NVIDIA Corp Price Chart
Nvidia Corporation is an American multinational corporation and technology company headquartered in Santa Clara, California, and incorporated in Delaware. Founded in 1993 by Jensen Huang, Chris Malachowsky, and Curtis Priem, it is a company which designs and supplies graphics processing units, application programming interfaces for data science and high-performance computing, and system on a chip units for mobile computing and the automotive market. Nvidia is also a leading supplier of artificial intelligence hardware and software.
About NVIDIA Corp
Nvidia Corporation is an American multinational corporation and technology company headquartered in Santa Clara, California, and incorporated in Delaware. Founded in 1993 by Jensen Huang, Chris Malachowsky, and Curtis Priem, it is a company which designs and supplies graphics processing units, application programming interfaces for data science and high-performance computing, and system on a chip units for mobile computing and the automotive market. Nvidia is also a leading supplier of artificial intelligence hardware and software. Nvidia outsources the manufacturing of the hardware it designs. Nvidia's professional line of GPUs are used for edge-to-cloud computing and in supercomputers and workstations for applications in fields such as architecture, engineering and construction, media and entertainment, automotive, scientific research, and manufacturing design. Its GeForce line of GPUs are aimed at the consumer market and are used in applications such as video editing, 3D rendering, and PC gaming. With a market share of 80.2% in the second quarter of 2023, Nvidia leads global sales of discrete desktop GPUs by a wide margin. Wikipedia CEO: Jensen Huang FOUNDED: 5 April 1993 HEADQUARTERS: Santa Clara, California, United States WEBSITE: nvidia.com NUMBER OF EMPLOYEES: 36, 000
KEY FINANCIALS
Income Statement
Period TTM FY 2024 FY 2023 FY 2022 FY 2021 FY 2020 FY 2019 FY 2018 Period End Date 1/31/2025 1/31/2024 1/31/2023 1/31/2022 1/31/2021 1/31/2020 1/31/2019 Period Length 12 Months 12 Months 12 Months 12 Months 12 Months 12 Months 12 Months 12 Months Total Revenue 130,497.00 130,497.00 60,922.00 26,974.00 26,914.00 16,675.00 10,918.00 11,716.00 Cost of Goods Sold Incl. D&A 32,638.00 32,639.00 16,621.00 11,618.00 9,439.00 6,279.00 4,135.00 4,503.00 Gross Profit 97,859.00 97,858.00 44,301.00 15,356.00 17,475.00 10,396.00 6,783.00 7,213.00 Selling, General and Administrative Excl. Other 16,405.00 16,405.00 11,329.00 9,779.00 7,434.00 5,780.00 3,892.00 3,365.00 Research and Development 12,914.00 12,914.00 8,675.00 7,339.00 5,268.00 3,924.00 2,829.00 2,376.00 Other Operating Expense 0.00 0.00 0.00 0.00 0.00 0.00 0.00 -2.00 Operating Income 81,454.00 81,453.00 32,972.00 5,577.00 10,041.00 4,616.00 2,891.00 3,850.00 Interest Expense 247.00 247.00 257.00 262.00 236.00 184.00 52.00 58.00 Unusual Expense -786.00 -757.00 -174.00 1,414.00 -100.00 84.00 45.00 46.00 Net Income Before Taxes 84,026.00 84,026.00 33,818.00 4,181.00 9,941.00 4,409.00 2,970.00 3,896.00 Income Taxes 11,146.00 11,146.00 4,058.00 -187.00 189.00 77.00 174.00 -245.00 Consolidated Net Income 72,880.00 72,880.00 29,760.00 4,368.00 9,752.00 4,332.00 2,796.00 4,141.00 Net Income From Continuing Operations 72,880.00 72,880.00 29,760.00 4,368.00 9,752.00 4,332.00 2,796.00 4,141.00 Net Income 72,880.00 72,880.00 29,760.00 4,368.00 9,752.00 4,332.00 2,796.00 4,141.00 EPS (Recurring) 2.93 2.92 1.19 0.21 0.38 0.17 0.11 0.17 EPS (Basic) 2.97 2.97 1.21 0.18 0.39 0.18 0.11 0.17 EPS (Diluted) 2.94 2.94 1.19 0.17 0.38 0.17 0.11 0.17 EBITDA 83,318.00 83,317.00 34,480.00 7,121.00 11,215.00 5,714.00 3,272.00 4,112.00 Price To Earnings Ratio 36.39 36.39 49.10 82.88 81.51 70.45 84.90 62.83 Price To Sales Ratio 24.52 24.98 18.93 21.51 19.57 14.18 8.54 Gross Margin 74.99 74.99 72.72 56.93 64.93 62.34 62.13 61.57 Operating Margin 62.42 62.42 54.12 20.68 37.31 27.68 26.48 32.86 Net Margin 55.85 55.85 48.85 16.19 36.23 25.98 25.61 35.34 Shares Outstanding 24,477.00 24,477.00 24,640.00 24,660.00 25,060.00 24,800.00 24,480.00 24,240.00 Market Capitalization 2,610,312.00 2,610,312.00 3,052,678.50 1,548,006.84 472,918.16 571,456.80 321,626.21 150,435.72
