Try Alerts Free   |   Login
Technology › Semiconductors And Related Devices

Advanced Micro Devices (AMD) Financials and Smart Investor 13F Alerts

See how revenue, income, cash flow, and balance sheet financials have changed over 41 quarters since 2011. Compare with AMD stock chart to see long term trends.

AMD stock compared to

AMD Income Statement

Revenue, Net:3445000000
Revenue Per Share:2.84
Cost of Goods & Services Sold:1858000000
Gross Profit:1587000000
Selling, General & Admin Expense:319000000
Research & Development Expense:610000000
Operating Income:662000000
Income Taxes:89000000
Net Income:555000000
Earnings Per Share, Basic:0.46
Shares Outstanding, Basic Avg:1215020976

AMD Cash Flow

Operating Activities Net Income:
Depreciation, Depletion & Amortization:95000000
Change in Accounts Receiveable:112000000
Net Cash from Operations:898000000
Net Cash from Financing Activities:-8000000
Property, Plant & Equipment Purchases:66000000
Net Cash from Investing Activities:-722000000
Net Change in Cash & Equivalents:168000000

AMD Balance Sheet

Cash and Cash Equivalents:1763000000
Short-Term Investments:1353000000
Accounts Receivable, Net:2178000000
Inventories:1653000000
Total Current Assets:7197000000
Property, Plant & Equipment, Net:681000000
Total Assets:10047000000
Accounts Payable:949000000
Total Short-Term Liabilities:2864000000
Long Term Debt, Non-Current Portion:313000000

Major Holders (from 13F filings)

Investment Type
Change
Value (x$1000)
increase or decrease
Vanguard Group Inc
95,830,991 sh
-1,087,863 sh
-1%
$7,857,183
$2,758,281
Blackrock Inc.
80,339,991 sh
-1,079,421 sh
-1%
$6,587,077
$2,303,602
Price T Rowe Associates Inc /Md/
55,548,488 sh
9,974,510 sh
22%
$4,554,421
$2,156,774
FMR LLC
47,929,248 sh
2,729,284 sh
6%
$3,929,720
$1,551,751
Wellington Management Group Llp
23,158,829 sh
986,145 sh
4%
$1,898,792
$732,287
Northern Trust Corp
12,855,004 sh
-35,797 sh
0%
$1,053,982
$375,796
D. E. Shaw & Co., Inc.
12,805,107 sh
10,545,807 sh
467%
$1,049,890
$931,028
Invesco Ltd.
8,695,298 sh
8,630,298 sh
13277%
$712,928
$709,508
Bank Of America Corp /De/
7,236,332 sh
7,236,032 sh
2412010%
$593,308
$593,292
Legal & General Group Plc
7,179,284 sh
148,961 sh
2%
$588,627
$218,770
UBS Asset Management Americas Inc
5,841,883 sh
1,112,059 sh
24%
$478,975,986
$230,139,945
Credit Suisse Ag/
Put options for 5,373,600 sh
5,373,600 sh
NEW
$440,581
$440,581
Charles Schwab Investment Management Inc
5,128,794 sh
-219,361 sh
-4%
$420,510
$139,143
Viking Global Investors Lp
4,500,835 sh
4,500,835 sh
NEW
$369,023
$369,023
Voya Investment Management LLC
4,281,108 sh
-739,730 sh
-15%
$351,008
$86,861
American Century Companies Inc
4,034,557 sh
91,577 sh
2%
$330,793
$123,353
Goldman Sachs Group Inc
2,929,365 sh
2,500,965 sh
584%
$240,178
$217,640
Amundi Pioneer Asset Management Inc
2,767,581 sh
78,899 sh
3%
$226,915
$85,463
Credit Suisse Ag/
Call options for 2,691,700 sh
2,691,700 sh
NEW
$220,692
$220,692
Morgan Stanley
2,690,616 sh
-1,113,339 sh
-29%
$220,605
$20,480

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