Abbott Laboratories

ABT

52.51

+1.08

+2.1%

After Hours:

52.51

0.00

0.0%

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Stock Price
Open: 51.51
Prev. Close: 51.43
Low/Hi: 51.50 - 52.58
52-Week: 37.38 - 52.60
Volumes
Equity: 7,958,536
90-Day Avg: 5,741,320
Option: 5,339
90-Day Avg: 6,569
Volatility
Todays Stock Vol: 29.8
20-Day (HV): 13.6
52-Week (HV): 16.6
30-Day IV: 16.4 +0.3
IV Pct Rank: 47% Moderate
Fundamental
Dividend: 12-Oct $0.265
Div. Yield: 2.0%
Earnings: 18-Oct BMO
P/E Ratio: 72.44
Market Cap: 89.4 B
Stock Type: Common
Sector: Healthcare
Industry: Medical Appliances & Equipment
Stock Type: Common | Sector: Healthcare | Industry: Medical Appliances & Equipment

ABT Cash Flow

Numbers are in thousands. Data provided by Sage Data Service.
Period Ending 30-Jun-2017 31-Mar-2017 31-Dec-2016 30-Sep-2016
Net Income 296,000 419,000 477,000 -329,000
Change in Working Capital -102,000 -31,000 -244,000 206,000
Depreciation Amortization Depletion and Accretion 1,078,000 1,166,000 484,000 340,000
Deferred Taxes 0 0 0 0
Other Non-Cash Activities 92,000 -980,000 132,000 1,000,000
Total Cash from Operating Activities 1,351,000 574,000 1,170,000 1,217,000
Capital Expenditures -255,000 -272,000 -319,000 -312,000
Other Investing Cash Flow 249,000 -5,882,000 1,869,000 -242,000
Total Cash from Investing Activities -6,000 -6,154,000 1,550,000 -554,000
Dividends and Distributions -462,000 -460,000 -386,000 -384,000
Purchase or Sale of Stock 54,000 34,000 42,000 74,000
Purchase and Retirement of Debt 24,000 -3,960,000 13,848,000 -398,000
Other Financing Cash Flow 0 -13,000 0 -38,000
Total Cash from Financing Activities -384,000 -4,399,000 13,504,000 -746,000
Exchange Rate Effects 8,000 65,000 -104,000 5,000
Net Change in Cash 969,000 -9,914,000 16,120,000 -78,000
Period Ending 31-Dec-2016 31-Dec-2015 31-Dec-2014 31-Dec-2013
Net Income 1,079,000 4,423,000 2,284,000 2,576,000
Change in Working Capital -1,513,000 -156,000 -490,000 -1,237,000
Depreciation Amortization Depletion and Accretion 1,518,000 1,472,000 1,548,000 1,719,000
Deferred Taxes 0 0 0 0
Other Non-Cash Activities 1,798,000 -2,773,000 333,000 266,000
Total Cash from Operating Activities 3,203,000 2,966,000 3,675,000 3,324,000
Capital Expenditures -1,121,000 -1,110,000 -1,077,000 -1,145,000
Other Investing Cash Flow 873,000 1,516,000 875,000 -2,784,000
Total Cash from Investing Activities -248,000 406,000 -202,000 -3,929,000
Dividends and Distributions -1,539,000 -1,443,000 -1,342,000 -882,000
Purchase or Sale of Stock -274,000 -1,923,000 -1,766,000 -1,210,000
Purchase and Retirement of Debt 13,155,000 1,147,000 766,000 1,792,000
Other Financing Cash Flow -195,000 -17,000 -400,000 -6,396,000
Total Cash from Financing Activities 11,147,000 -2,236,000 -2,742,000 -6,696,000
Exchange Rate Effects -483,000 -198,000 -143,000 -26,000
Net Change in Cash 13,619,000 938,000 588,000 -7,327,000