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KD Kyndryl

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  • 31.631
  • +0.621+2.00%
Trading Apr 24 15:33 ET
7.36BMarket Cap54.54P/E (TTM)

Kyndryl Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Dec 31, 2024
(Q2)Sep 30, 2024
(Q1)Jun 30, 2024
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
(Q3)Dec 31, 2023
(Q2)Sep 30, 2023
(Q1)Jun 30, 2023
(FY)Mar 31, 2023
(Q4)Mar 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-40.46%259M
221.74%148M
72.83%-47M
-42.09%454M
873.33%146M
57.61%435M
-88.17%46M
-266.35%-173M
310.47%784M
-92.15%15M
Net income from continuing operations
1,891.67%215M
69.72%-43M
107.80%11M
75.25%-340M
93.89%-45M
88.68%-12M
49.47%-142M
43.60%-141M
-500.00%-1.37B
-221.83%-737M
Operating gains losses
-235.71%-94M
-485.71%-41M
-6.90%27M
616.67%43M
113.04%49M
26.32%-28M
-136.84%-7M
1,350.00%29M
-50.00%6M
91.67%23M
Depreciation and amortization
-9.18%267M
-21.61%243M
-33.98%204M
-13.90%1.18B
-27.42%270M
-12.76%294M
-8.28%310M
-5.50%309M
285.96%1.37B
4.49%372M
Deferred tax
25.00%5M
--0
-34.62%17M
-104.56%-13M
-124.29%-68M
111.11%4M
600.00%25M
-43.48%26M
2,950.00%285M
2,900.00%280M
Other non cash items
-3.53%437M
-2.90%436M
-10.15%416M
7.13%1.79B
0.00%422M
2.49%453M
12.25%449M
14.60%463M
268.21%1.67B
-6.84%422M
Change In working capital
-100.33%-599M
23.41%-471M
15.21%-747M
-78.23%-2.3B
-33.16%-506M
14.08%-299M
-449.11%-615M
-95.34%-881M
-204.48%-1.29B
10.38%-380M
-Change in receivables
-116.49%-16M
118.40%30M
207.55%163M
-98.34%11M
41.18%24M
-44.89%97M
-165.46%-163M
-76.13%53M
2,241.94%664M
154.84%17M
-Change in payables and accrued expense
-118.06%-28M
67.24%-115M
14.69%-122M
-208.16%-305M
-27.66%34M
187.04%155M
-280.00%-351M
-921.43%-143M
-26.56%282M
-87.76%47M
-Change in other current liabilities
10.00%-9M
-500.00%-20M
130.43%7M
-192.68%-38M
-123.81%-10M
---10M
171.43%5M
-483.33%-23M
156.16%41M
157.53%42M
-Change in other working capital
-0.92%-546M
-245.28%-366M
-3.52%-795M
13.56%-1.97B
-13.99%-554M
6.40%-541M
80.69%-106M
-15.49%-768M
-223.58%-2.28B
30.97%-486M
Cash from discontinued investing activities
Operating cash flow
-40.37%260M
223.91%149M
72.25%-48M
-41.87%454M
1,108.33%145M
56.83%436M
-88.11%46M
-266.35%-173M
313.23%781M
-93.65%12M
Investing cash flow
Cash flow from continuing investing activities
129.08%41M
21.88%-75M
-46.90%-166M
33.77%-553M
-49.26%-203M
22.95%-141M
67.68%-96M
48.40%-113M
-272.77%-835M
39.29%-136M
Capital expenditure reported
37.36%-109M
23.43%-134M
-22.00%-122M
24.74%-651M
-31.17%-202M
28.98%-174M
30.83%-175M
53.05%-100M
---865M
14.44%-154M
Net PPE purchase and sale
6.67%16M
-73.45%30M
300.00%24M
500.00%138M
33.33%4M
50.00%15M
3,666.67%113M
-14.29%6M
113.45%23M
-66.67%3M
Net business purchase and sale
--183M
--0
---46M
----
----
--0
--0
--0
----
----
Net other investing changes
-382.35%-48M
187.88%29M
-15.79%-22M
-671.43%-40M
-133.33%-5M
-67.31%17M
31.25%-33M
-58.33%-19M
112.96%7M
127.78%15M
Cash from discontinued investing activities
