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NDAQ - Nasdaq Inc

97


$85.44

-$1.03 (-1.191%)
At market close

$85.02

-$0.42 (-0.497%)
Pre Market 3/19/26, 8:52 AM
Stock Unlock LogoScore

3.79/5

General
Scores
Financials & KPIs
Dividends
Analyst
Insider
Cash Flow Summary
Metrics
4
KPIs
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Legend
CAGR
Total Change
Average
Median
Low
High
Latest
Net Common Stock Issued
--
-148.7%
-$154.00M
-$115.00M
-$286.00M
2025-12-31
-$100.00M
2025-06-30
-$286.00M
2025-12-31
Investments In Property, Plant & Equipment
--
-81.63%
-$66.50M
-$64.00M
-$89.00M
2025-12-31
-$49.00M
2025-03-31
-$89.00M
2025-12-31
Debt Repayments
--
61.09%
-$206.50M
-$178.50M
-$400.00M
2025-06-30
-$69.00M
2025-09-30
-$100.00M
2025-12-31
Cash From Operating Activities
-7.54%
-5.73%
$563.75M
$644.00M
$221.00M
2025-09-30
$746.00M
2025-06-30
$625.00M
2025-12-31
Income Statement
Balance Sheet
Cash Flow
Metrics
KPIs
% Change
Colors
.
#'s in thousands USDAll Time2025-12-312025-09-302025-06-302025-03-312024-12-31
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2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-30
Cash From Operating Activities
625,000
221,000
746,000
663,000
42,069,000
2867696
7839129
5883148
8458286
4110300
1088294
3543643
4210790
2965223
7927035
1066719
4867256
6356514
Net Income
518,000
423,000
451,000
395,000
42,069,000
4306689
351124
598281
637444
928066
8776794
5285754
4072010
7337706
2278207
1409684
6218844
7709428
Stock Based Compensation
43,000
41,000
46,000
35,000
42,069,000
8533634
4026361
4427850
7418627
7872387
6064611
9801138
2110202
265020
6571450
7770948
1557441
4892343
Depreciation & Amortization
161,000
158,000
157,000
156,000
42,069,000
9796167
163932
3457017
4424535
613073
7986044
7678499
6125220
8545198
3700997
6765727
7612818
2536485
Deferred Income Taxes
18,000
18,000
6,000
6,000
42,069,000
770490
8810800
6113586
8829967
1119347
2780646
2931129
4486133
3031632
4671846
1422576
6667145
11713
Change In Working Capital
-84,000
-406,000
146,000
109,000
42,069,000
783942
4041862
5665101
4848179
1723192
6935218
4251669
9821011
101134
2934982
9015692
2662035
9546395
Cash Interest Paid
71,000
74,000
84,000
125,000
42,069,000
4576758
2373242
9826601
3972494
327754
5680329
7484218
9088940
9604216
1415774
467990
9152180
9104537
Cash Taxes Paid
153,000
44,000
131,000
45,000
42,069,000
9249090
903409
6888733
3038372
3903405
9589962
990016
1401106
7227186
3004845
9341811
8124961
8229570
Other Non Cash Items
12,000
28,000
-14,000
-3,000
42,069,000
1225142
4708683
6895821
5431994
5419796
6336807
5009490
3516828
6711668
2668434
1839871
5509981
2362905
Cash From Investing Activities
-638,000
-145,000
-59,000
-258,000
42,069,000
3674770
4522017
2189710
2203774
8399615
9817382
1041369
7362625
5934133
6805804
159304
3808456
5629517
Investments In Property, Plant & Equipment
-89,000
-69,000
-59,000
-49,000
42,069,000
5842076
3121756
8926062
7250239
8264220
4299007
6146408
3721701
1003493
1491734
6082978
5897358
9879985
Other Investing Activities
-549,000
-76,000
0
-209,000
42,069,000
1877363
8294741
8888965
6014587
6749123
5763160
7906998
102863
797791
8498150
9657221
3053961
6977761
Cash From Financing Activities
-567,000
159,000
-1,462,000
-1,083,000
42,069,000
929937
2252408
7874328
8421701
6124122
8102416
8092675
9736117
8286311
7552880
4702245
699319
7128458
Debt Repayments
-100,000
-69,000
-400,000
-257,000
42,069,000
8367381
3718887
8685507
3224545
387133
2745217
954815
269270
4636242
1302757
5260581
2439171
7650158
Net Common Stock Issued
-286,000
-115,000
-100,000
-115,000
42,069,000
8527792
7927329
7162772
8367464
5103807
9864660
6139571
2685399
8924426
1081311
2622802
7955393
7674444
Dividends Paid
153,000
155,000
155,000
138,000
42,069,000
7079399
1400459
1443420
7531896
5312888
4963252
270302
448335
368350
2056132
1527719
351438
5484427
Net Change In Cash
-507,000
240,000
-530,000
-275,000
42,069,000
3807872
6361684
2798381
5876583
6113093
6047285
9622779
9509739
4166382
5719756
4561048
5248063
9617139
Free Cash Flow
536,000
152,000
687,000
614,000
42,069,000
8912436
7844245
8418601
8465087
748970
3186931
5119569
5860447
7508446
2775809
6949321
9757926
6707015
Cash From Operating Activities
625,000
221,000
746,000
663,000
42,069,000
7246255
9590822
3253354
437361
9308686
6877051
8389228
872782
7197880
6696795
2345060
98997
121803
Investments In Property, Plant & Equipment
-89,000
-69,000
-59,000
-49,000
42,069,000
462899
6273704
7990290
9345477
9212598
8593040
5323277
1973048
4884693
2809092
5707661
4851454
804904
FCF excluding SBC
493,000
111,000
641,000
579,000
42,069,000
4837000
5282520
2252150
4028951
4936109
8433687
3621561
8203501
7428653
1101180
3937010
596291
2404709
SBC as % of FCF
8.02%
26.97%
6.70%
5.70%
42K%
6450777
3206328
856698
3361978
6436635
6877355
98149
1203726
8187924
1228049
1080589
8999528
1596851