NVIDIA Announces Financial Results for Third Quarter Fiscal 2025



NVIDIA CORPORATION 
CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS 
(In millions) 
(Unaudited) 
           
           
    Three Months Ended  Nine Months Ended 
    October 27,  October 29,  October 27,  October 29, 
     2024    2023    2024    2023  
           
Cash flows from operating activities:        
Net income$19,309  $9,243  $50,789  $17,475  
Adjustments to reconcile net income to net cash        
provided by operating activities:        
 Stock-based compensation expense 1,252   979      3,416       2,555    
  Depreciation and amortization   478       372       1,321       1,121    
  (Gains) losses on investments in non-affiliated entities and publicly-held equity securities, net   (37 )     69       (302 )     24    
  Deferred income taxes   (602 )     (529 )     (3,879 )     (2,411 )  
  Other   (79 )     (66 )     (365 )     (170 )  
Changes in operating assets and liabilities, net of acquisitions:                
  Accounts receivable   (3,561 )     (1,243 )     (7,694 )     (4,482 )  
  Inventories   (978 )     (457 )     (2,357 )     405    
  Prepaid expenses and other assets   (714 )     254       (726 )     (337 )  
  Accounts payable   1,689       461       2,490       1,250    
  Accrued and other current liabilities   606       (1,722 )     3,918       953    
  Other long-term liabilities   266       (28 )     849       208    
Net cash provided by operating activities   17,629       7,333       47,460       16,591    
                     
Cash flows from investing activities:                
  Proceeds from maturities of marketable securities   1,386       2,891       9,485       8,001    
  Proceeds from sales of marketable securities   154       -       318       -    
  Purchases of marketable securities   (4,518 )     (5,345 )     (19,565 )     (10,688 )  
  Purchase related to property and equipment and intangible assets   (813 )     (278 )     (2,159 )     (815 )  
  Acquisitions, net of cash acquired   (147 )     -       (465 )     (83 )  
  Purchases of investments in non-affiliated entities   (473 )     (441 )     (1,008 )     (897 )  
  Proceeds from sales of investments in non-affiliated entities   66       -       171       -    
  Other   -       4       -       25    
Net cash used in investing activities   (4,345 )     (3,169 )     (13,223 )     (4,457 )  
                     
Cash flows from financing activities:                
  Proceeds related to employee stock plans   204       156       489       403    
  Payments related to repurchases of common stock   (10,998 )     (3,806 )     (25,895 )     (6,874 )  
  Repayment of debt   -       -       (1,250 )     (1,250 )  
  Payments related to tax on restricted stock units   (1,680 )     (764 )     (5,068 )     (1,942 )  
  Dividends paid   (245 )     (99 )     (589 )     (296 )  
  Principal payments on property and equipment and intangible assets   (29 )     (13 )     (97 )     (44 )  
  Other   -       (1 )     -       (1 )  
Net cash used in financing activities   (12,748 )     (4,527 )     (32,410 )     (10,004 )  
                     
Change in cash, cash equivalents, and restricted cash   536       (363 )     1,827       2,130    
Cash, cash equivalents, and restricted cash at beginning of period   8,571       5,882       7,280       3,389    
Cash, cash equivalents, and restricted cash at end of period $ 9,107     $ 5,519     $ 9,107     $ 5,519    
                     
Supplemental disclosures of cash flow information:                
Cash paid for income taxes, net $ 3,540     $ 4,348     $ 10,989     $ 4,676    
                     

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