Switch to Dark

Pricing

Learn

ON logo

ON - ON Semiconductor Corp

202


$58.55

$0.86 (1.491%)
At market close

$57.61

-$0.95 (-1.614%)
After Hours 3/13/26, 11:21 PM
Stock Unlock LogoScore

3.13/5

General
Scores
Financials & KPIs
Dividends
Analyst
Insider
Cash Flow Summary
Metrics
4
KPIs
View as %
ON Semiconductor Corp logo

ON Semiconductor Corp

Stock Unlock Logo
Stock Unlock
Sign Up
Legend
CAGR
Total Change
Average
Median
Low
High
Latest
Net Common Stock Issued
--
-50.85%
-$338.88M
-$308.00M
-$444.70M
2025-12-31
-$294.80M
2025-04-04
-$444.70M
2025-12-31
Investments In Property, Plant & Equipment
--
53.18%
-$85.30M
-$73.65M
-$147.60M
2025-04-04
-$46.30M
2025-10-03
-$69.10M
2025-12-31
Debt Repayments
--
-94K%
-$94.18M
-$400.00K
-$375.50M
2025-12-31
-$400.00K
2025-04-04
-$375.50M
2025-12-31
Cash From Operating Activities
-10.54%
-7.94%
$439.95M
$486.60M
$184.30M
2025-07-04
$602.30M
2025-04-04
$554.50M
2025-12-31
Income Statement
Balance Sheet
Cash Flow
Metrics
KPIs
% Change
Colors
.
#'s in thousands USDAll Time2025-12-312025-10-032025-07-042025-04-042024-12-31
Get more features by creating a free Stock Unlock account:
2 portfolios, 5 positions per portfolio
2 watchlists, up to 10 tickers per watchlist
More screener searches
2024-09-272024-06-282024-03-292023-12-312023-09-292023-06-302023-03-312022-12-312022-09-302022-07-012022-04-012021-12-312021-10-01
Cash From Operating Activities
554,500
418,700
184,300
602,300
42,069,000
2422880
1964220
4547617
8383707
2826161
309102
851517
2650253
7235591
5441831
7095730
8178473
3538701
Net Income
181,800
255,300
171,700
-485,200
42,069,000
6567640
8271497
1895088
4603993
6883730
495627
5806740
3903080
2225076
6667532
2150499
3874661
6598046
Stock Based Compensation
37,800
38,200
34,400
33,900
42,069,000
1394203
586168
9699219
9773999
3363105
5816265
9294315
2941118
2533790
4126344
8151895
5853803
1920468
Depreciation & Amortization
214,900
146,500
156,400
168,200
42,069,000
5095405
3435091
3952630
8639674
5284768
7453578
9059362
9187260
5169144
4508817
6234464
5056715
9658402
Deferred Income Taxes
-80,600
-80,900
-18,500
-13,700
42,069,000
5987917
7048967
9042842
9846156
7366460
7781698
1768515
5877667
4463790
4925807
2555024
4166879
4757006
Change In Working Capital
184,600
45,300
-199,800
462,900
42,069,000
9848357
9682280
7585119
983773
4114183
828324
7170014
2408900
5123734
7660408
8361692
3703096
3283089
Cash Interest Paid
5,100
23,900
6,100
23,200
42,069,000
6807128
2395327
4403732
9200572
1400699
9967016
8238313
1350450
3555698
2887303
6510003
6704853
2926024
Cash Taxes Paid
--
17,400
65,000
21,500
53,400
7969112
1297981
586199
8351878
110048
6047915
9171759
7523450
6075729
5442402
1183266
3560102
4409402
Other Non Cash Items
53,800
52,500
74,500
470,100
42,069,000
4331011
3358479
7482913
4746991
6467187
4903693
6523412
3691327
3823622
4126813
5800026
4531640
5269840
Cash From Investing Activities
-50,700
-151,200
-121,700
-214,900
42,069,000
1267761
7202377
266941
4812728
1203595
7549561
5172498
8865604
7728316
3739530
1638004
8652666
6375303
Investments In Property, Plant & Equipment
-69,100
-46,300
-78,200
-147,600
42,069,000
9546334
5768599
1603287
9550108
7011443
1610005
9832422
9007935
771514
6889325
4028517
3790862
7328544
Other Investing Activities
18,400
-104,900
-43,500
-67,300
42,069,000
4344924
5143507
3876871
439799
5194584
6956768
7563297
2270960
8860796
4464516
321905
3050690
3693741
Cash From Financing Activities
-823,900
-322,200
-300,100
-317,600
42,069,000
4744177
4937923
7184523
6376594
1619579
8590767
1475578
9810270
3461443
3923479
2451675
3854605
1318113
Debt Repayments
-375,500
-400
-400
-400
42,069,000
3413380
592056
9280004
6281565
7749397
8192765
4883421
3697891
3898919
9137526
5840119
7325662
2385722
Net Common Stock Issued
-444,700
-319,000
-297,000
-294,800
42,069,000
9726835
1497793
1765870
9520053
4482679
1654559
9151576
5475054
5131328
1277353
2236757
7988538
9265120
Net Change In Cash
-325,000
-55,600
-235,600
71,800
42,069,000
3743093
8011026
5713042
9096158
5399458
4085625
8822014
6945249
1666743
2020995
787845
8980513
3608310
Free Cash Flow
485,400
372,400
106,100
454,700
42,069,000
3455092
805515
305452
9918936
4716961
2437552
7844098
3713204
9922596
2361110
9784748
8884259
5185123
Cash From Operating Activities
554,500
418,700
184,300
602,300
42,069,000
5436186
6338450
7538124
4689480
4442432
6538942
1115848
8076791
6974504
9194273
2970242
6528036
6824060
Investments In Property, Plant & Equipment
-69,100
-46,300
-78,200
-147,600
42,069,000
4293548
2614860
8258382
156561
7981116
3270590
8945642
2172989
5109104
8078724
1133723
8313289
2334933
FCF excluding SBC
447,600
334,200
71,700
420,800
42,069,000
9730706
1557687
8226489
9638344
2931228
5233323
7642335
7931608
7266216
199021
6127436
2376943
8188067
SBC as % of FCF
7.79%
10.26%
32.42%
7.46%
42K%
2050358
2914177
3245619
2090685
5134302
9477825
9157516
9675185
9990401
8741794
7875184
4411121
6112437