38.31%1B
38.31%1B
51.75%680.5M
-Accumulated depreciation
----
----
-16.39%-366.5M
-16.39%-366.5M
----
----
----
-19.24%-314.9M
-19.24%-314.9M
----
Goodwill and other intangible assets
-20.36%9.28B
-23.40%9.32B
-27.33%8.93B
-27.33%8.93B
-11.05%11.61B
-11.37%11.65B
-9.96%12.17B
624.37%12.29B
624.37%12.29B
670.98%13.05B
-Goodwill
-29.57%4.65B
-30.47%4.71B
-34.59%4.43B
-34.59%4.43B
-2.56%6.61B
-3.95%6.6B
-6.34%6.77B
903.13%6.77B
903.13%6.77B
898.27%6.79B
-Other intangible assets
-8.31%4.63B
-14.53%4.61B
-18.43%4.51B
-18.43%4.51B
-20.25%4.99B
-19.51%5.05B
-14.12%5.4B
440.43%5.53B
440.43%5.53B
518.29%6.26B
Non current deferred assets
----
----
-95.76%1.9M
-95.76%1.9M
-94.27%7.1M
-89.39%12.3M
-64.26%38.1M
-39.30%44.8M
-39.30%44.8M
59.42%123.9M
Other non current assets
5.52%323.1M
-18.59%300.9M
-13.95%285M
-13.95%285M
-17.92%347.7M
-12.91%306.2M
-23.83%369.6M
-25.61%331.2M
-25.61%331.2M
-2.52%423.6M
Total non current assets
-18.16%10.37B
-21.74%10.39B
-25.44%9.96B
-25.44%9.96B
-11.19%12.68B
-11.03%12.67B
-9.78%13.27B
399.18%13.35B
399.18%13.35B
438.07%14.27B
Total assets
-14.02%13.08B
-16.62%12.94B
-22.98%12.22B
-22.98%12.22B
-11.76%14.9B
-13.07%15.21B
-12.51%15.53B
142.31%15.86B
142.31%15.86B
165.52%16.88B
Liabilities
Current liabilities
Payables
29.02%290.8M
60.78%279.6M
32.34%247.6M
32.34%247.6M
-22.54%230.2M
-33.29%225.4M
-53.95%173.9M
19.02%187.1M
19.02%187.1M
195.08%297.2M
-accounts payable
34.37%177.1M
33.57%170.3M
39.83%195.9M
39.83%195.9M
0.13%151.8M
-19.04%131.8M
-36.22%127.5M
11.28%140.1M
11.28%140.1M
50.52%151.6M
-Total tax payable
21.47%113.7M
135.56%109.3M
10.00%51.7M
10.00%51.7M
-46.15%78.4M
-46.54%93.6M
-73.89%46.4M
50.16%47M
50.16%47M
--145.6M
Current accrued expenses
-7.48%821.3M
-14.96%618.1M
-17.09%618.1M
-17.09%618.1M
-13.13%545.4M
-14.65%887.7M
-20.19%726.8M
2.49%745.5M
2.49%745.5M
-1.65%627.8M
Current provisions
-25.28%40.2M
-30.83%28.5M
-34.16%34.5M
-34.16%34.5M
-18.93%50.1M
3.46%53.8M
0.00%41.2M
1.35%52.4M
1.35%52.4M
8.64%61.8M
Current debt and capital lease obligation
51.45%658.2M
53.22%663M
-93.72%88.4M
-93.72%88.4M
7.03%437.2M
7.15%434.6M
6.73%432.7M
3,516.97%1.41B
3,516.97%1.41B
1,084.74%408.5M
-Current debt
60.60%599.2M
60.95%598.9M
-98.17%24.6M
-98.17%24.6M
6.63%373.2M
6.60%373.1M
6.31%372.1M
--1.35B
--1.35B
--350M
-Current capital lease obligation
-4.07%59M
5.78%64.1M
5.98%63.8M
5.98%63.8M
9.40%64M
10.61%61.5M
9.39%60.6M
54.76%60.2M
54.76%60.2M
69.66%58.5M
Current deferred liabilities
-6.73%1.07B
-12.41%953.7M
-7.27%1.08B
-7.27%1.08B
-13.99%1.1B
-11.61%1.15B
-14.41%1.09B
23.05%1.16B
23.05%1.16B
30.70%1.28B
Other current liabilities
92.08%116.4M
12.60%138.5M
-5.97%113.4M
-5.97%113.4M
-46.25%55.9M
-63.47%60.6M
-17.78%123M
132.37%120.6M
132.37%120.6M
19.48%104M
Current liabilities
6.68%3.2B
3.96%2.85B
-37.52%2.41B
-37.52%2.41B
-10.55%2.69B
-13.47%3B
-16.69%2.74B
82.97%3.85B
82.97%3.85B
45.24%3.01B
Non current liabilities
Long term debt and capital lease obligation
12.15%3.45B
