KLA CORPKLAC

Market cap
$155B
P/E ratio
Jun 30,
2011
Jun 30,
2012
Jun 30,
2013
Jun 30,
2014
Jun 30,
2015
Jun 30,
2016
Jun 30,
2017
Jun 30,
2018
Jun 30,
2019
Jun 30,
2020
Jun 30,
2021
Jun 30,
2022
Jun 30,
2023
Jun 30,
2024
Net income--------1,1751,2152,0773,3223,3872,762
Goodwill and Intangible Asset Impairment-------------289
Depreciation and amortization8692888381675863233348333363415402
Loss on extinguishment of debt----------23---13-
Unrealized foreign exchange (gain) loss and other---------4-1419-471813
Asset impairment charges---------13161011
Disposal of non-controlling interest------------8-
Stock-based compensation expense817970615545516394111112127171213
Gain on sale of business----------4-30-
Deferred income taxes65193517-2420499-28-93-44-330-298-155
Settlement of treasury lock agreement---------22--83--0
Accounts receivable---------1182035104981
Inventories17093-1526-2768461836075270567749164
Other assets57-58-626-11-152738471196217121290
Accounts payable34-4-23-12134022-226179102-14525
Deferred system revenue---------1658-45213151334
Deferred service revenue--------15234613088203
Other liabilities123175610290-2828378-51-25246544834-229
Net cash provided by operating activities8239429137796067601,0801,2291,1531,7792,1853,3133,6703,309
Proceeds from sale of assets----------228-5
Net proceeds from sale of business----------17-75-
Business acquisitions, net of cash acquired---18--29171,81890-479274
Capital expenditures5158756846323967130153232307342277
Purchases of available-for-sale securities--------827981,0199881,4422,757
Proceeds from sale of available-for-sale securities--------256149146114125108
Proceeds from maturity of available-for-sale securities--3002526996026996085896275827611,1341,460
Purchases of trading securities---------110--97134
Proceeds from sale of trading securities-------------90121
Proceeds from other investments----------1111
Net cash used in investing activities-360-529-241-676918145-561292-1,181-259-500-876-483-1,477
Payment of debt issuance costs------------7-
Proceeds from Debt, Net of Issuance Costs----3,225--2491,184742402,967-735
Proceeds from Long-Term Lines of Credit--------900450-875300-
Repayment of debt----9161351309469021,171706201,087-
Common stock repurchases235264273241603182252031,0958299393,9681,3121,736
Forward contract for accelerated share repurchases-----------900--
Payment of dividends to stockholders---------522559639733773
Payment of dividends to subsidiary’s non-controlling interest holders---------1-1--
Issuance of common stock12516412611247384561657686113125145
Tax withholding payments related to vested and released restricted stock units-303052302419293846568495143
Contingent consideration payable and other, net---------3--1--4
Purchase of non-controlling interest------------4-
Net cash used in financing activities-300-364-429-459-1,303-637-473-1,270-360-1,300-1,498-2,257-2,830-1,776
Effect of exchange rate changes on cash and cash equivalents---------0-213-29-14-6
Net increase in cash and cash equivalents---------38821820015034349
Income taxes paid, net2622012011770105234253180195326465495831
Interest paid5355545293120120114107153154155224277
Contingent consideration payable - financing activities-----------716--1
Dividends payable - financing activities----------6788
Unsettled common stock repurchase - financing activities--------8-6-116
Noncash or Part Noncash Acquisition, Fixed Assets Acquired--73223761631201814