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AVGO Broadcom CDR (CAD Hedged)

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  • 34.750
  • -1.810-4.95%
15min DelayMarket Closed Apr 4 15:59 ET
925.52BMarket Cap64.71P/E (TTM)

Broadcom CDR (CAD Hedged) Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Feb 2, 2025
(FY)Nov 3, 2024
(Q4)Nov 3, 2024
(Q3)Aug 4, 2024
(Q2)May 5, 2024
(Q1)Feb 4, 2024
(FY)Oct 29, 2023
(Q4)Oct 29, 2023
(Q3)Jul 30, 2023
(Q2)Apr 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
26.96%6.11B
10.38%19.96B
16.07%5.6B
5.17%4.96B
1.73%4.58B
19.30%4.82B
8.06%18.09B
5.35%4.83B
6.67%4.72B
6.10%4.5B
Net income from continuing operations
315.32%5.5B
-58.14%5.9B
22.70%4.32B
-156.77%-1.88B
-39.07%2.12B
-64.89%1.33B
22.51%14.08B
4.91%3.52B
7.45%3.3B
34.40%3.48B
Operating gains losses
--65M
--157M
--52M
----
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----
----
----
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Depreciation and amortization
-7.29%2.17B
161.02%10.01B
180.15%2.61B
170.82%2.52B
169.44%2.53B
127.23%2.35B
-23.05%3.84B
-23.36%932M
-23.42%932M
-25.71%939M
Remuneration paid in stock
-19.09%1.28B
164.44%5.74B
105.96%1.31B
120.67%1.39B
184.02%1.46B
304.60%1.58B
41.62%2.17B
64.86%638M
68.63%629M
32.90%513M
Deferred tax
-136.73%-696M
492.22%1.97B
-235.84%-868M
1,549.40%3.64B
-61.71%-511M
48.69%-294M
-1,373.53%-501M
817.98%639M
-1,573.33%-251M
---316M
Other non cashItems
-1.43%138M
489.36%831M
275.41%229M
660.61%251M
290.74%211M
2,100.00%140M
-54.81%141M
-3.17%61M
-44.07%33M
-62.24%54M
Change In working capital
-730.74%-2.35B
-182.23%-4.64B
-113.04%-2.06B
-1,563.01%-1.07B
-626.63%-1.23B
51.29%-283M
0.67%-1.64B
-173.65%-966M
125.70%73M
29.58%-169M
-Change in receivables
-130.69%-539M
1,344.39%2.33B
207.79%249M
518.52%835M
-377.30%-513M
736.23%1.76B
78.51%-187M
4.15%-231M
-64.00%135M
134.51%185M
-Change in inventory
-957.14%-148M
455.56%150M
339.29%134M
-218.18%-52M
530.77%82M
-153.85%-14M
104.31%27M
35.63%-56M
125.88%44M
108.84%13M
-Change in payables and accrued expense
425.68%241M
-42.11%121M
-139.53%-85M
98.40%373M
18.42%-93M
7.50%-74M
364.56%209M
-29.28%215M
153.41%188M
-267.74%-114M
-Change in other working capital
2.36%-1.91B
-327.60%-7.24B
-163.53%-2.36B
-656.46%-2.22B
-178.26%-704M
-677.29%-1.95B
-2,069.23%-1.69B
-171.73%-894M
-114.60%-294M
-153.38%-253M
Cash from discontinued investing activities
Operating cash flow
26.96%6.11B
10.38%19.96B
16.07%5.6B
5.17%4.96B
1.73%4.58B
19.30%4.82B
8.06%18.09B
5.35%4.83B
6.67%4.72B
6.10%4.5B
Investing cash flow
Cash flow from continuing investing activities
99.32%-174M
-3,248.33%-23.07B
-6.45%-132M
2,353.47%3.25B
-122.01%-706M
-24,634.95%-25.48B
-3.30%-689M
3.13%-124M
-280.00%-144M
-2.58%-318M
Net PPE purchase and sale
18.03%-100M
-21.24%-548M
-16.19%-122M
-40.98%-172M
-8.20%-132M
-18.45%-122M
-6.60%-452M
13.93%-105M
-5.17%-122M
-43.53%-122M
Net business purchase and sale
--0
-42,339.62%-22.49B
--0
20,588.24%3.48B
---560M
---25.42B
78.46%-53M
-414.29%-36M
-240.00%-17M
--0
Net investment purchase and sale
-214.47%-87M
83.90%-19M
-110.42%-10M
-300.00%-68M
91.37%-17M
--76M
---118M
--96M
-108.50%-17M
---197M
Net other investing changes
186.67%13M
84.85%-10M
--0
-83.33%2M
--3M
---15M
-2,300.00%-66M
-8,000.00%-79M