values in Millions, USD
Balance Sheet
Period FY 2024 FY 2023 FY 2022 FY 2021 FY 2020 FY 2019 FY 2018 FY 2017 Period End Date 1/31/2025 1/31/2024 1/31/2023 1/31/2022 1/31/2021 1/31/2020 1/31/2019 1/31/2018 Cash & Short Term Investments 43,210.00 25,984.00 13,296.00 21,208.00 11,561.00 10,897.00 7,422.00 7,108.00 Short Term Receivables 23,065.00 9,999.00 3,827.00 4,650.00 2,429.00 1,657.00 1,424.00 1,265.00 Inventories 10,080.00 5,282.00 5,159.00 2,605.00 1,826.00 979.00 1,575.00 796.00 Other Current Assets 3,771.00 3,080.00 791.00 366.00 239.00 157.00 136.00 86.00 Total Current Assets 80,126.00 44,345.00 23,073.00 28,829.00 16,055.00 13,690.00 10,557.00 9,255.00 Net Property, Plant & Equipment 8,076.00 5,260.00 4,845.00 3,607.00 2,856.00 2,292.00 1,404.00 997.00 Total Investments and Advances 3,387.00 1,546.00 299.00 266.00 0.00 0.00 0.00 0.00 Long-Term Note Receivable Intangible Assets 5,995.00 5,542.00 6,048.00 6,688.00 6,930.00 667.00 663.00 670.00 Deferred Tax Assets 10,979.00 6,081.00 3,396.00 1,222.00 806.00 548.00 Other Assets 3,038.00 2,954.00 3,521.00 3,575.00 2,144.00 118.00 668.00 319.00 Total Assets 111,601.00 65,728.00 41,182.00 44,187.00 28,791.00 17,315.00 13,292.00 11,241.00 Short Term Debt Incl. Current Port. of LT Debt 288.00 1,478.00 1,426.00 144.00 1,120.00 91.00 0.00 20.00 Accounts Payable 6,310.00 2,699.00 1,193.00 1,783.00 1,201.00 687.00 511.00 596.00 Income Tax Payable 881.00 296.00 467.00 61.00 61.00 91.00 33.00 Other Current Liabilities 10,568.00 6,158.00 3,477.00 2,408.00 1,543.00 945.00 727.00 504.00 Total Current Liabilities 18,047.00 10,631.00 6,563.00 4,335.00 3,925.00 1,784.00 1,329.00 1,153.00 Long Term Debt 9,982.00 9,578.00 10,605.00 11,687.00 6,598.00 2,552.00 1,988.00 1,985.00 Provision for Risks Charges 0.00 0.00 0.00 0.00 33.00 22.00 20.00 12.00 Deferred Tax Liabilities 886.00 462.00 247.00 245.00 241.00 29.00 19.00 18.00 Other Liabilities 3,359.00 2,079.00 1,666.00 1,308.00 1,101.00 724.00 594.00 602.00 Total Liabilities 32,274.00 22,750.00 19,081.00 17,575.00 11,898.00 5,111.00 3,950.00 3,770.00 Non-Equity Reserves 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Preferred Stock – Carrying Value 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Common Equity 79,327.00 42,978.00 22,101.00 26,612.00 16,893.00 12,204.00 9,342.00 7,471.00 Total Shareholders Equity 79,327.00 42,978.00 22,101.00 26,612.00 16,893.00 12,204.00 9,342.00 7,471.00 Accumulated Minority Interest 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Total Equity 79,327.00 42,978.00 22,101.00 26,612.00 16,893.00 12,204.00 9,342.00 7,471.00 Total Liabilities & Stockholders Equity 111,601.00 65,728.00 41,182.00 44,187.00 28,791.00 17,315.00 13,292.00 11,241.00 Book Value Per Share 3.24 1.74 0.90 1.06 0.68 0.50 0.39 0.31 Tangible Book Value Per Share 3.00 1.52 0.65 0.80 0.40 0.47 0.36 0.28 Full-Time Employees 36,000 29,600 26,196 22,473 18,975 13,775 13,277 11,528 Price to Book Ratio 33.01 46.36 46.54 22.15 24.01 20.97 13.41 8.85 Return on Assets 82.20 55.67 10.23 26.73 18.79 18.27 33.76 28.91 Return on Equity 119.18 91.46 17.93 44.83 29.78 25.95 49.26 46.05 Return on Invested Capital 81.60 56.63 13.36 25.46 18.44 18.95 36.55 32.22 Quick Ratio 3.88 3.67 2.73 6.05 3.63 7.12 6.76 7.34 Current Ratio 4.44 4.17 3.52 6.65 4.09 7.67 7.94 8.03
