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Analog Devices (ADI) Financials and Smart Investor 13F Alerts

See how revenue, income, cash flow, and balance sheet financials have changed over 47 quarters since 2010. Compare with ADI stock chart to see long term trends.

ADI stock compared to

ADI Income Statement

Revenue, Net:1758853000
Revenue Per Share:4.77
Cost of Goods & Services Sold:537669000
Gross Profit:1221184000
Selling, General & Admin Expense:206076000
Research & Development Expense:306617000
Total Operating Expenses:611538000
Operating Income:609646000
Income Taxes:68967000
Net Income:503311000
Earnings Per Share, Basic:1.37
Shares Outstanding, Basic Avg:368476000

ADI Cash Flow

Operating Activities Net Income:
Net Cash from Operations:630042000
Repurchases/Buybacks Common Stock:163281000
Cash Dividends Paid:254506000
Net Cash from Financing Activities:-406558000
Property, Plant & Equipment Purchases:86341000
Purchases of Businesses, Net of Cash:22522000
Net Cash from Investing Activities:-47512000
Net Change in Cash & Equivalents:175485000

ADI Balance Sheet

Cash and Cash Equivalents:1480701000
Accounts Receivable, Net:823163000
Inventories:657520000
Total Current Assets:3090455000
Property, Plant & Equipment, Net:1173674000
Total Assets:21641190000
Accounts Payable:265933000
Total Short-Term Liabilities:2793342000

Insider Trading

Change
Value
Transaction
SEC Form 4
EVANS BRUCE R   Director
8,000 sh at $165
$1,319,800
Buy

Major Holders (from 13F filings)

Investment Type
Change
Value (x$1000)
increase or decrease
JPMorgan Chase & Co
33,344,669 sh
1,633,183 sh
5%
$5,740,619
$822,802
Vanguard Group Inc
31,268,828 sh
113,264 sh
0%
$5,383,242
$551,637
Blackrock Inc.
29,504,139 sh
340,386 sh
1%
$5,079,435
$556,719
State Street Corp
12,746,257 sh
168,483 sh
1%
$2,194,396
$243,835
Massachusetts Financial Services Co /Ma/
11,105,509 sh
-861,854 sh
-7%
$1,911,923
$56,025
FMR LLC
10,306,157 sh
953,893 sh
10%
$1,774,307
$323,959
Franklin Resources Inc
9,209,103 sh
-75,481 sh
-1%
$1,585,439
$145,597
Wells Fargo & Company/Mn
8,813,013 sh
-359,435 sh
-4%
$1,517,249
$94,785
Lazard Asset Management LLC
8,079,956 sh
-77,433 sh
-1%
$1,391,043
$125,997
Ameriprise Financial Inc
6,057,370 sh
391,249 sh
7%
$1,043,173
$166,778
Geode Capital Management, LLC
5,763,566 sh
127,966 sh
2%
$989,273
$117,814
Price T Rowe Associates Inc /Md/
5,564,228 sh
921,801 sh
20%
$957,937
$237,989
Neuberger Berman Group LLC
5,068,503 sh
621,358 sh
14%
$870,683
$181,794
Northern Trust Corp
4,932,337 sh
-89,772 sh
-2%
$849,150
$70,321
Wellington Management Group Llp
4,912,323 sh
-59,768 sh
-1%
$845,706
$74,633
Generation Investment Management Llp
4,854,714 sh
-634,685 sh
-12%
$835,788
-$15,508
Primecap Management Co/Ca/
4,531,475 sh
-57,960 sh
-1%
$780,139
$68,409
Bank Of America Corp /De/
4,384,941 sh
4,367,641 sh
25247%
$754,911
$752,228
Amundi
4,044,051 sh
4,044,051 sh
NEW
$696,224
$696,224
First Eagle Investment Management, LLC
3,516,997 sh
-47,502 sh
-1%
$605,486
$52,703

Data imported from Analog Devices Inc SEC filings. Check original filings before making any investment decision.