1,100.00%12M
----
Cash from discontinued investing activities
Investing cash flow
99.32%-174M
-3,248.33%-23.07B
-6.45%-132M
2,353.47%3.25B
-122.01%-706M
-24,634.95%-25.48B
-3.30%-689M
3.13%-124M
-280.00%-144M
-2.58%-318M
Financing cash flow
Cash flow from continuing financing activities
-132.61%-5.98B
88.91%-1.73B
-136.42%-6.08B
-98.01%-8.07B
-12.33%-5.93B
595.33%18.34B
1.22%-15.62B
-27.48%-2.57B
-15.32%-4.07B
-2.55%-5.28B
Net issuance payments of debt
-103.87%-1.12B
5,148.64%20.35B
-1,650.35%-2.5B
---4.23B
---2B
11,283.08%29.08B
5.40%-403M
-1,488.89%-143M
--0
--0
Net common stock issuance
75.44%-2.04B
-61.34%-12.2B
-108.11%-1.08B
37.70%-1.35B
55.79%-1.48B
-445.04%-8.29B
9.33%-7.56B
-135.45%-518M
-20.93%-2.17B
-3.93%-3.36B
Cash dividends paid
-13.92%-2.77B
-28.37%-9.81B
-30.46%-2.48B
-28.98%-2.45B
-27.64%-2.44B
-26.43%-2.44B
-8.72%-7.65B
-6.85%-1.9B
-9.50%-1.9B
-9.37%-1.91B
Net other financing activities
-228.57%-46M
-425.00%-63M
-120.00%-11M
-620.00%-36M
71.43%-2M
-380.00%-14M
29.41%-12M
0.00%-5M
-25.00%-5M
-40.00%-7M
Cash from discontinued financing activities
Financing cash flow
-132.61%-5.98B
88.91%-1.73B
-136.42%-6.08B
-98.01%-8.07B
-12.33%-5.93B
595.33%18.34B
1.22%-15.62B
-27.48%-2.57B
-15.32%-4.07B
-2.55%-5.28B
Net cash flow
Beginning cash position
-34.12%9.35B
14.28%14.19B
-17.45%9.95B
-15.10%9.81B
-6.19%11.86B
14.28%14.19B
2.08%12.42B
20.83%12.06B
28.30%11.55B
23.76%12.65B
Current changes in cash
98.24%-41M
-373.04%-4.84B
-128.30%-604M
-71.51%143M
-87.84%-2.06B
-1,106.49%-2.33B
600.79%1.77B
-12.51%2.13B
-48.35%502M
9.88%-1.09B
End cash Position
-21.55%9.31B
-34.12%9.35B
-34.12%9.35B
-17.45%9.95B
-15.10%9.81B
-6.19%11.86B
14.28%14.19B
14.28%14.19B
20.83%12.06B
28.30%11.55B
Free cash from
28.13%6.01B
10.10%19.41B
16.07%5.48B
4.22%4.79B
1.55%4.45B
19.32%4.69B
8.10%17.63B
5.87%4.72B
6.71%4.6B
5.34%4.38B
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
--
--
--
--
(Q1)Feb 2, 2025(FY)Nov 3, 2024(Q4)Nov 3, 2024(Q3)Aug 4, 2024(Q2)May 5, 2024(Q1)Feb 4, 2024(FY)Oct 29, 2023(Q4)Oct 29, 2023(Q3)Jul 30, 2023(Q2)Apr 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 26.96%6.11B10.38%19.96B16.07%5.6B5.17%4.96B1.73%4.58B19.30%4.82B8.06%18.09B5.35%4.83B6.67%4.72B6.10%4.5B
Net income from continuing operations 315.32%5.5B-58.14%5.9B22.70%4.32B-156.77%-1.88B-39.07%2.12B-64.89%1.33B22.51%14.08B4.91%3.52B7.45%3.3B34.40%3.48B
Operating gains losses --65M--157M--52M----------------------------
Depreciation and amortization -7.29%2.17B161.02%10.01B180.15%2.61B170.82%2.52B169.44%2.53B127.23%2.35B-23.05%3.84B-23.36%932M-23.42%932M-25.71%939M
Remuneration paid in stock -19.09%1.28B164.44%5.74B105.96%1.31B120.67%1.39B184.02%1.46B304.60%1.58B41.62%2.17B64.86%638M68.63%629M32.90%513M
Deferred tax -136.73%-696M492.22%1.97B-235.84%-868M1,549.40%3.64B-61.71%-511M48.69%-294M-1,373.53%-501M817.98%639M-1,573.33%-251M---316M
Other non cashItems -1.43%138M489.36%831M275.41%229M660.61%251M290.74%211M2,100.00%140M-54.81%141M-3.17%61M-44.07%33M-62.24%54M
Change In working capital -730.74%-2.35B-182.23%-4.64B-113.04%-2.06B-1,563.01%-1.07B-626.63%-1.23B51.29%-283M0.67%-1.64B-173.65%-966M125.70%73M29.58%-169M
-Change in receivables -130.69%-539M1,344.39%2.33B207.79%249M518.52%835M-377.30%-513M736.23%1.76B78.51%-187M4.15%-231M-64.00%135M134.51%185M
