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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 45 quarters since 2010. Compare with ADI stock chart to see long term trends.

ADI stock compared to

ADI Income Statement

Revenue, Net:1558458000
Revenue Per Share:4.22
Cost of Goods & Services Sold:513087000
Gross Profit:1045371000
Selling, General & Admin Expense:185275000
Research & Development Expense:288150000
Total Operating Expenses:581511000
Operating Income:463860000
Income Taxes:48099000
Net Income:388519000
Earnings Per Share, Basic:1.05
Shares Outstanding, Basic Avg:369203000

ADI Cash Flow

Operating Activities Net Income:
Net Cash from Operations:427941000
Repurchases/Buybacks Common Stock:157057000
Cash Dividends Paid:229179000
Net Cash from Financing Activities:-363823000
Property, Plant & Equipment Purchases:67388000
Purchases of Businesses, Net of Cash:2428000
Net Cash from Investing Activities:-75071000
Net Change in Cash & Equivalents:-7797000

ADI Balance Sheet

Cash and Cash Equivalents:1048063000
Accounts Receivable, Net:826964000
Inventories:618640000
Total Current Assets:2624741000
Property, Plant & Equipment, Net:1129214000
Total Assets:21440110000
Accounts Payable:227423000
Total Short-Term Liabilities:1676757000

Major Holders (from 13F filings)

Investment Type
Change
Value (x$1000)
increase or decrease
Vanguard Group Inc
32,088,636 sh
-277,380 sh
-1%
$3,746,028
-$223,341
Blackrock Inc.
30,760,256 sh
2,946,683 sh
11%
$3,590,951
$179,895
FMR LLC
5,265,331 sh
-797,216 sh
-13%
$614,675
-$128,835
Northern Trust Corp
5,061,483 sh
169,498 sh
3%
$590,877
-$9,077
Primecap Management Co/Ca/
4,596,040 sh
241,080 sh
6%
$536,542
$2,450
Royal Bank Of Canada
4,353,571 sh
4,351,371 sh
197790%
$508,235
$507,965
Ameriprise Financial Inc
4,151,614 sh
3,534,514 sh
573%
$484,640
$408,945
Wellington Management Group Llp
4,101,135 sh
708,694 sh
21%
$478,766
$62,717
Invesco Ltd.
3,772,935 sh
-710,071 sh
-16%
$440,450
-$109,346
Viking Global Investors Lp
2,928,432 sh
968,489 sh
49%
$341,865
$101,498
Bank Of America Corp /De/
2,841,491 sh
346,027 sh
14%
$331,716
$25,672
Price T Rowe Associates Inc /Md/
2,584,369 sh
1,371,642 sh
113%
$301,699
$152,970
FIL Ltd
2,545,347 sh
323,882 sh
15%
$297,144
$24,704
Legal & General Group Plc
2,441,322 sh
-134,941 sh
-5%
$284,996
-$30,592
American Century Companies Inc
2,366,740 sh
-210,623 sh
-8%
$276,293
-$39,795
Amundi Pioneer Asset Management Inc
2,226,768 sh
231,965 sh
12%
$259,951
$15,308
UBS Asset Management Americas Inc
1,639,149 sh
-177,671 sh
-10%
$191,354,255
-$31,460,550
Truist Financial Corp
1,608,173 sh
-120,296 sh
-7%
$187,739
-$24,240
Renaissance Technologies LLC
1,604,106 sh
1,604,106 sh
NEW
$187,263
$187,263
Charles Schwab Investment Management Inc
1,528,264 sh
-60,468 sh
-4%
$178,410
-$16,433

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