ADBE
Adobe Inc. (ADBE)
Last Price$433.7(0.3%)
Market Cap$193.1B
$21.5B
+10.8% YoY
$5,560.0M
+2.4% YoY
($3,254.0M)
Net Debt to FCF - (0.4x)
$7,824.0M
36.4% margin

ADBE Income Statement

ADBE Income Statement Overview

Annual
Quarterly
LTM
Nov'15
Dec'16
Dec'17
Nov'18
Nov'19
Nov'20
Dec'21
Dec'22
Dec'23
Nov'24
$21.5B 10.8% YoY
$19.1B 12.3% YoY
89.0% margin
Cost of revenue
$2,358.0M 0.2% YoY
Operating income
$6,741.0M 1.4% YoY
31.3% margin
Other: $190.0M
Operating expenses
$12.4B 19.2% YoY
Pre-tax income
$6,931.0M 1.9% YoY
32.2% margin
Net income
$5,560.0M 2.4% YoY
25.9% margin
Income tax
$1,371.0M
19.8% tax rate
R&D
$3,944.0M 13.6% YoY
18.3% of revenue
SG&A
$7,293.0M 7.8% YoY
33.9% of revenue

ADBE Income statement key metrics

Annual
Quarterly
LTM

Revenue

$21.5B +10.8% YoY

Operating Income

$6.7B +1.4% YoY

Net Income

$5.6B +2.4% YoY

ADBE Balance Sheet

ADBE Balance Sheet Overview

Annual
Quarterly
LTM
Nov'15
Dec'16
Dec'17
Nov'18
Nov'19
Nov'20
Dec'21
Dec'22
Dec'23
Nov'24
Assets
Liabilities
Total assets
$30.2B
Current assets ($11.2B, 37.2% of total)
$7,886.0M (26.1%)
$2,072.0M (6.9%)
Other current assets
$1,274.0M (4.2%)
Non-current assets ($19.0B, 62.8% of total)
$782.0M (2.6%)
Other non-current assets
$16.0B (52.9%)
Financial position
($1,830.0M)
$7,886.0M$6,056.0M
Cash & Short-term Investments
Total Debt

ADBE Balance Sheet Metrics

Annual
Quarterly
LTM

Assets

$30.2B +1.5% YoY

Liabilities

$16.1B +21.6% YoY

Shareholder's Equity

$14.1B -14.6% YoY

ADBE Cash Flow Statement

ADBE Cash Flow Statement Overview

Annual
Quarterly
LTM
Nov'15
Dec'16
Dec'17
Nov'18
Nov'19
Nov'20
Dec'21
Dec'22
Dec'23
Nov'24
Cash Beginning of PeriodOperating Cash FlowInvesting Cash FlowFinancing Cash FlowForex Changes on CashCash End of Period$7,141.0M$8,056.0M$149.0M($7,724.0M)($9,000.0K)$7,613.0M

ADBE Cash Flow Statement key metrics

Annual
Quarterly
LTM

Operating Cash Flow (OCF)

$8,056.0M +10.3% YoY

Capital Expenditure (CAPEX)

($232.0M) -35.6% YoY

Free Cash Flow (FCF)

