Search companies, stocks, cryptocurrencies, and more...
- Overview
- Financial Statement
- Ratio
- Dividend
- Net Worth
- Financial Forecast
- Stock Splits
Broadcom Inc.
AVGO | NASDAQ Global Select
220.79USD2.47 %
Market Value Ratio
Annual
Breakdown | 2024-12-22 | 2024-11-03 | 2023-10-29 | 2022-10-30 | 2021-10-31 | 2020-11-01 | 2019-11-03 | 2018-11-04 | 2017-10-31 |
---|
Price-to-Earnings ratio (P/E)
175.25
%32.55 132.21
%433.25 24.79
%48.23 16.73
%-47.96 32.14
%-32.63 47.71
%7.06 44.56
%493.79 7.5
%-87.39 59.51
Price to Sales Ratio (P/S)
19.99
%32.31 15.11
%55.04 9.75
%68.33 5.79
%-26.59 7.89
%33.42 5.91
%10.05 5.37
%21.73 4.41
%-27.18 6.06
Price-to-Cash Flow ratio (P/CF)
51.75
%32.55 39.04
%102.24 19.31
%68.04 11.49
%-26.97 15.73
%34.35 11.71
%-6.46 12.52
%20.83 10.36
%-36.50 16.31
Price to Free Cash Flow Ratio (PFCF)
53.12
%32.31 40.15
%102.75 19.8
%67.98 11.79
%-27.48 16.25
%33.49 12.18
%-7.06 13.1
%17.42 11.16
%-42.77 19.5
Price to Book (PB) Ratio
15.26
%32.55 11.52
%-20.88 14.55
%71.91 8.47
%-2.28 8.66
%46.64 5.91
%21.54 4.86
%40.86 3.45
%-34.50 5.27
Dividend Yield
0
0.0126
%-42.49 0.0219
%-40.13 0.0366
%27.48 0.0287
%-26.79 0.0392
%12.32 0.0349
%7.06 0.0326
%110.70 0.0155
Payout Ratio
1.66
%0.00 1.66
%206.65 0.5429
%-11.26 0.6117
%-33.67 0.9222
%-50.67 1.87
%20.25 1.55
%535.73 0.2446
%-73.43 0.9204
Price Earnings to Growth Ratio (PEG)
42.06
%-2033.15 -2.18
%-308.17 1.05
%365.64 0.2244
%-3.72 0.2331
%-101.44 -16.22
%2695.31 -0.5803
%-4475.89 0.0133
%-104.27 -0.3105
Enterprise Value Multiplier
51.35
%-17.46 62.21
%241.75 18.2
%58.96 11.45
%-31.07 16.61
%5.82 15.7
%-0.50 15.78
%38.49 11.39
%-29.51 16.16
Price Fair Value
15.26
%32.55 11.52
%-20.88 14.55
%71.91 8.47
%-2.28 8.66
%46.64 5.91
%21.54 4.86
%40.86 3.45
%-34.50 5.27
Efficiency Ratio
Annual
Breakdown | 2024-12-22 | 2024-11-03 | 2023-10-29 | 2022-10-30 | 2021-10-31 | 2020-11-01 | 2019-11-03 | 2018-11-04 | 2017-10-31 |
---|
Receivables Turnover
11.68
%0.00 11.68
%2.84 11.36
%1.17 11.22
%-15.31 13.25
%27.45 10.4
%49.99 6.93
%10.58 6.27
%-12.97 7.2
Inventory Turnover
11.67
%7.73 10.83
%84.74 5.86
%1.61 5.77
%-29.43 8.18
%-20.92 10.34
%-10.64 11.57
%28.59 9
%42.67 6.31
Fixed Asset Turnover
20.46
%0.00 20.46
%49.47 13.69
%-8.36 14.94
%27.76 11.69
%22.79 9.52
%8.07 8.81
%11.35 7.91
%16.60 6.79
Operating Cycle
62.53
%-3.72 64.95
%-31.19 94.39
%-1.44 95.77
%32.70 72.17
%2.53 70.39
%-16.38 84.18
%-14.77 98.77
%-8.99 108.53
Cash Conversion Cycle (CCC)
32.99
%-0.41 33.13
%-39.44 54.7
%-13.14 62.98
%80.97 34.8
%-15.07 40.97
%-23.16 53.33
%-23.28 69.51
%8.03 64.34
Days of Sales Outstanding (DSO)
31.25
%0.00 31.25
%-2.76 32.14
%-1.16 32.52
%18.08 27.54
%-21.54 35.1
%-33.33 52.64
%-9.57 58.21
%14.90 50.66
Days of Inventory Outstanding (DIO)
31.28
%-7.18 33.7
%-45.87 62.25
%-1.59 63.25
%41.71 44.64
%26.46 35.3
%11.91 31.54
%-22.23 40.56
%-29.91 57.87
Days of Payables Outstanding (DPO)
29.54
%-7.18 31.82
%-19.82 39.68
%21.01 32.79
%-12.26 37.37
%27.04 29.42
%-4.65 30.86
%5.44 29.26
%-33.78 44.19
Payables Turnover
12.36
%7.73 11.47
%24.72 9.2
%-17.36 11.13
%13.97 9.77
%-21.28 12.41
%4.88 11.83
%-5.16 12.47
%51.00 8.26
Cash Flow Ratio
Annual
Breakdown | 2024-12-22 | 2024-11-03 | 2023-10-29 | 2022-10-30 | 2021-10-31 | 2020-11-01 | 2019-11-03 | 2018-11-04 | 2017-10-31 |
---|
Operating Cash Flow Sales Ratio
0.3871
%0.00 0.3871
%-23.34 0.5049
%0.17 0.5041
%0.52 0.5014
%-0.69 0.5049
%17.66 0.4291
%0.75 0.4259
%14.67 0.3715
Free Cash Flow Operating Cash Flow Ratio
0.9725
%0.00 0.9725
%-0.25 0.9750
%0.04 0.9747
%0.71 0.9678
%0.65 0.9616
%0.64 0.9555
%2.90 0.9285
%10.95 0.8368
Cash Flow Coverage Ratios
0.2954
%0.00 0.2954
%-35.99 0.4616
%8.82 0.4242
%22.24 0.3470
%18.14 0.2937
%-0.65 0.2957
%-41.76 0.5076
%35.98 0.3733
Short Term Coverage Ratios
15.71
%0.00 15.71
%35.74 11.57
%-72.14 41.53
%-20.35 52.14
%257.49 14.58
%319.16 3.48
0
55.99
Capital Expenditure Coverage Ratio
36.43
%0.00 36.43
%-8.96 40.01
%1.37 39.47
%27.04 31.07
%19.27 26.05
%16.05 22.45
%60.51 13.98
%128.20 6.13
Dividend Paid and Capex Coverage Ratio
1.93
%0.00 1.93
%-13.75 2.23
%-0.49 2.24
%8.53 2.07
%2.84 2.01
%-3.21 2.08
%-14.99 2.44
%1.56 2.41
Cash per Share
2
%-1.18 2.02
%-40.87 3.42
%12.63 3.04
%2.33 2.97
%56.55 1.9
%49.20 1.27
%23.70 1.03
%-62.88 2.77
Free Cashflow per Share
4.15
%-1.18 4.2
%-1.19 4.25
%6.54 3.99
%22.75 3.25
%12.61 2.89
%23.94 2.33
%18.02 1.97
%45.72 1.35
Operating Cashflow per Share
4.27
%-1.18 4.32
%-0.94 4.36
%6.50 4.09
%21.89 3.36
%11.89 3
%23.14 2.44
%14.69 2.12
%31.34 1.62
Finn Scope