Palantir Technologies Inc. (PLTR)
NASDAQ: PLTR · Real-Time Price · USD
76.87
+3.80 (5.20%)
At close: Jan 22, 2025, 4:00 PM
76.42
-0.45 (-0.59%)
After-hours: Jan 22, 2025, 7:59 PM EST

Palantir Cash Flow Statement

Millions USD. Fiscal year is Jan - Dec.
Fiscal Quarter
Q3 2024 Q2 2024 Q1 2024 Q4 2023 Q3 2023 Q2 2023 Q1 2023 Q4 2022 Q3 2022 Q2 2022 Q1 2022 Q4 2021 Q3 2021 Q2 2021 Q1 2021 Q4 2020 Q3 2020 Q2 2020 Q1 2020 Q4 2019 +3 Quarters
Period Ending
Sep '24 Jun '24 Mar '24 Dec '23 Sep '23 Jun '23 Mar '23 Dec '22 Sep '22 Jun '22 Mar '22 Dec '21 Sep '21 Jun '21 Mar '21 Dec '20 Sep '20 Jun '20 Mar '20 Dec '19 +3 Quarters
Net Income
143.53134.13105.5393.3971.5128.1316.830.88-123.88-179.33-101.38-156.19-102.14-138.58-123.47-148.34-853.32-110.46-54.27-159.33
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Depreciation & Amortization
8.098.068.447.978.668.48.327.375.944.94.313.843.064.763.243.562.524.123.672.81
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Other Amortization
--------------------0.09
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Loss (Gain) From Sale of Assets
---------------0.67----
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Asset Writedown & Restructuring Costs
-------------------23.41
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Loss (Gain) From Sale of Investments
5.987.6912.351.350.732.578.5111.3959.38138.562.8466.077.24-------
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Stock-Based Compensation
142.43141.76125.65132.61114.38114.2114.71129.4140.31145.77149.32166.91184.84232.74193.73241.79846.96127.8554.1177.32
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Other Operating Activities
37.32-7.37-5.77-16.953.82-12.08-1.08-31.9316.147.647.3953.03143.749.09-14.1718.9816.47-3.025.52
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Change in Accounts Receivable
-13.39-176.43-121.8853.59-46.09-116.372.7181.77-78.85-9.87-65.87-19.8368.47-88.364.484.25-56.14-5.18-51.472.24
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Change in Accounts Payable
-45.6629.5623.810.566.670.86-39.92-14.694.8227.42-47.456.61-13.4314.540.05-5.315.645.78-40.7944.56
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Change in Unearned Revenue
-48.5836.27-14.815.05-51.472.6343.24-16.24-33.234.65-16.3428.51-0.18.27-11.950.03-50.5811.058.692.43
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Change in Other Net Operating Assets
190.07-29.47-3.7413.6125.16-8.1434.09-119.1856.44-77.2442.6-105.53-61.14-14.3641.71-100.7733.9511.22-204.07175.97
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Operating Cash Flow
419.77144.19129.58301.17133.4490.19187.3878.7647.0762.4335.4893.43100.7922.75116.88-18.29-51.9960.85-287.18334.83
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Operating Cash Flow Growth
214.57%59.87%-30.85%282.38%183.52%44.47%428.16%-15.70%-53.30%174.42%-69.65%---62.62%------
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Capital Expenditures
-3.99-2.88-2.66-4.86-1.57-3.93-4.76-4.92-14.44-5.46-15.22-5.84-5.38-0.7-0.71-4.76-1.53-2.93-3.02-2.15
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Sale of Property, Plant & Equipment
-----------------0.250.25--
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Cash Acquisitions
-------66.71------------
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Investment in Securities
-316.74-142-508.58-564.37-194.7-387.17-1,55011.22-12.9110.76-81.25-175.16-206.26---0.43-2.5---8.87
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Other Investing Activities
--4-----0.07----0.87-3--0.25----
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Investing Cash Flow
-320.73-148.88-511.25-569.23-196.26-391.1-1,55573.08-27.345.3-96.47-181.87-214.63-0.7-0.71-4.95-4.28-2.68-3.02-11.02
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Total Debt Issued
----------------49.69149.68-544.41
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Total Debt Repaid
--------------200---150-250--150
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Net Debt Issued (Repaid)
--------------200---100.31-100.32-394.41
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Issuance of Common Stock
170.3416.0383.8451.4150.5690.3525.9213.9824.5720.3227.2332.7798167.83208.86219.36450.26565.046.717.56
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Repurchase of Common Stock
-18.9-17.7-9----------------3.78-4.13
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Other Financing Activities
-0.01-0.310.41-0.180.380.340.060.18-0.580.290.02-0.311.340.76-2.51-0.250.130.06-0.44-0
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Financing Cash Flow
151.43-1.9875.2551.2350.9490.6825.9814.1623.9920.6127.2432.4799.34-31.41206.35219.11350.07464.782.49383.97
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Foreign Exchange Rate Adjustments
5.91-0.92-4.025.04-0.26-4.532.688.59-6.13-5.61-0.73-0.28-2.140.7-2.21.94-0.481.43-1.630.77
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Net Cash Flow
256.38-7.59-310.44-211.78-12.14-214.75-1,339174.5937.5882.73-34.48-56.26-16.65-8.66320.33197.81293.32524.39-289.33708.55
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Free Cash Flow
415.79141.31126.92296.31131.8886.26182.6273.8532.6356.9720.2687.5895.4222.05116.17-23.05-53.5257.93-290.2332.68
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Free Cash Flow Growth
215.28%63.82%-30.50%301.26%304.16%51.40%801.30%-15.69%-65.80%158.35%-82.56%---61.93%------
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Free Cash Flow Margin
57.31%20.84%20.01%48.71%23.63%16.17%34.77%14.52%6.83%12.04%4.54%20.23%24.33%5.87%34.04%-7.16%-18.50%23.00%-126.54%145.05%
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Free Cash Flow Per Share
0.170.060.050.130.060.040.080.030.020.030.010.040.050.010.06-0.01-0.060.09-0.490.57
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Cash Interest Paid
----------0-0.390.721.661.74.093.871.772.71
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Cash Income Tax Paid
---13.52---2.9--0.660.540.162.550.885.1410.487.676.6
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Levered Free Cash Flow
338.0172.1982.91293.2697.588.09182.6584.4482.4175.0355.3548.92157.1387.87180.4788.7276.82---
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Unlevered Free Cash Flow
338.0172.1982.91293.3597.588.09182.6585.5183.0975.4555.7249.29157.5188.24181.6289.83278.12---
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Change in Net Working Capital
-120.77140.5999.07-116.5148.9736.87-61.835.29.8643.6658.0578.77-32.4657.23-56.6219.3273.55---
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Source: S&P Capital IQ. Standard template. Financial Sources.