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  • Financials

    • accounts Payable 410,885,000
    • cash Change 2,890,209,000
    • cash Flow 1,010,855,000
    • cash Flow Financing --902,721,000
    • changes In Inventories 2,749,743,000
    • changes In Receivables 1,940,067,000
    • common Stock 137,865,000
    • cost Of Revenue 1,005,346,000
    • currency USD
    • current Assets 8,018,750,000
    • current Cash 2,890,209,000
    • current Debt 0
    • current Long Term Debt 0
    • depreciation 104,854,000
    • ebit 860,593,000
    • ebitda 965,447,000
    • filing Type 10-Q
    • fiscal Date 2023-03-31
    • fiscal Quarter 3
    • fiscal Year 2023
    • goodwill 2,278,817,000
    • gross Profit 1,427,262,000
    • income Tax 102,846,000
    • intangible Assets 999,958,000
    • interest Income 74,774,000
    • inventory 2,749,743,000
    • long Term Debt 5,889,740,000
    • long Term Investments 5,664,799,000
    • minority Interest 0
    • net Borrowings 2,560,800,000
    • net Income 697,837,000
    • net Income Basic 697,837,000
    • net Tangible Assets --595,994,000
    • operating Expense 1,572,015,000
    • operating Income 860,593,000
    • operating Revenue 2,432,608,000
    • other Assets 171,806,000
    • other Current Assets 438,731,000
    • other Current Liabilities 3,007,636,000
    • other Income Expense Net 0
    • other Liabilities 1,040,427,000
    • pretax Income 800,683,000
    • property Plant Equipment 984,271,000
    • receivables 1,940,067,000
    • report Date 2023-04-28
    • research And Development 328,276,000
    • retained Earnings 721,299,000
    • revenue 2,432,608,000
    • selling General And Admin 238,393,000
    • shareholder Equity 2,682,781,000
    • short Term Debt 0
    • short Term Investments 438,731,000
    • symbol KLAC
    • total Assets 13,683,549,000
    • total Cash 2,890,209,000
    • total Debt 5,889,740,000
    • total Investing Cash Flows --113,207,000
    • total Liabilities 11,000,768,000
    • total Revenue 2,432,608,000
    • treasury Stock 0
    • id FINANCIALS
    • key KLAC
    • subkey quarterly
    • date 2023-03-31
    • updated 2023-05-07
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KLAC stock fundamentals - financials

Financials

  • accounts Payable 410,885,000
  • cash Change 2,890,209,000
  • cash Flow 1,010,855,000
  • cash Flow Financing --902,721,000
  • changes In Inventories 2,749,743,000
  • changes In Receivables 1,940,067,000
  • common Stock 137,865,000
  • cost Of Revenue 1,005,346,000
  • currency USD
  • current Assets 8,018,750,000
  • current Cash 2,890,209,000
  • current Debt 0
  • current Long Term Debt 0
  • depreciation 104,854,000
  • ebit 860,593,000
  • ebitda 965,447,000
  • filing Type 10-Q
  • fiscal Date 2023-03-31
  • fiscal Quarter 3
  • fiscal Year 2023
  • goodwill 2,278,817,000
  • gross Profit 1,427,262,000
  • income Tax 102,846,000
  • intangible Assets 999,958,000
  • interest Income 74,774,000
  • inventory 2,749,743,000
  • long Term Debt 5,889,740,000
  • long Term Investments 5,664,799,000
  • minority Interest 0
  • net Borrowings 2,560,800,000
  • net Income 697,837,000
  • net Income Basic 697,837,000
  • net Tangible Assets --595,994,000
  • operating Expense 1,572,015,000
  • operating Income 860,593,000
  • operating Revenue 2,432,608,000
  • other Assets 171,806,000
  • other Current Assets 438,731,000
  • other Current Liabilities 3,007,636,000
  • other Income Expense Net 0
  • other Liabilities 1,040,427,000
  • pretax Income 800,683,000
  • property Plant Equipment 984,271,000
  • receivables 1,940,067,000
  • report Date 2023-04-28
  • research And Development 328,276,000
  • retained Earnings 721,299,000
  • revenue 2,432,608,000
  • selling General And Admin 238,393,000
  • shareholder Equity 2,682,781,000
  • short Term Debt 0
  • short Term Investments 438,731,000
  • symbol KLAC
  • total Assets 13,683,549,000
  • total Cash 2,890,209,000
  • total Debt 5,889,740,000
  • total Investing Cash Flows --113,207,000
  • total Liabilities 11,000,768,000
  • total Revenue 2,432,608,000
  • treasury Stock 0
  • id FINANCIALS
  • key KLAC
  • subkey quarterly
  • date 2023-03-31
  • updated 2023-05-07