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AMKR Price Correlated With Financials For Amkor Technology

See how revenue, income, cash flow, and balance sheet financials have changed over 43 quarters since 2011. Compare with AMKR stock chart to see long term trends.

AMKR Stock Compared to Quarterly

AMKR Income Statement

Revenue, Net:1681000000
Cost of Goods & Services Sold:1356168000
Gross Profit:324832000
Selling, General & Admin Expense:72581000
Research & Development Expense:40790000
Total Operating Expenses:113371000
Operating Income:211461000
Income Taxes:17219000
Net Income:181847000
Earnings Per Share, Basic:0.74
Shares Outstanding, Basic Avg:244525131
Revenue Per Share:6.8745

AMKR Cash Flow

Operating Activities Net Income:
Depreciation, Depletion & Amortization:145979000
Net Cash from Operations:175288000
Net Cash from Operations Per Share:0.7169
Cash Dividends Paid:9772000
Net Cash from Financing Activities:-39109000
Property, Plant & Equipment Purchases:217808000
Net Cash from Investing Activities:-314874000
Net Change in Cash & Equivalents:-179191000

AMKR Balance Sheet

Cash and Cash Equivalents:550029000
Short-Term Investments:244470000
Accounts Receivable, Net:1289617000
Inventories:445918000
Total Current Assets:2575124000
Property, Plant & Equipment, Net:2901564000
Total Assets:5770448000
Accounts Payable:815877000
Current Portion of Long-Term Debt:140380000
Total Short-Term Liabilities:1738985000
Long Term Debt, Non-Current Portion:884236000
Total Liabilities:3010769000

Insider Trading

Change
Value
Transaction
SEC Form 4
KIM AGNES C   Member of 10% owner group (4)
1,856,473 sh at $25
$45,817,754
Buy
KIM JAMES J   Member of 10% owner group (6)
1,855,753 sh at $25
$45,799,984
Buy

Major Holders (from 13F filings)

Investment Type
Change
Value (x$1000)
increase or decrease
Dimensional Fund Advisors LP
15,929,018 sh
-284,155 sh
-2%
$397,436
$13,667
Vanguard Group Inc
11,857,762 sh
2,242,811 sh
23%
$295,851
$68,265
Blackrock Inc.
11,300,959 sh
-437,868 sh
-4%
$281,957
$4,099
Lsv Asset Management
7,449,652 sh
1,493,650 sh
25%
$185,868
$44,890
Fuller & Thaler Asset Management, Inc.
5,062,533 sh
50,000 sh
1%
$126,310
$7,663
Westwood Holdings Group Inc
3,251,683 sh
-387,846 sh
-11%
$81,130
-$5,018
State Street Corp
3,224,855 sh
-66,883 sh
-2%
$80,460
$2,545
SW Investment Management LLC
2,400,000 sh
400,000 sh
20%
$59,880
$12,540
Northern Trust Corp
2,021,123 sh
-114,810 sh
-5%
$50,427
-$131
Geode Capital Management, LLC
1,992,807 sh
-150,468 sh
-7%
$49,720
-$1,011
Bandera Partners LLC
1,580,000 sh
761,450 sh
93%
$39,421
$20,046
Bank Of New York Mellon Corp
1,397,488 sh
-30,094 sh
-2%
$34,869
$1,079
Invesco Ltd.
1,367,617 sh
61,076 sh
5%
$34,122
$3,196
Nuveen Asset Management, LLC
1,332,368 sh
32,338 sh
2%
$36,321
$5,550
Charles Schwab Investment Management Inc
1,223,387 sh
-73,107 sh
-6%
$30,524
-$165
Bank Of Montreal /Can/
1,108,430 sh
-47,855 sh
-4%
$28,232
$584
Aqr Capital Management LLC
1,093,073 sh
346,227 sh
46%
$27,272
$9,594
Arrowstreet Capital, Limited Partnership
1,019,964 sh
29,378 sh
3%
$25,448
$2,001
Royce & Associates Lp
949,331 sh
-217,088 sh
-19%
$23,686
-$3,923
Prudential Financial Inc
836,120 sh
280,637 sh
51%
$20,861
$7,713

Data imported from Amkor Technology Inc SEC filings. Check original filings before making any investment decision.