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TEL TE Connectivity

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  • 146.380
  • +1.130+0.78%
Close Apr 30 16:00 ET
  • 145.640
  • -0.740-0.51%
Post 16:58 ET
43.41BMarket Cap31.89P/E (TTM)

TE Connectivity Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Mar 28, 2025
(Q1)Dec 27, 2024
(FY)Sep 27, 2024
(Q4)Sep 27, 2024
(Q3)Jun 28, 2024
(Q2)Mar 29, 2024
(Q1)Dec 29, 2023
(FY)Sep 29, 2023
(Q4)Sep 29, 2023
(Q3)Jun 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-8.03%653M
22.11%878M
11.02%3.48B
-8.44%1.04B
29.14%1.01B
11.99%710M
23.75%719M
26.90%3.13B
20.55%1.14B
34.54%779M
Net income from continuing operations
-97.60%13M
-70.73%528M
67.75%3.19B
-50.09%276M
8.52%573M
27.29%541M
353.27%1.8B
-21.55%1.9B
-21.89%553M
-10.81%528M
Depreciation and amortization
0.00%192M
-4.12%186M
4.03%826M
16.00%232M
4.00%208M
-7.25%192M
3.74%194M
1.15%794M
6.38%200M
-2.44%200M
Deferred tax
11,960.00%603M
108.05%98M
-924.68%-789M
811.36%401M
143.14%22M
114.29%5M
-3,377.14%-1.22B
47.62%-77M
134.11%44M
15.00%-51M
Other non cash items
0.00%57M
-37.84%46M
-10.87%205M
33.33%52M
-58.49%22M
3.64%57M
-10.84%74M
64.29%230M
-36.07%39M
381.82%53M
Change In working capital
-86.47%-248M
73.58%-56M
-1,887.50%-143M
-75.46%67M
3,275.00%135M
0.75%-133M
-57.04%-212M
100.85%8M
241.25%273M
101.92%4M
-Change in receivables
-476.36%-317M
14.96%146M
8.22%-134M
-485.71%-216M
-54.55%10M
67.65%-55M
335.19%127M
-173.00%-146M
-81.82%56M
143.14%22M
-Change in inventory
-134.15%-14M
58.16%-118M
33.33%-30M
-65.11%97M
328.00%114M
-19.61%41M
12.96%-282M
-9.76%-45M
-30.15%278M
-78.57%-50M
-Change in prepaid assets
53.19%72M
241.67%68M
47.06%25M
-72.34%13M
360.00%13M
-22.95%47M
44.19%-48M
-66.00%17M
771.43%47M
-123.81%-5M
-Change in payables and accrued expense
145.28%48M
-30.63%-145M
-130.00%-6M
324.71%191M
-59.18%20M
-96.30%-106M
-200.91%-111M
102.52%20M
80.23%-85M
166.22%49M
-Change in other working capital
38.33%-37M
-106.86%-7M
-98.77%2M
21.74%-18M
-83.33%-22M
-172.73%-60M
-53.42%102M
145.63%162M
87.83%-23M
84.21%-12M
Cash from discontinued investing activities
Operating cash flow
-8.03%653M
22.11%878M
11.02%3.48B
-8.44%1.04B
29.14%1.01B
11.99%710M
23.75%719M
26.90%3.13B
20.55%1.14B
34.54%779M
Investing cash flow
Cash flow from continuing investing activities
-40.88%-224M
-14.74%-537M
-23.70%-950M
-5.64%-206M
30.77%-117M
-14.39%-159M
-76.60%-468M
12.53%-768M
37.10%-195M
8.65%-169M
Capital expenditure reported
-37.72%-230M
-35.76%-205M
7.10%-680M
-9.79%-213M
10.24%-149M
11.64%-167M
17.49%-151M
4.69%-732M
8.49%-194M
19.02%-166M
Net PPE purchase and sale
--1M
-50.00%1M
300.00%16M
300.00%4M
900.00%10M
--0
100.00%2M
-96.23%4M
-87.50%1M
-97.14%1M
Net business purchase and sale
-60.00%4M
-4.50%-325M
-351.61%-280M
--0
800.00%21M
-80.77%10M
-185.32%-311M
69.61%-62M
98.08%-2M
78.57%-3M
Net other investing changes
150.00%1M
0.00%-8M
-127.27%-6M
--3M
200.00%1M
33.33%-2M
-130.77%-8M
283.33%22M
--0
0.00%-1M
Cash from discontinued investing activities
Investing cash flow
-40.88%-224M
-14.74%-537M
-23.70%-950M
-5.64%-206M
30.77%-117M
-14.39%-159M
-76.60%-468M
12.53%-768M
37.10%-195M
8.65%-169M
Financing cash flow