Investing cash flow
129.58%42M
21.05%-75M
-46.90%-166M
33.77%-553M
-49.26%-203M
22.40%-142M
68.12%-95M
48.17%-113M
-271.11%-835M
39.56%-136M
Financing cash flow
Cash flow from continuing financing activities
-62.79%-70M
-21.43%-51M
-34.21%-51M
-20.57%-170M
-14.63%-47M
-38.71%-43M
-50.00%-42M
7.32%-38M
-227.91%-141M
4.65%-41M
Net issuance payments of debt
2.78%-35M
5.41%-35M
-26.67%-38M
-27.12%-150M
-34.29%-47M
-33.33%-36M
-32.14%-37M
-7.14%-30M
-293.33%-118M
-25.00%-35M
Net common stock issuance
-442.86%-38M
-240.00%-17M
0.00%-7M
-15.79%-22M
-50.00%-3M
-75.00%-7M
---5M
46.15%-7M
-533.33%-19M
33.33%-2M
Net other financing activities
--2M
--2M
-500.00%-6M
150.00%2M
--3M
--0
--0
---1M
60.00%-4M
----
Cash from discontinued financing activities
Financing cash flow
-65.12%-71M
-19.05%-50M
-34.21%-51M
-20.57%-170M
-14.63%-47M
-38.71%-43M
-50.00%-42M
7.32%-38M
-227.91%-141M
4.65%-41M
Net cash flow
Beginning cash position
-5.81%1.33B
-16.31%1.27B
-16.45%1.55B
-13.65%1.86B
-16.12%1.69B
-25.72%1.41B
-19.44%1.52B
-13.65%1.86B
-3.84%2.15B
-10.00%2.02B
Current changes in cash
-7.97%231M
125.27%23M
18.52%-264M
-38.66%-269M
36.36%-105M
292.19%251M
-246.77%-91M
-109.03%-324M
-145.57%-194M
-108.86%-165M
Effect of exchange rate changes
-300.00%-56M
288.89%34M
-13.33%-17M
63.00%-37M
-455.56%-32M
-45.10%28M
63.27%-18M
86.49%-15M
-1,328.57%-100M
228.57%9M
End cash Position
-11.00%1.51B
-5.81%1.33B
-16.31%1.27B
-16.45%1.55B
-16.45%1.55B
-16.12%1.69B
-25.72%1.41B
-19.44%1.52B
-13.65%1.86B
-13.65%1.86B
Free cash flow
-42.37%151M
111.63%15M
37.73%-170M
-134.52%-197M
59.86%-57M
693.94%262M
-196.27%-129M
-150.46%-273M
-1,033.33%-84M
-1,677.78%-142M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
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
--
--
--
--
Unqualified Opinion
--
(Q3)Dec 31, 2024(Q2)Sep 30, 2024(Q1)Jun 30, 2024(FY)Mar 31, 2024(Q4)Mar 31, 2024(Q3)Dec 31, 2023(Q2)Sep 30, 2023(Q1)Jun 30, 2023(FY)Mar 31, 2023(Q4)Mar 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -40.46%259M221.74%148M72.83%-47M-42.09%454M873.33%146M57.61%435M-88.17%46M-266.35%-173M310.47%784M-92.15%15M
Net income from continuing operations 1,891.67%215M69.72%-43M107.80%11M75.25%-340M93.89%-45M88.68%-12M49.47%-142M43.60%-141M-500.00%-1.37B-221.83%-737M
Operating gains losses -235.71%-94M-485.71%-41M-6.90%27M616.67%43M113.04%49M26.32%-28M-136.84%-7M1,350.00%29M-50.00%6M91.67%23M
Depreciation and amortization -9.18%267M-21.61%243M-33.98%204M-13.90%1.18B-27.42%270M-12.76%294M-8.28%310M-5.50%309M285.96%1.37B4.49%372M
Deferred tax 25.00%5M--0-34.62%17M-104.56%-13M-124.29%-68M111.11%4M600.00%25M-43.48%26M2,950.00%285M2,900.00%280M
Other non cash items -3.53%437M-2.90%436M-10.15%416M7.13%1.79B0.00%422M2.49%453M12.25%449M14.60%463M268.21%1.67B-6.84%422M
Change In working capital -100.33%-599M23.41%-471M15.21%-747M-78.23%-2.3B-33.16%-506M14.08%-299M-449.11%-615M-95.34%-881M-204.48%-1.29B10.38%-380M
-Change in receivables -116.49%-16M118.40%30M207.55%163M-98.34%11M41.18%24M-44.89%97M-165.46%-163M-76.13%53M2,241.94%664M154.84%17M
