Abbvie

ABBV

94.47

-0.21

-0.2%

After Hours:

94.47

0.00

0.0%

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Stock Price
Open: 94.69
Prev. Close: 94.68
Low/Hi: 94.22 - 95.40
52-Week: 58.60 - 98.26
Volumes
Equity: 2,542,408
90-Day Avg: 6,298,388
Option: 9,280
90-Day Avg: 17,540
Volatility
Todays Stock Vol: 12.6
20-Day (HV): 22.2
52-Week (HV): 18.2
30-Day IV: 21.3 +0.7
IV Pct Rank: 64% Moderate
Fundamental
Dividend: 11-Jan $0.71
Div. Yield: 3.0%
Earnings: 29-Jan (Est.)
P/E Ratio: 22.87
Market Cap: 151.1 B
Stock Info
Type: Common
Sector: Healthcare
Industry: Drug Manufacturers - Major

ABBV Cash Flow

Numbers are in thousands. Data provided by Sage Data Service.
Period Ending 30-Sep-2017 30-Jun-2017 31-Mar-2017 31-Dec-2016
Net Income 1,631,000 1,915,000 1,711,000 1,391,000
Change in Working Capital 964,000 -542,000 -282,000 -491,000
Depreciation Amortization Depletion and Accretion 379,000 379,000 374,000 328,000
Deferred Taxes 0 0 0 0
Other Non-Cash Activities 297,000 251,000 299,000 313,000
Total Cash from Operating Activities 3,271,000 2,003,000 2,102,000 1,541,000
Capital Expenditures -126,000 -126,000 -95,000 -114,000
Other Investing Cash Flow 17,000 544,000 -589,000 -5,000
Total Cash from Investing Activities -109,000 418,000 -684,000 -119,000
Dividends and Distributions -1,026,000 -1,024,000 -1,027,000 -933,000
Purchase or Sale of Stock 60,000 59,000 -810,000 -1,763,000
Purchase and Retirement of Debt 395,000 -7,000 17,000 229,000
Other Financing Cash Flow -779,000 -8,000 26,000 -35,000
Total Cash from Financing Activities -1,350,000 -980,000 -1,794,000 -2,502,000
Exchange Rate Effects 6,000 7,000 16,000 -38,000
Net Change in Cash 1,818,000 1,448,000 -360,000 -1,118,000
Period Ending 31-Dec-2016 31-Dec-2015 31-Dec-2014 31-Dec-2013
Net Income 5,953,000 5,144,000 1,774,000 4,128,000
Change in Working Capital -1,689,000 504,000 -788,000 658,000
Depreciation Amortization Depletion and Accretion 1,189,000 836,000 786,000 897,000
Deferred Taxes 0 0 0 0
Other Non-Cash Activities 1,588,000 1,051,000 1,777,000 584,000
Total Cash from Operating Activities 7,041,000 7,535,000 3,549,000 6,267,000
Capital Expenditures -479,000 -532,000 -612,000 -491,000
Other Investing Cash Flow -5,595,000 -12,404,000 -314,000 1,370,000
Total Cash from Investing Activities -6,074,000 -12,936,000 -926,000 879,000
Dividends and Distributions -3,717,000 -3,294,000 -2,661,000 -2,555,000
Purchase or Sale of Stock -5,765,000 -7,425,000 -427,000 27,000
Purchase and Retirement of Debt 5,588,000 16,623,000 12,000 -601,000
Other Financing Cash Flow -34,000 -152,000 -217,000 -313,000
Total Cash from Financing Activities -3,928,000 5,752,000 -3,293,000 -3,442,000
Exchange Rate Effects -338,000 -300,000 -577,000 -10,000
Net Change in Cash -3,299,000 51,000 -1,247,000 3,694,000