13.07%3.46B
65.65%3.45B
65.65%3.45B
-0.03%3.09B
-5.67%3.08B
-6.63%3.06B
884.38%2.08B
884.38%2.08B
1,373.77%3.09B
-Long term debt
12.88%3.06B
12.93%3.05B
76.47%3.06B
76.47%3.06B
-1.00%2.71B
-7.78%2.71B
-7.86%2.7B
--1.73B
--1.73B
--2.74B
-Long term capital lease obligation
6.78%398.3M
14.15%404.9M
11.61%387.3M
11.61%387.3M
7.48%380.7M
13.06%373M
3.96%354.7M
64.22%347M
64.22%347M
68.95%354.2M
Non current deferred liabilities
-6.64%316.6M
-23.65%349.3M
-32.61%383.8M
-32.61%383.8M
-61.70%284.3M
-62.35%339.1M
-58.95%457.5M
514.35%569.5M
514.35%569.5M
988.13%742.3M
Other non current liabilities
-14.66%305.5M
-9.69%298.2M
-1.66%313.2M
-1.66%313.2M
-34.28%321.5M
-16.04%358M
-18.39%330.2M
-2.78%318.5M
-2.78%318.5M
43.04%489.2M
Total non current liabilities
7.92%4.08B
6.75%4.11B
39.58%4.14B
39.58%4.14B
-14.50%3.69B
-17.75%3.78B
-19.78%3.85B
369.92%2.97B
369.92%2.97B
597.11%4.32B
Total liabilities
7.37%7.28B
5.59%6.95B
-3.97%6.55B
-3.97%6.55B
-12.88%6.39B
-15.91%6.78B
-18.53%6.59B
149.20%6.82B
149.20%6.82B
172.30%7.33B
Shareholders'equity
Share capital
5.26%2M
5.26%2M
0.00%1.9M
0.00%1.9M
0.00%1.9M
0.00%1.9M
0.00%1.9M
35.71%1.9M
35.71%1.9M
36.59%1.9M
-common stock
5.26%2M
5.26%2M
0.00%1.9M
0.00%1.9M
0.00%1.9M
0.00%1.9M
0.00%1.9M
35.71%1.9M
35.71%1.9M
36.59%1.9M
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
-873.43%-3.21B
-396.56%-2.84B
-321.58%-2.58B
-321.58%-2.58B
-81.79%323.1M
-78.49%414.7M
-56.14%958.3M
-49.13%1.16B
-49.13%1.16B
-18.52%1.77B
Paid-in capital
9.58%10.06B
9.63%9.96B
4.01%9.37B
4.01%9.37B
4.01%9.29B
4.83%9.18B
5.46%9.09B
246.92%9.01B
246.92%9.01B
251.32%8.93B
Less: Treasury stock
0.00%1.02B
0.00%1.02B
0.00%1.02B
0.00%1.02B
0.00%1.02B
0.00%1.02B
0.00%1.02B
0.00%1.02B
0.00%1.02B
0.00%1.02B
Gains losses not affecting retained earnings
73.91%-38.9M
-27.89%-110.5M
7.24%-105.1M
7.24%-105.1M
38.38%-82.7M
36.90%-149.1M
28.30%-86.4M
-97.73%-113.3M
-97.73%-113.3M
-288.05%-134.2M
Total stockholders'equity
-31.22%5.8B
-32.98%5.99B
-37.32%5.67B
-37.32%5.67B
-10.91%8.51B
-10.64%8.43B
-7.47%8.94B
137.35%9.04B
137.35%9.04B
160.53%9.55B
Total equity
-31.22%5.8B
-32.98%5.99B
-37.32%5.67B
-37.32%5.67B
-10.91%8.51B
-10.64%8.43B
-7.47%8.94B
137.35%9.04B
137.35%9.04B
160.53%9.55B
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
--
--
(Q2)Sep 30, 2024(Q1)Jun 30, 2024(FY)Mar 31, 2024(Q4)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
Assets
Current assets
Cash, cash equivalents and short term investments 9.69%879.6M23.90%1.1B-23.50%776M-23.50%776M-18.35%922.2M-38.52%801.9M-32.27%885M-60.25%1.01B-60.25%1.01B-54.19%1.13B
-Cash and cash equivalents 15.76%876.1M39.35%1.08B-8.87%754M-8.87%754M4.39%898.7M-20.87%756.8M-8.45%775.8M-52.23%827.4M-52.23%827.4M-12.75%860.9M
-Short-term investments -92.24%3.5M-85.90%15.4M-88.24%22M-88.24%22M-91.25%23.5M-87.04%45.1M-76.22%109.2M-77.20%187M-77.20%187M-81.84%268.6M
Receivables 4.60%938.3M-3.87%674.9M-9.30%764.7M-9.30%764.7M-5.09%755M-2.39%897M-19.77%702.1M23.21%843.1M23.21%843.1M22.78%795.5M