-Change in payables and accrued expense -118.06%-28M67.24%-115M14.69%-122M-208.16%-305M-27.66%34M187.04%155M-280.00%-351M-921.43%-143M-26.56%282M-87.76%47M
-Change in other current liabilities 10.00%-9M-500.00%-20M130.43%7M-192.68%-38M-123.81%-10M---10M171.43%5M-483.33%-23M156.16%41M157.53%42M
-Change in other working capital -0.92%-546M-245.28%-366M-3.52%-795M13.56%-1.97B-13.99%-554M6.40%-541M80.69%-106M-15.49%-768M-223.58%-2.28B30.97%-486M
Cash from discontinued investing activities
Operating cash flow -40.37%260M223.91%149M72.25%-48M-41.87%454M1,108.33%145M56.83%436M-88.11%46M-266.35%-173M313.23%781M-93.65%12M
Investing cash flow
Cash flow from continuing investing activities 129.08%41M21.88%-75M-46.90%-166M33.77%-553M-49.26%-203M22.95%-141M67.68%-96M48.40%-113M-272.77%-835M39.29%-136M
Capital expenditure reported 37.36%-109M23.43%-134M-22.00%-122M24.74%-651M-31.17%-202M28.98%-174M30.83%-175M53.05%-100M---865M14.44%-154M
Net PPE purchase and sale 6.67%16M-73.45%30M300.00%24M500.00%138M33.33%4M50.00%15M3,666.67%113M-14.29%6M113.45%23M-66.67%3M
Net business purchase and sale --183M--0---46M----------0--0--0--------
Net other investing changes -382.35%-48M187.88%29M-15.79%-22M-671.43%-40M-133.33%-5M-67.31%17M31.25%-33M-58.33%-19M112.96%7M127.78%15M
Cash from discontinued investing activities
Investing cash flow 129.58%42M21.05%-75M-46.90%-166M33.77%-553M-49.26%-203M22.40%-142M68.12%-95M48.17%-113M-271.11%-835M39.56%-136M
Financing cash flow
Cash flow from continuing financing activities -62.79%-70M-21.43%-51M-34.21%-51M-20.57%-170M-14.63%-47M-38.71%-43M-50.00%-42M7.32%-38M-227.91%-141M4.65%-41M
Net issuance payments of debt 2.78%-35M5.41%-35M-26.67%-38M-27.12%-150M-34.29%-47M-33.33%-36M-32.14%-37M-7.14%-30M-293.33%-118M-25.00%-35M
Net common stock issuance -442.86%-38M-240.00%-17M0.00%-7M-15.79%-22M-50.00%-3M-75.00%-7M---5M46.15%-7M-533.33%-19M33.33%-2M
Net other financing activities --2M--2M-500.00%-6M150.00%2M--3M--0--0---1M60.00%-4M----
Cash from discontinued financing activities
Financing cash flow -65.12%-71M-19.05%-50M-34.21%-51M-20.57%-170M-14.63%-47M-38.71%-43M-50.00%-42M7.32%-38M-227.91%-141M4.65%-41M
Net cash flow
Beginning cash position -5.81%1.33B-16.31%1.27B-16.45%1.55B-13.65%1.86B-16.12%1.69B-25.72%1.41B-19.44%1.52B-13.65%1.86B-3.84%2.15B-10.00%2.02B
Current changes in cash -7.97%231M125.27%23M18.52%-264M-38.66%-269M36.36%-105M292.19%251M-246.77%-91M-109.03%-324M-145.57%-194M-108.86%-165M
Effect of exchange rate changes -300.00%-56M288.89%34M-13.33%-17M63.00%-37M-455.56%-32M-45.10%28M63.27%-18M86.49%-15M-1,328.57%-100M228.57%9M
End cash Position -11.00%1.51B-5.81%1.33B-16.31%1.27B-16.45%1.55B-16.45%1.55B-16.12%1.69B-25.72%1.41B-19.44%1.52B-13.65%1.86B-13.65%1.86B
Free cash flow -42.37%151M111.63%15M37.73%-170M-134.52%-197M59.86%-57M693.94%262M-196.27%-129M-150.46%-273M-1,033.33%-84M-1,677.78%-142M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--

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