EQUITY RESEARCH
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Financial Model
Income Statement
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FINANCIAL MODEL
QUALCOMM Incorporated
QCOM · all figures in $M unless noted
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figures open the exact filing page they were verified against ·
green
figures are computed — click for the formula
FY2015
FY2016
FY2017
FY2018
FY2019
FY2020
FY2021
FY2022
FY2023
FY2024
FY2025
Income Statement
Revenue
23,554
22,258
22,611
24,273
23,531
33,566
44,200
35,820
38,962
44,284
Cost of Goods Sold
9,749
9,792
10,244
8,599
9,255
14,262
18,635
15,869
17,060
19,738
Gross Profit
SG&A
2,385
2,658
2,986
2,195
2,074
2,339
2,570
2,483
2,759
3,110
R&D
5,151
5,485
5,625
5,398
5,975
7,176
8,194
8,818
8,893
9,042
EBITDA
D&A
1,428
1,461
1,561
1,401
1,393
1,582
1,762
1,809
1,706
1,602
EBIT (Operating Income)
6,495
2,581
621
7,667
6,255
9,789
15,860
7,788
10,071
12,355
Interest Expense
297
494
768
627
602
559
490
694
697
664
Pre-Tax Income
6,833
2,987
392
7,481
5,719
10,274
14,998
7,443
10,336
12,663
Tax Expense
1,131
543
5,356
3,095
521
1,231
2,012
104
226
7,122
Net Income
5,705
2,445
-4,964
4,386
5,198
9,043
12,936
7,232
10,142
5,541
Diluted EPS
3.81
1.64
-3.39
3.59
4.52
7.87
11.37
6.42
8.97
5.01
Diluted Shares (M)
1,498.0
1,490.0
1,463.0
1,220.0
1,149.0
1,149.0
1,137.0
1,126.0
1,130.0
1,105.0
Balance Sheet
Total Cash & Equivalents
35,029
11,777
11,839
6,707
7,116
2,773
8,450
7,849
5,520
Short-term Debt
2,495
1,005
2,496
500
2,044
1,945
914
1,364
0
Long-term Debt
19,398
15,365
13,437
15,226
13,701
13,537
14,484
13,270
14,811
Total Debt
Net Debt
Total Current Assets
43,593
17,384
16,765
18,519
20,075
20,724
22,464
25,231
25,754
Total Current Liabilities
10,907
11,389
8,935
8,672
11,951
11,866
9,628
10,504
9,144
Total Assets
65,486
32,718
32,957
35,594
41,240
49,014
51,040
55,154
50,143
Total Liabilities
34,740
31,911
28,048
29,517
31,290
31,001
29,459
28,880
28,937
Shareholders' Equity
30,746
807
4,909
6,077
9,950
18,013
21,581
26,274
21,206
Minority Interest
Intangibles & Goodwill
6,623
6,498
6,282
6,323
7,246
10,508
10,642
10,799
11,358
PP&E
3,216
2,975
3,081
3,711
4,559
5,168
5,042
4,665
4,690
Receivables
3,632
2,904
2,471
4,003
3,579
5,643
3,183
3,929
4,315
Payables
1,971
1,825
1,368
2,248
2,750
3,796
1,912
2,584
2,791
Inventory
2,035
1,693
1,400
2,598
3,228
6,341
6,422
6,423
6,526
Retained Earnings
30,088
542
4,466
5,284
9,822
17,840
20,733
25,687
20,646
Cash Flow
Cash from Operations
7,632
5,001
3,908
7,286
5,814
10,536
9,096
11,299
12,202
14,012
Capital Expenditures
539
690
784
887
1,407
1,888
2,262
1,450
1,041
1,192
Free Cash Flow
Stock-Based Compensation
943
914
883
1,037
1,212
1,663
2,031
2,484
2,648
2,783
Dividends Paid
2,990
3,252
3,466
2,968
2,882
3,008
3,212
3,462
3,687
3,805
Share Repurchases
3,923
1,342
22,580
1,793
2,450
3,366
3,129
2,973
4,121
8,791