NetApp, Inc.NTAP

Market cap
$23.3B
P/E ratio
Apr 29,
2011
Apr 27,
2012
Apr 26,
2013
Apr 25,
2014
Apr 24,
2015
Apr 29,
2016
Apr 28,
2017
Apr 27,
2018
Apr 26,
2019
Apr 24,
2020
Apr 30,
2021
Apr 29,
2022
Apr 28,
2023
Apr 26,
2024
Net income673605505638560229509761,1698197309371,274986
Depreciation and amortization166293345334307279226198197193207194248255
Non-cash operating lease cost---------5152555245
Stock-based compensation175258277273259260195161158153197245312357
Deferred income taxes-----3-11390277-3-17-6-144-60653
Other items, net-------6-272124-54-67-13
Accounts receivable26390-2357-7516-81272185-238-62313-26033
Inventories-417-22-1724-4965-37914-3190-3718
Other operating assets-63777-75-13-109-1773-8460216362
Accounts payable391125-1239-5394262-57-117-11181-207123
Accrued expenses119----6730-8616242-177134-111-103113
Deferred revenue and financed unearned services revenue--------3435419338446-14
Long-term taxes payable-------714-164-163-57-45-76-106
Other operating liabilities2---7-5-6-9-6-7-7-7--1
Net cash provided by operating activities1,3461,463-----1,4781,3411,0601,3331,2111,1071,685
Purchases of investments---------135181,2692,635
Maturities, sales and collections of investments1,7722,1482,4651,9941,9522,5711,9341,3799171,383165635502,055
Purchases of property and equipment223407303221175160175145173124162226239155
Acquisitions of businesses, net of cash acquired137480107-85842875373350380491-
Other investing activities, net-0-2-4-7-1-3-61-4--2--59-
Net cash used in investing activities-777-2,310------217041,26921-561-1,390-735
Proceeds from issuance of common stock under employee stock award plans---201157709217312110298105108100
Payments for taxes related to net share settlement of stock awards-------759679427484127
Repurchase of common stock-6005901,8821,1658,1008,8009,60011,70013,10013,30013,90085015,600
Repayments and extinguishment of debt---------410689-250-
Dividends paid---202207210208214403439427446432416
Other financing activities, net-1-2-9-9-12-7-6-6-6-8-2-5-1
Net cash used in financing activities451-344------986-2,631-1,960444-1,017-1,513-1,344
Effect of exchange rate changes on cash, cash equivalents and restricted cash---------30-3471-49-1-19
Net change in cash, cash equivalents and restricted cash---------6163351,869-416-1,797-413