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AVGO - Broadcom Inc

4949


$320.61

$0.77 (0.241%)
3/20/26, 1:46 PM
Stock Unlock LogoScore

4.09/5

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Financials & KPIs
Dividends
Analyst
Insider
Cash Flow Summary
Metrics
4
KPIs
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Broadcom Inc logo

Broadcom Inc

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Legend
CAGR
Total Change
Average
Median
Low
High
Latest
Net Common Stock Issued
--
-91.56%
-$2.98B
-$2.08B
-$7.85B
2026-02-01
$103.00M
2025-11-02
-$7.85B
2026-02-01
Investments In Property, Plant & Equipment
--
-73.61%
-$193.25M
-$190.50M
-$250.00M
2026-02-01
-$142.00M
2025-08-03
-$250.00M
2026-02-01
Debt Repayments
43.18%
30.79%
-$216.00M
$727.00M
-$3.16B
2025-08-03
$845.00M
2025-11-02
$824.00M
2026-02-01
Cash From Operating Activities
36.22%
26.01%
$7.42B
$7.43B
$6.56B
2025-05-04
$8.26B
2026-02-01
$8.26B
2026-02-01
Income Statement
Balance Sheet
Cash Flow
Metrics
KPIs
% Change
Colors
.
#'s in thousands USDAll Time2026-02-012025-11-022025-08-032025-05-042025-02-02
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2024-11-032024-08-042024-05-052024-02-042023-10-292023-07-302023-04-302023-01-292022-10-302022-07-312022-05-012022-01-302021-10-31
Cash From Operating Activities
8,260,000
7,703,000
7,166,000
6,555,000
42,069,000
1078503
1442698
5847615
4553240
9147144
8054871
7012864
5317775
3954352
1378933
2916666
6527694
8235009
Net Income
7,349,000
8,518,000
4,140,000
4,965,000
42,069,000
9063390
4550294
8894064
9302687
1609313
1090907
9097825
3790544
8878884
2820492
2448487
5301664
5701572
Stock Based Compensation
--
2,195,000
2,322,000
1,771,000
1,280,000
6054381
1061279
4008552
1808776
5247296
9231984
4360527
7021884
9992743
4513801
1623552
5849624
5532960
Depreciation & Amortization
2,153,000
2,233,000
2,202,000
2,166,000
42,069,000
6936971
9920908
3337310
3689678
6524278
8758403
2068800
7037642
9852084
6827998
3891586
999738
1814175
Deferred Income Taxes
-455,000
-3,025,000
284,000
-571,000
42,069,000
8853675
3739423
3851434
3435376
7125272
6576386
7414908
5256152
2770716
9818618
3381782
6424523
9454636
Change In Working Capital
-3,105,000
-2,345,000
-1,894,000
-1,910,000
42,069,000
7184463
3588002
6710001
3285798
5732705
2508623
6927088
4723124
9931445
6962592
1837582
77489
3083632
Cash Interest Paid
619,000
699,000
602,000
700,000
42,069,000
2551206
3442590
8288776
4828351
1818287
1169195
6185629
3609637
9839137
3868224
9895559
1869866
364766
Cash Taxes Paid
782,000
755,000
822,000
608,000
42,069,000
8731421
7465224
8564179
5907527
5744380
179238
3207125
9505432
249626
6398621
5281545
398169
2768279
Other Non Cash Items
2,318,000
2,322,000
2,434,000
1,905,000
42,069,000
7836697
9307054
5953611
5547603
1706932
7242247
4594868
4760771
737300
9740998
2599942
2641471
2762164
Cash From Investing Activities
-115,000
-367,000
94,000
-133,000
42,069,000
9845482
2448789
9952534
3444054
6258373
7242801
7768749
2363151
9505274
8989986
4743273
362948
961638
Investments In Property, Plant & Equipment
-250,000
-237,000
-142,000
-144,000
42,069,000
4955910
3176475
1544653
8942063
9997507
5233165
8328834
7096947
1655906
3721774
1264933
480931
9275678
Other Investing Activities
135,000
-130,000
236,000
11,000
42,069,000
534129
981363
2992742
9847778
7614611
4716643
1339192
9717514
2779414
9756252
5158700
2840100
9517899
Cash From Financing Activities
-10,149,000
-1,876,000
-6,014,000
-6,257,000
42,069,000
2406026
946340
532773
5613084
3690642
6347558
2369815
2736933
804997
3625788
829084
2988982
852642
Debt Repayments
824,000
845,000
-3,163,000
630,000
42,069,000
435369
6392760
7437181
2170911
4792829
729378
1819650
6889467
5722362
7722783
1407839
1475397
3812366
Net Common Stock Issued
-7,850,000
103,000
-58,000
-4,098,000
42,069,000
7227121
4949853
9995355
6318426
5340584
3454152
3120579
247493
8254362
4531900
3613980
2177969
9828911
Dividends Paid
3,086,000
2,797,000
2,786,000
2,785,000
42,069,000
3759716
3060019
2407670
1691622
1134685
9045499
3670340
1036522
4972036
4430226
4392637
3048643
9028267
Net Change In Cash
-2,004,000
5,460,000
1,246,000
165,000
42,069,000
7664410
1941721
3450980
7025339
8595580
3284913
3662560
1798283
5945489
7733335
4515811
2020233
3854215
Free Cash Flow
8,010,000
7,466,000
7,024,000
6,411,000
42,069,000
604622
9859359
7041410
2504500
4937289
4311118
613477
1850256
3526397
5142269
1735436
4130051
7109479
Cash From Operating Activities
8,260,000
7,703,000
7,166,000
6,555,000
42,069,000
7390157
9336241
6718481
1236861
8675857
1086501
7320519
2406204
7817116
6123782
9199022
8549428
8766516
Investments In Property, Plant & Equipment
-250,000
-237,000
-142,000
-144,000
42,069,000
7460198
8780329
1098294
7127757
7116582
8618392
3167337
6971389
7518593
796947
3523506
6336319
3463877
FCF excluding SBC
--
5,271,000
4,702,000
4,640,000
4,733,000
7926222
2748485
6673330
1717750
2061120
6395080
3306854
2664888
7491760
6951459
1433790
2451681
6991712
SBC as % of FCF
--
29.40%
33.06%
27.62%
21.29%
1936347
5607842
8117414
3034238
347448
8104171
2927962
2702395
118519
630258
1373894
1624936
5862259