-Change in inventory -957.14%-148M455.56%150M339.29%134M-218.18%-52M530.77%82M-153.85%-14M104.31%27M35.63%-56M125.88%44M108.84%13M
-Change in payables and accrued expense 425.68%241M-42.11%121M-139.53%-85M98.40%373M18.42%-93M7.50%-74M364.56%209M-29.28%215M153.41%188M-267.74%-114M
-Change in other working capital 2.36%-1.91B-327.60%-7.24B-163.53%-2.36B-656.46%-2.22B-178.26%-704M-677.29%-1.95B-2,069.23%-1.69B-171.73%-894M-114.60%-294M-153.38%-253M
Cash from discontinued investing activities
Operating cash flow 26.96%6.11B10.38%19.96B16.07%5.6B5.17%4.96B1.73%4.58B19.30%4.82B8.06%18.09B5.35%4.83B6.67%4.72B6.10%4.5B
Investing cash flow
Cash flow from continuing investing activities 99.32%-174M-3,248.33%-23.07B-6.45%-132M2,353.47%3.25B-122.01%-706M-24,634.95%-25.48B-3.30%-689M3.13%-124M-280.00%-144M-2.58%-318M
Net PPE purchase and sale 18.03%-100M-21.24%-548M-16.19%-122M-40.98%-172M-8.20%-132M-18.45%-122M-6.60%-452M13.93%-105M-5.17%-122M-43.53%-122M
Net business purchase and sale --0-42,339.62%-22.49B--020,588.24%3.48B---560M---25.42B78.46%-53M-414.29%-36M-240.00%-17M--0
Net investment purchase and sale -214.47%-87M83.90%-19M-110.42%-10M-300.00%-68M91.37%-17M--76M---118M--96M-108.50%-17M---197M
Net other investing changes 186.67%13M84.85%-10M--0-83.33%2M--3M---15M-2,300.00%-66M-8,000.00%-79M1,100.00%12M----
Cash from discontinued investing activities
Investing cash flow 99.32%-174M-3,248.33%-23.07B-6.45%-132M2,353.47%3.25B-122.01%-706M-24,634.95%-25.48B-3.30%-689M3.13%-124M-280.00%-144M-2.58%-318M
Financing cash flow
Cash flow from continuing financing activities -132.61%-5.98B88.91%-1.73B-136.42%-6.08B-98.01%-8.07B-12.33%-5.93B595.33%18.34B1.22%-15.62B-27.48%-2.57B-15.32%-4.07B-2.55%-5.28B
Net issuance payments of debt -103.87%-1.12B5,148.64%20.35B-1,650.35%-2.5B---4.23B---2B11,283.08%29.08B5.40%-403M-1,488.89%-143M--0--0
Net common stock issuance 75.44%-2.04B-61.34%-12.2B-108.11%-1.08B37.70%-1.35B55.79%-1.48B-445.04%-8.29B9.33%-7.56B-135.45%-518M-20.93%-2.17B-3.93%-3.36B
Cash dividends paid -13.92%-2.77B-28.37%-9.81B-30.46%-2.48B-28.98%-2.45B-27.64%-2.44B-26.43%-2.44B-8.72%-7.65B-6.85%-1.9B-9.50%-1.9B-9.37%-1.91B
Net other financing activities -228.57%-46M-425.00%-63M-120.00%-11M-620.00%-36M71.43%-2M-380.00%-14M29.41%-12M0.00%-5M-25.00%-5M-40.00%-7M
Cash from discontinued financing activities
Financing cash flow -132.61%-5.98B88.91%-1.73B-136.42%-6.08B-98.01%-8.07B-12.33%-5.93B595.33%18.34B1.22%-15.62B-27.48%-2.57B-15.32%-4.07B-2.55%-5.28B
Net cash flow
Beginning cash position -34.12%9.35B14.28%14.19B-17.45%9.95B-15.10%9.81B-6.19%11.86B14.28%14.19B2.08%12.42B20.83%12.06B28.30%11.55B23.76%12.65B
Current changes in cash 98.24%-41M-373.04%-4.84B-128.30%-604M-71.51%143M-87.84%-2.06B-1,106.49%-2.33B600.79%1.77B-12.51%2.13B-48.35%502M9.88%-1.09B
End cash Position -21.55%9.31B-34.12%9.35B-34.12%9.35B-17.45%9.95B-15.10%9.81B-6.19%11.86B14.28%14.19B14.28%14.19B20.83%12.06B28.30%11.55B
Free cash from 28.13%6.01B10.10%19.41B16.07%5.48B4.22%4.79B1.55%4.45B19.32%4.69B8.10%17.63B5.87%4.72B6.71%4.6B5.34%4.38B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion----------------

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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