values in Millions, USD
Cash Flow Statement
Period TTM FY 2024 FY 2023 FY 2022 FY 2021 FY 2020 FY 2019 FY 2018 Period End Date 1/31/2025 1/31/2024 1/31/2023 1/31/2022 1/31/2021 1/31/2020 1/31/2019 Period Length 12 Months 12 Months 12 Months 12 Months 12 Months 12 Months 12 Months 12 Months Net Income 72,880.00 72,880.00 29,760.00 4,368.00 9,752.00 4,332.00 2,796.00 4,141.00 Depreciation 1,864.00 1,864.00 1,508.00 1,544.00 1,174.00 1,098.00 381.00 262.00 Other Funds (Non Cash) 3,205.00 3,205.00 3,033.00 4,100.00 1,951.00 1,377.00 849.00 512.00 Funds from Operations 73,472.00 73,472.00 31,812.00 7,848.00 12,471.00 6,525.00 4,044.00 4,600.00 Extraordinary Item 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Changes in Working Capital -9,383.00 -9,383.00 -3,722.00 -2,207.00 -3,363.00 -703.00 717.00 -857.00 Income Taxes Payable Cash from Operating Activities 64,089.00 64,089.00 28,090.00 5,641.00 9,108.00 5,822.00 4,761.00 3,743.00 Capital Expenditures -3,236.00 -3,236.00 -1,069.00 -1,833.00 -976.00 -1,128.00 -489.00 -600.00 Net Assets From Acquisitions -1,007.00 -1,007.00 -83.00 -49.00 -263.00 -8,524.00 0.00 0.00 Sale of Fixed Assets and Businesses 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Purchase or Sale of Investments -16,200.00 -16,200.00 -8,429.00 9,334.00 -8,567.00 -9,989.00 6,634.00 -3,497.00 Purchase of Investments -28,061.00 -28,061.00 -18,211.00 -11,897.00 -24,787.00 -19,308.00 -1,475.00 -11,157.00 Sale Or Maturity of Investments 11,861.00 11,861.00 9,782.00 21,231.00 16,220.00 9,319.00 8,109.00 7,660.00 Other Uses 0.00 0.00 -985.00 -77.00 -24.00 -34.00 0.00 0.00 Other Sources 22.00 22.00 0.00 0.00 0.00 0.00 0.00 0.00 Cash from Investing Activities -20,421.00 -20,421.00 -10,566.00 7,375.00 -9,830.00 -19,675.00 6,145.00 -4,097.00 Cash Dividends Paid -834.00 -834.00 -395.00 -398.00 -399.00 -395.00 -390.00 -371.00 Change in Capital Stock -33,216.00 -33,216.00 -9,130.00 -9,684.00 281.00 194.00 149.00 -1,442.00 Repurchase of Common Pref Stock -33,706.00 -33,706.00 -9,533.00 -10,039.00 0.00 0.00 0.00 -1,579.00 Sale of Common Pref Stock 490.00 490.00 403.00 355.00 281.00 194.00 149.00 137.00 Proceedsfrom Stock Options 0.00 0.00 0.00 0.00 0.00 0.00 0.00 137.00 Issuance or Reduction of Debt, Net -1,250.00 -1,250.00 -1,250.00 0.00 3,977.00 4,968.00 0.00 -16.00 Change in Long Term Debt -1,250.00 -1,250.00 -1,250.00 0.00 3,977.00 4,968.00 0.00 -16.00 Issuance of Long Term Debt 0.00 0.00 0.00 0.00 4,977.00 4,968.00 0.00 0.00 Reduction of Long Term Debt -1,250.00 -1,250.00 -1,250.00 0.00 -1,000.00 0.00 0.00 -16.00 Net Financing Active Other Cash Flow -7,059.00 -7,059.00 -2,858.00 -1,535.00 -1,994.00 -963.00 -551.00 -1,037.00 Other Financing Activities Uses -7,059.00 -7,059.00 -2,858.00 -1,535.00 -1,994.00 -963.00 -551.00 -1,037.00 Cash from Financing Activities -42,359.00 -42,359.00 -13,633.00 -11,617.00 1,865.00 3,804.00 -792.00 -2,866.00 Exchange Rate Effect Net Change in Cash 1,309.00 1,309.00 3,891.00 1,399.00 1,143.00 -10,049.00 10,114.00 -3,220.00 Free Cash Flow 60,853.00 60,853.00 27,021.00 3,808.00 8,132.00 4,694.00 4,272.00 3,143.00 Preferred Dividends (Cash Flow) 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Price to Free Cash Flow 53.31 57.17 149.72 74.87 75.90 39.88 36.11
values in Millions, USD
NVIDIA Corp Comparison to SPY
Short Interest
EPS Performance and Forecast
GAAP EPS Performance and Forecast
Revenue Performance and Forecast
Price Reaction to Earnings Reports
Latest Revisions
Revenue by Products and Services
Revenue by Regions
Revenue by Segment
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