Cash flow from continuing financing activities
261.22%869M
46.98%-395M
-60.01%-2.87B
-144.23%-994M
-55.53%-591M
-40.00%-539M
-19.97%-745M
-6.47%-1.79B
-14.97%-407M
-19.50%-380M
Net issuance payments of debt
4,396.67%1.35B
228.57%90M
40.15%-79M
-233.33%-56M
466.67%17M
188.24%30M
51.05%-70M
-133.00%-132M
-68.42%42M
-98.73%3M
Net common stock issuance
25.18%-306M
36.34%-303M
-118.20%-2.06B
-180.81%-761M
-100.00%-416M
-128.49%-409M
-65.85%-476M
33.07%-945M
16.87%-271M
44.97%-208M
Cash dividends paid
-6.04%-193M
-3.28%-189M
-4.83%-760M
-6.52%-196M
-6.99%-199M
-2.82%-182M
-2.81%-183M
-5.84%-725M
-2.79%-184M
-3.33%-186M
Proceeds from stock option exercised by employees
13.64%25M
209.09%34M
106.98%89M
270.00%37M
46.15%19M
144.44%22M
0.00%11M
-20.37%43M
-50.00%10M
225.00%13M
Net other financing activities
---6M
0.00%-27M
-67.65%-57M
-350.00%-18M
-500.00%-12M
--0
-12.50%-27M
17.07%-34M
-100.00%-4M
-100.00%-2M
Cash from discontinued financing activities
Financing cash flow
261.22%869M
46.98%-395M
-60.01%-2.87B
-144.23%-994M
-55.53%-591M
-40.00%-539M
-19.97%-745M
-6.47%-1.79B
-14.97%-407M
-19.50%-380M
Net cash flow
Beginning cash position
7.18%1.25B
-20.59%1.32B
52.67%1.66B
29.89%1.47B
29.94%1.18B
47.54%1.17B
52.67%1.66B
-9.56%1.09B
37.93%1.13B
20.83%905M
Current changes in cash
10,716.67%1.3B
89.07%-54M
-159.89%-342M
-129.48%-158M
29.57%298M
-89.09%12M
-61.97%-494M
707.45%571M
91.43%536M
202.63%230M
Effect of exchange rate changes
133.33%2M
-466.67%-11M
--0
233.33%8M
-25.00%-5M
-400.00%-6M
-70.00%3M
109.52%2M
50.00%-6M
20.00%-4M
End cash Position
117.18%2.55B
7.18%1.25B
-20.59%1.32B
-20.59%1.32B
29.89%1.47B
29.94%1.18B
47.54%1.17B
52.67%1.66B
52.67%1.66B
37.93%1.13B
Free cash flow
-22.10%423M
18.49%673M
16.54%2.8B
-12.18%829M
39.80%857M
22.02%543M
42.71%568M
41.18%2.4B
28.96%944M
63.90%613M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(Q2)Mar 28, 2025(Q1)Dec 27, 2024(FY)Sep 27, 2024(Q4)Sep 27, 2024(Q3)Jun 28, 2024(Q2)Mar 29, 2024(Q1)Dec 29, 2023(FY)Sep 29, 2023(Q4)Sep 29, 2023(Q3)Jun 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -8.03%653M22.11%878M11.02%3.48B-8.44%1.04B29.14%1.01B11.99%710M23.75%719M26.90%3.13B20.55%1.14B34.54%779M
Net income from continuing operations -97.60%13M-70.73%528M67.75%3.19B-50.09%276M8.52%573M27.29%541M353.27%1.8B-21.55%1.9B-21.89%553M-10.81%528M
Depreciation and amortization 0.00%192M-4.12%186M4.03%826M16.00%232M4.00%208M-7.25%192M3.74%194M1.15%794M6.38%200M-2.44%200M
Deferred tax 11,960.00%603M108.05%98M-924.68%-789M811.36%401M143.14%22M114.29%5M-3,377.14%-1.22B47.62%-77M134.11%44M15.00%-51M
Other non cash items 0.00%57M-37.84%46M-10.87%205M33.33%52M-58.49%22M3.64%57M-10.84%74M64.29%230M-36.07%39M381.82%53M
Change In working capital -86.47%-248M73.58%-56M-1,887.50%-143M-75.46%67M3,275.00%135M0.75%-133M-57.04%-212M100.85%8M241.25%273M101.92%4M
-Change in receivables -476.36%-317M14.96%146M8.22%-134M-485.71%-216M-54.55%10M67.65%-55M335.19%127M-173.00%-146M-81.82%56M143.14%22M
-Change in inventory -134.15%-14M58.16%-118M33.33%-30M-65.11%97M328.00%114M-19.61%41M12.96%-282M-9.76%-45M-30.15%278M-78.57%-50M
-Change in prepaid assets 53.19%72M241.67%68M47.06%25M-72.34%13M360.00%13M-22.95%47M44.19%-48M-66.00%17M771.43%47M-123.81%-5M