-Accounts receivable 5.45%858.9M-4.50%594.2M-10.94%679.7M-10.94%679.7M-6.30%666.3M-2.03%814.5M-1.81%622.2M31.72%763.2M31.72%763.2M9.75%711.1M
-Other receivables -3.76%79.4M1.00%80.7M6.38%85M6.38%85M5.09%88.7M-5.82%82.5M-66.90%79.9M-23.83%79.9M-23.83%79.9M--84.4M
Restricted cash -15.76%357.5M-19.72%306.1M-18.04%252.1M-18.04%252.1M-44.31%184.6M-28.27%424.4M-28.70%381.3M-14.51%307.6M-14.51%307.6M24.15%331.5M
Other current assets 28.25%530.3M68.00%481.5M36.12%466.9M36.12%466.9M1.86%356.7M-5.16%413.5M-10.30%286.6M24.82%343M24.82%343M17.80%350.2M
Total current assets 6.66%2.71B13.48%2.56B-9.90%2.26B-9.90%2.26B-14.89%2.22B-21.97%2.54B-25.72%2.26B-35.21%2.51B-35.21%2.51B-29.64%2.61B
Non current assets
Net PPE 9.27%770.1M9.81%766M7.48%736.8M7.48%736.8M5.36%717M11.50%704.8M14.93%697.6M49.28%685.5M49.28%685.5M51.75%680.5M
-Gross PPE 9.27%770.1M9.81%766M10.29%1.1B10.29%1.1B5.36%717M11.50%704.8M14.93%697.6M38.31%1B38.31%1B51.75%680.5M
-Accumulated depreciation ---------16.39%-366.5M-16.39%-366.5M-------------19.24%-314.9M-19.24%-314.9M----
Goodwill and other intangible assets -20.36%9.28B-23.40%9.32B-27.33%8.93B-27.33%8.93B-11.05%11.61B-11.37%11.65B-9.96%12.17B624.37%12.29B624.37%12.29B670.98%13.05B
-Goodwill -29.57%4.65B-30.47%4.71B-34.59%4.43B-34.59%4.43B-2.56%6.61B-3.95%6.6B-6.34%6.77B903.13%6.77B903.13%6.77B898.27%6.79B
-Other intangible assets -8.31%4.63B-14.53%4.61B-18.43%4.51B-18.43%4.51B-20.25%4.99B-19.51%5.05B-14.12%5.4B440.43%5.53B440.43%5.53B518.29%6.26B
Non current deferred assets ---------95.76%1.9M-95.76%1.9M-94.27%7.1M-89.39%12.3M-64.26%38.1M-39.30%44.8M-39.30%44.8M59.42%123.9M
Other non current assets 5.52%323.1M-18.59%300.9M-13.95%285M-13.95%285M-17.92%347.7M-12.91%306.2M-23.83%369.6M-25.61%331.2M-25.61%331.2M-2.52%423.6M
Total non current assets -18.16%10.37B-21.74%10.39B-25.44%9.96B-25.44%9.96B-11.19%12.68B-11.03%12.67B-9.78%13.27B399.18%13.35B399.18%13.35B438.07%14.27B
Total assets -14.02%13.08B-16.62%12.94B-22.98%12.22B-22.98%12.22B-11.76%14.9B-13.07%15.21B-12.51%15.53B142.31%15.86B142.31%15.86B165.52%16.88B
Liabilities
Current liabilities
Payables 29.02%290.8M60.78%279.6M32.34%247.6M32.34%247.6M-22.54%230.2M-33.29%225.4M-53.95%173.9M19.02%187.1M19.02%187.1M195.08%297.2M
-accounts payable 34.37%177.1M33.57%170.3M39.83%195.9M39.83%195.9M0.13%151.8M-19.04%131.8M-36.22%127.5M11.28%140.1M11.28%140.1M50.52%151.6M
-Total tax payable 21.47%113.7M135.56%109.3M10.00%51.7M10.00%51.7M-46.15%78.4M-46.54%93.6M-73.89%46.4M50.16%47M50.16%47M--145.6M
Current accrued expenses -7.48%821.3M-14.96%618.1M-17.09%618.1M-17.09%618.1M-13.13%545.4M-14.65%887.7M-20.19%726.8M2.49%745.5M2.49%745.5M-1.65%627.8M
Current provisions -25.28%40.2M-30.83%28.5M-34.16%34.5M-34.16%34.5M-18.93%50.1M3.46%53.8M0.00%41.2M1.35%52.4M1.35%52.4M8.64%61.8M
Current debt and capital lease obligation 51.45%658.2M53.22%663M-93.72%88.4M-93.72%88.4M7.03%437.2M7.15%434.6M6.73%432.7M3,516.97%1.41B3,516.97%1.41B1,084.74%408.5M