$7,824.0M +12.7% YoY

ADBE Financials

USD
Millions
Billions
Annual
Quarterly
Trailing
Key stats
Income statement
Balance sheet
Cash Flow Statement
Valuation
Ratios
Per share
Per employee
Dividends & Yields
Dec'05Dec'06Nov'07Nov'08Nov'09Dec'10Dec'11Nov'12Nov'13Nov'14Nov'15Dec'16Dec'17Nov'18Nov'19Nov'20Dec'21Dec'22Dec'23Nov'24
% growth
1,966.3
18.0%
2,575.3
31.0%
3,157.9
22.6%
3,579.9
13.4%
2,945.9
(17.7%)
3,800.0
29.0%
4,216.3
11.0%
4,403.7
4.4%
4,055.2
(7.9%)
4,147.1
2.3%
4,795.5
15.6%
5,854.4
22.1%
7,301.5
24.7%
9,030.0
23.7%
11,171.3
23.7%
12,868.0
15.2%
15,785.0
22.7%
17,606.0
11.5%
19,409.0
10.2%
21,505.0
10.8%
Cost of Goods Sold (COGS)112.6292.5354.7362.6296.7403.5437.9483.8586.6622.1744.3819.91,010.51,195.01,672.71,722.01,865.02,165.02,354.02,358.0
% margin
1,853.7
94.3%
2,282.8
88.6%
2,803.2
88.8%
3,217.3
89.9%
2,649.1
89.9%
3,396.5
89.4%
3,778.4
89.6%
3,919.9
89.0%
3,468.7
85.5%
3,525.0
85.0%
4,051.2
84.5%
5,034.5
86.0%
6,291.0
86.2%
7,835.0
86.8%
9,498.6
85.0%
11,146.0
86.6%
13,920.0
88.2%
15,441.0
87.7%
17,055.0
87.9%
19,147.0
89.0%
Operating Expenses1,125.31,711.81,945.02,156.91,917.32,380.22,581.32,742.63,019.53,092.43,146.53,542.44,122.94,994.66,230.56,909.08,118.09,343.010,405.012,406.0
Research & Development Expenses (R&D)365.3539.7613.2662.1565.1680.3738.1742.8826.6844.4862.7976.01,224.11,537.81,930.22,188.02,540.02,987.03,473.03,944.0
Selling, General & Administrative Expenses (SG&A)760.01,102.31,259.41,426.61,280.71,627.71,800.41,951.12,140.62,215.12,215.22,487.92,822.33,365.74,125.04,559.05,406.06,187.06,764.07,293.0
728.4
37.0%
551.3
21.4%
857.6
27.2%
1,028.3
28.7%
690.5
23.4%
993.1
26.1%
1,099.3
26.1%
1,180.2
26.8%
422.7
10.4%
412.7
10.0%
903.1
18.8%
1,493.6
25.5%
2,168.1
29.7%
2,840.4
31.5%
3,268.1
29.3%
4,237.0
32.9%
5,802.0
36.8%
6,098.0
34.6%
6,650.0
34.3%
6,741.0
31.3%
Interest Income0.00.00.043.831.421.924.524.521.921.428.847.366.192.542.343.017.061.0269.00.0
Interest Expense0.00.00.010.03.457.067.067.567.559.764.270.474.489.2157.2116.0113.0112.0113.00.0
Pre-tax Income765.8679.7947.21,078.5701.5943.21,035.21,118.8356.1361.4873.81,435.12,137.62,793.93,204.74,176.05,705.06,008.06,799.06,931.0
% effective tax rate
162.9
21.3%
173.9
25.6%
223.4
23.6%
206.7
19.2%
315.0
44.9%
168.5
17.9%
202.4
19.5%
286.0
25.6%
66.2
18.6%
93.0
25.7%
244.2
28.0%
266.4
18.6%
443.7
20.8%
203.1
7.3%
253.3
7.9%
(1,084.0)
(26.0%)
883.0
15.5%
1,252.0
20.8%
1,371.0
20.2%
1,371.0
19.8%
% margin
602.8
30.7%
505.8
19.6%
723.8
22.9%
871.8
24.4%
386.5
13.1%
774.7
20.4%
832.8
19.8%
832.8
18.9%
290.0
7.2%
253.6
6.1%
629.6
13.1%
1,168.8
20.0%
1,694.0
23.2%
2,590.8
28.7%
2,951.5
26.4%
5,260.0
40.9%
4,822.0
30.5%
4,756.0
27.0%
5,428.0
28.0%
5,560.0
25.9%
EPS1.230.851.241.620.741.491.671.680.580.511.262.353.435.286.0710.9410.1010.1311.8812.44
Diluted EPS1.190.831.211.590.731.471.651.660.560.501.242.323.385.206.0010.8310.0210.1011.8312.36
% margin
728.4
37.0%
987.5
38.3%
1,262.7
40.0%
1,358.8
38.0%
987.4
33.5%
1,292.8
34.0%
1,372.4
32.5%
1,486.0
33.7%
744.9
18.4%
734.7
17.7%
1,277.4
26.6%
1,837.1
31.4%
2,538.0
34.8%
3,229.6
35.8%
4,097.4
36.7%
5,133.0
39.9%
6,675.0
42.3%
7,055.0
40.1%
6,650.0
34.3%
7,957.0
37.0%