-Change in payables and accrued expense 145.28%48M-30.63%-145M-130.00%-6M324.71%191M-59.18%20M-96.30%-106M-200.91%-111M102.52%20M80.23%-85M166.22%49M
-Change in other working capital 38.33%-37M-106.86%-7M-98.77%2M21.74%-18M-83.33%-22M-172.73%-60M-53.42%102M145.63%162M87.83%-23M84.21%-12M
Cash from discontinued investing activities
Operating cash flow -8.03%653M22.11%878M11.02%3.48B-8.44%1.04B29.14%1.01B11.99%710M23.75%719M26.90%3.13B20.55%1.14B34.54%779M
Investing cash flow
Cash flow from continuing investing activities -40.88%-224M-14.74%-537M-23.70%-950M-5.64%-206M30.77%-117M-14.39%-159M-76.60%-468M12.53%-768M37.10%-195M8.65%-169M
Capital expenditure reported -37.72%-230M-35.76%-205M7.10%-680M-9.79%-213M10.24%-149M11.64%-167M17.49%-151M4.69%-732M8.49%-194M19.02%-166M
Net PPE purchase and sale --1M-50.00%1M300.00%16M300.00%4M900.00%10M--0100.00%2M-96.23%4M-87.50%1M-97.14%1M
Net business purchase and sale -60.00%4M-4.50%-325M-351.61%-280M--0800.00%21M-80.77%10M-185.32%-311M69.61%-62M98.08%-2M78.57%-3M
Net other investing changes 150.00%1M0.00%-8M-127.27%-6M--3M200.00%1M33.33%-2M-130.77%-8M283.33%22M--00.00%-1M
Cash from discontinued investing activities
Investing cash flow -40.88%-224M-14.74%-537M-23.70%-950M-5.64%-206M30.77%-117M-14.39%-159M-76.60%-468M12.53%-768M37.10%-195M8.65%-169M
Financing cash flow
Cash flow from continuing financing activities 261.22%869M46.98%-395M-60.01%-2.87B-144.23%-994M-55.53%-591M-40.00%-539M-19.97%-745M-6.47%-1.79B-14.97%-407M-19.50%-380M
Net issuance payments of debt 4,396.67%1.35B228.57%90M40.15%-79M-233.33%-56M466.67%17M188.24%30M51.05%-70M-133.00%-132M-68.42%42M-98.73%3M
Net common stock issuance 25.18%-306M36.34%-303M-118.20%-2.06B-180.81%-761M-100.00%-416M-128.49%-409M-65.85%-476M33.07%-945M16.87%-271M44.97%-208M
Cash dividends paid -6.04%-193M-3.28%-189M-4.83%-760M-6.52%-196M-6.99%-199M-2.82%-182M-2.81%-183M-5.84%-725M-2.79%-184M-3.33%-186M
Proceeds from stock option exercised by employees 13.64%25M209.09%34M106.98%89M270.00%37M46.15%19M144.44%22M0.00%11M-20.37%43M-50.00%10M225.00%13M
Net other financing activities ---6M0.00%-27M-67.65%-57M-350.00%-18M-500.00%-12M--0-12.50%-27M17.07%-34M-100.00%-4M-100.00%-2M
Cash from discontinued financing activities
Financing cash flow 261.22%869M46.98%-395M-60.01%-2.87B-144.23%-994M-55.53%-591M-40.00%-539M-19.97%-745M-6.47%-1.79B-14.97%-407M-19.50%-380M
Net cash flow
Beginning cash position 7.18%1.25B-20.59%1.32B52.67%1.66B29.89%1.47B29.94%1.18B47.54%1.17B52.67%1.66B-9.56%1.09B37.93%1.13B20.83%905M
Current changes in cash 10,716.67%1.3B89.07%-54M-159.89%-342M-129.48%-158M29.57%298M-89.09%12M-61.97%-494M707.45%571M91.43%536M202.63%230M
Effect of exchange rate changes 133.33%2M-466.67%-11M--0233.33%8M-25.00%-5M-400.00%-6M-70.00%3M109.52%2M50.00%-6M20.00%-4M
End cash Position 117.18%2.55B7.18%1.25B-20.59%1.32B-20.59%1.32B29.89%1.47B29.94%1.18B47.54%1.17B52.67%1.66B52.67%1.66B37.93%1.13B
Free cash flow -22.10%423M18.49%673M16.54%2.8B-12.18%829M39.80%857M22.02%543M42.71%568M41.18%2.4B28.96%944M63.90%613M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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