NVIDIA CORPNVDA

Market cap
$4.41T
P/E ratio
Jan 30,
2011
Jan 29,
2012
Jan 27,
2013
Jan 26,
2014
Jan 25,
2015
Jan 31,
2016
Jan 29,
2017
Jan 28,
2018
Jan 27,
2019
Jan 26,
2020
Jan 31,
2021
Jan 30,
2022
Jan 29,
2023
Jan 28,
2024
Jan 26,
2025
Net income2535815634406316141,6663,0474,1412,7964,3329,7524,36829,76072,880
Stock-based compensation expense1001361371361582042473915578441,3972,0042,7093,5494,737
Depreciation and amortization-----------1,1741,5441,5081,864
Deferred income taxes-319321583134197-359-31518-282-406-2,164-2,489-4,477
(Gains) losses on non-marketable equity securities and publicly-held equity securities, net-----------100-452381,030
Acquisition termination cost------------1,353--
Other--19-48-24-24-19-11-1845-520-477278502
Accounts receivable26-26119-2949323214401492335502,215-8226,17213,063
Inventories-14-1979-2595-66375-776-5975247742,554984,781
Prepaid expenses and other assets-----41618-2155-773941,7151,5171,522395
Accounts payable-703611-20-27-1118490-135194363568-5511,5313,357
Accrued and other current liabilities----539-13533256542395811,3412,0254,278
Other long-term liabilities-----41-97-144812281631922525141,221
Net cash provided by operating activities6769098248359061,1751,6723,5023,7434,7615,8229,1085,64128,09064,089
Proceeds from maturities of marketable securities-----------15,19719,4259,73211,195
Proceeds from sales of marketable securities--------4283,3655271,0231,80650495
Proceeds from Sale of Equity Securities, FV-NI--------------171
Purchases of marketable securities--------11,1481,46119,30824,78711,89718,21126,575
Purchases related to property and equipment and intangible assets-------------1,0693,236
Purchases of non-marketable equity securities--------------1,486
Acquisitions, net of cash acquired-349-17------8,52426349831,007
Other22-0516536914342477985-22
Net cash provided by (used in) investing activities-650-1,143-744-806-727-400-7931,278-4,0976,145-19,675-9,8307,375-10,566-20,421
Proceeds from Stock Plans-------------403490
Payments related to repurchases of common stock--1008878145877399091,579---10,0399,53333,706
Payments related to tax on restricted stock units-------6121,0325519421,9041,4752,7836,930
Repayment of debt-----------1,000-1,2501,250
Dividends paid--47181186213261341371390395399398395834
Principal payments on property and equipment and intangible assets-------------74129
Other-1---5-2-3-7-9-5--4-7-2-1-
Net cash used in financing activities192237-15390-834-676291-2,544-2,866-7923,8041,865-11,617-13,633-42,359
Change in cash and cash equivalents---------10,114-10,0491,1431,3993,8911,309
Income Taxes Paid, Net-158391514141422611762493961,4046,54915,118
Cash paid for interest--33171713555554138246254252246