-Current debt 60.60%599.2M60.95%598.9M-98.17%24.6M-98.17%24.6M6.63%373.2M6.60%373.1M6.31%372.1M--1.35B--1.35B--350M
-Current capital lease obligation -4.07%59M5.78%64.1M5.98%63.8M5.98%63.8M9.40%64M10.61%61.5M9.39%60.6M54.76%60.2M54.76%60.2M69.66%58.5M
Current deferred liabilities -6.73%1.07B-12.41%953.7M-7.27%1.08B-7.27%1.08B-13.99%1.1B-11.61%1.15B-14.41%1.09B23.05%1.16B23.05%1.16B30.70%1.28B
Other current liabilities 92.08%116.4M12.60%138.5M-5.97%113.4M-5.97%113.4M-46.25%55.9M-63.47%60.6M-17.78%123M132.37%120.6M132.37%120.6M19.48%104M
Current liabilities 6.68%3.2B3.96%2.85B-37.52%2.41B-37.52%2.41B-10.55%2.69B-13.47%3B-16.69%2.74B82.97%3.85B82.97%3.85B45.24%3.01B
Non current liabilities
Long term debt and capital lease obligation 12.15%3.45B13.07%3.46B65.65%3.45B65.65%3.45B-0.03%3.09B-5.67%3.08B-6.63%3.06B884.38%2.08B884.38%2.08B1,373.77%3.09B
-Long term debt 12.88%3.06B12.93%3.05B76.47%3.06B76.47%3.06B-1.00%2.71B-7.78%2.71B-7.86%2.7B--1.73B--1.73B--2.74B
-Long term capital lease obligation 6.78%398.3M14.15%404.9M11.61%387.3M11.61%387.3M7.48%380.7M13.06%373M3.96%354.7M64.22%347M64.22%347M68.95%354.2M
Non current deferred liabilities -6.64%316.6M-23.65%349.3M-32.61%383.8M-32.61%383.8M-61.70%284.3M-62.35%339.1M-58.95%457.5M514.35%569.5M514.35%569.5M988.13%742.3M
Other non current liabilities -14.66%305.5M-9.69%298.2M-1.66%313.2M-1.66%313.2M-34.28%321.5M-16.04%358M-18.39%330.2M-2.78%318.5M-2.78%318.5M43.04%489.2M
Total non current liabilities 7.92%4.08B6.75%4.11B39.58%4.14B39.58%4.14B-14.50%3.69B-17.75%3.78B-19.78%3.85B369.92%2.97B369.92%2.97B597.11%4.32B
Total liabilities 7.37%7.28B5.59%6.95B-3.97%6.55B-3.97%6.55B-12.88%6.39B-15.91%6.78B-18.53%6.59B149.20%6.82B149.20%6.82B172.30%7.33B
Shareholders'equity
Share capital 5.26%2M5.26%2M0.00%1.9M0.00%1.9M0.00%1.9M0.00%1.9M0.00%1.9M35.71%1.9M35.71%1.9M36.59%1.9M
-common stock 5.26%2M5.26%2M0.00%1.9M0.00%1.9M0.00%1.9M0.00%1.9M0.00%1.9M35.71%1.9M35.71%1.9M36.59%1.9M
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings -873.43%-3.21B-396.56%-2.84B-321.58%-2.58B-321.58%-2.58B-81.79%323.1M-78.49%414.7M-56.14%958.3M-49.13%1.16B-49.13%1.16B-18.52%1.77B
Paid-in capital 9.58%10.06B9.63%9.96B4.01%9.37B4.01%9.37B4.01%9.29B4.83%9.18B5.46%9.09B246.92%9.01B246.92%9.01B251.32%8.93B
Less: Treasury stock 0.00%1.02B0.00%1.02B0.00%1.02B0.00%1.02B0.00%1.02B0.00%1.02B0.00%1.02B0.00%1.02B0.00%1.02B0.00%1.02B
Gains losses not affecting retained earnings 73.91%-38.9M-27.89%-110.5M7.24%-105.1M7.24%-105.1M38.38%-82.7M36.90%-149.1M28.30%-86.4M-97.73%-113.3M-97.73%-113.3M-288.05%-134.2M
Total stockholders'equity -31.22%5.8B-32.98%5.99B-37.32%5.67B-37.32%5.67B-10.91%8.51B-10.64%8.43B-7.47%8.94B137.35%9.04B137.35%9.04B160.53%9.55B
Total equity -31.22%5.8B-32.98%5.99B-37.32%5.67B-37.32%5.67B-10.91%8.51B-10.64%8.43B-7.47%8.94B137.35%9.04B137.35%9.04B160.53%9.55B
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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