Accenture plcACN

Market cap
$171.4B
P/E ratio
Aug 31,
2010
Aug 31,
2011
Aug 31,
2012
Aug 31,
2013
Aug 31,
2014
Aug 31,
2015
Aug 31,
2016
Aug 31,
2017
Aug 31,
2018
Aug 31,
2019
Aug 31,
2020
Aug 31,
2021
Aug 31,
2022
Aug 31,
2023
Aug 31,
2024
NET INCOME2,0602,5532,8253,5553,1763,2744,3503,6354,2154,8465,1855,9916,9897,0047,419
Depreciation, amortization and other----------1,7731,8912,0882,2812,168
Share-based compensation expense4264505386166716807587959771,0931,1981,3431,6801,9131,942
Deferred tax expense (benefit)-5919617621074459-66364-9496-171-6121326994
Other, net--819490-10523854-88-888244343196219145
Receivables and contract assets, current and non-current355486-16214465159177170476526-7211,4722,412-88602
Other current and non-current assets25146712621343401656416510490503592717526853
Accounts payable12563-68-57311473174-168177-360825374-17147
Increase (Decrease) in Deferred Revenue93295230-8294183303-3917725823655564916028
Accrued payroll and related benefits35944242088-139587386-118646387-81,4451,272-262-615
Increase (Decrease) in Income Taxes Payable18918773-261109105-25116184-16355112473113114
Other current and non-current liabilities-112140169-298-84299112188335-10-841-446-587-278
Net cash provided by (used in) operating activities3,0923,4424,2573,3033,4864,0924,5754,9736,0276,6278,2158,9759,5419,5249,131
Purchases of property and equipment238404372370322395497516619599599580718528517
Purchases of businesses and investments, net of cash acquired-----------4,1713,4482,5316,583
Proceeds From Sale Of Equity Method Investments, Net Of Cash Transferred-------------10842429
Other investing, net----------9-6-28-13-12-9
Net cash provided by (used in) investing activities-274-703-535-1,156-1,056-1,170-610-2,234-1,250-1,756-1,895-4,310-4,261-2,622-7,062
Proceeds from issuance of shares4375574545165585545916767538489551,0661,3491,5011,418
Purchases of shares2,0712,1722,0992,5442,5592,4532,6052,6492,6392,6912,9163,7034,1164,3304,525
Proceeds from debt--------------1,599
Repayments of debt--------------771
Cash dividends paid-------------2,8273,241
Other financing, net-39-33-36-29-24-35-36-18-110-55-44-45-70-82-543
Net cash provided by (used in) financing activities-2,429-2,122-2,559-3,066-3,165-3,202-3,397-3,560-3,709-3,767-4,049-4,926-5,311-5,645-6,064
Effect of exchange rate changes on cash and cash equivalents-----------14-248-101-46
NET INCREASE (DECREASE) IN CASH AND CASH EQUIVALENTS------------247-2781,155-4,041
Interest paid-----------36464737
Income Taxes Paid6088241,0349639631,4341,4251,2891,3731,5871,3601,5671,7792,3162,387