KDDI Corporation logo

KDDI Corporation

KDDIY | OTC
Chart Builder DCF Calculator
$19.36
-$0.16 (-0.82%)
At close: Sep 23, 2026, 3:27 PM ET
$19.35
-$0.01 (-0.05%)
After-hours: Sep 23, 2026, 4:00 PM ET
TTM
Period Ending
Q1 2027
Jun 29, 2026
Q4 2026
Mar 30, 2026
Q3 2026
Dec 30, 2025
Q2 2026
Sep 29, 2025
Q1 2026
Jun 29, 2025
Q4 2025
Mar 30, 2025
Q3 2025
Dec 30, 2024
Q2 2025
Sep 29, 2024
Q1 2025
Jun 29, 2024
Q4 2024
Mar 30, 2024
Q3 2024
Dec 30, 2023
Q2 2024
Sep 29, 2023
Q1 2024
Jun 29, 2023
Q4 2023
Mar 30, 2023
Q3 2023
Dec 30, 2022
Q2 2023
Sep 29, 2022
Q1 2023
Jun 29, 2022
Q4 2022
Mar 30, 2022
Q3 2022
Dec 30, 2021
Q2 2022
Sep 29, 2021
Q1 2022
Jun 29, 2021
Net Income
749.3B 724.95B 712.53B 712.2B 679.85B 685.68B 628.81B 620.34B 637.84B 637.83B 691.09B 692.67B 663.9B 679.11B 651.84B 666.15B 674.75B 672.49B 656.99B 640.07B 659.06B
Depreciation & Amortization
691.31B 689.87B 689.03B 688.4B 687.48B 686.79B 688.44B 690.23B 688.97B 687.35B 688.21B 689.88B 693.76B 697.15B 705.32B 705.25B 716.24B 728.1B 739.22B 747.32B 738.04B
Stock-Based Compensation
n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Other Working Capital
295.88B 1.5T 1.65T 1.51T 1.43T 1.76T 1.8T 2.32T 2.26T 1.51T 1.02T 517.44B 674.69B 619.86B 998.57B 884.35B 400.05B 291.65B -103.48B 306.09B 439.68B
Other Non-Cash Items
151.26B 169.83B 21.71B 11.73B 8.79B -7.16B 132.07B 150.55B 165.19B 182.48B 138.79B 124.93B 106.82B 113.14B 91.09B 80.14B 92.91B 24.17B 21.14B 38.2B 34.35B
Deferred Income Tax
n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Change in Working Capital
-415.26B 164.75B 373.59B -86.57B -500.06B -5.89B -135.07B 570.82B 708.02B 120.22B -248.24B -519.45B -193.3B -260.31B 297.17B 345.09B 142.34B 43.89B 9.84B 107.89B 107.92B
Operating Cash Flow
1.18T 1.75T 1.8T 1.33T 876.06B 1.36T 1.31T 2.03T 2.2T 1.63T 1.27T 988.03B 1.27T 1.23T 1.75T 1.8T 1.63T 1.47T 1.43T 1.53T 1.54T
Capital Expenditures
-399.57B -404.83B -390.79B -367.28B -390.55B -400.95B -394.03B -406.64B -539.62B -523.94B -518.07B -486.84B -332.72B -394.65B -377.84B -412.19B -441.97B -425.8B -438.91B -430.83B -422.47B
Cash Acquisitions
-21.72B -22.48B -30.09B -23.39B -23.84B -31.21B 14.93B 60.72B 62.68B 65.95B 37.16B -7.72B -8.89B -3.2B -10.26B -11.54B -11.09B -2.05B 3.08B 8.76B 8.97B
Purchase of Investments
-420.65B -445.65B -402.78B -385.47B -265.95B -636.33B -631.47B -558.36B -676.72B -430.76B -498.37B -508.53B -539.65B -404.22B -386.28B -379.17B -382.03B -362.19B -355.72B -324.34B -200.73B
Sales Maturities Of Investments
140.33B 67.54B 69.28B 46.34B 70.16B 95.55B 119.1B 140.79B 135.6B 331.4B 382.48B 445.39B 467.85B 313.4B 252.5B 202.47B 297.16B 284.47B 311.83B 299.44B 176.77B
Other Investing Acitivies
-10M 18M -15.21B -21.47B -26.91B -26.25B -39.78B -66.3B -38.58B -37.3B -9.65B 13.95B -11.95B -11.3B -15.43B -10.52B -9.67B -12.02B -4.67B -2.35B -160M
Investing Cash Flow
-982.42B -1.08T -1.05T -1.05T -931.82B -1.28T -1.18T -1.06T -1.28T -820.24B -834.95B -765.64B -658.94B -739.43B -768.26B -847.89B -788.3B -767.35B -744.24B -704.3B -674.71B
Debt Repayment
592B 212.48B 145.72B 531.01B 497.91B 878.55B 914.69B 605.78B 849.18B 361.25B 453.4B 490.81B 77.72B 40.6B -113.75B -186.18B -106.98B -73.36B 50.96B -64.22B -166.76B
Common Stock Repurchased
-650B -400B -460.37B -529.16B -400.01B -400B -371.1B -320.72B -300B -300B -311.37B -394.71B -192.92B -250.15B -262.16B -219.86B -207.08B -213.76B -231.94B -235.57B -200B
Dividend Paid
-304.76B -301.55B -301.49B -290.38B -290.52B -286.89B -286.92B -292.31B -292.38B -297.58B -297.57B -293.54B -293.71B -287.12B -287.08B -279.45B -279.2B -271.36B -271.38B -274.53B -274.24B
Other Financial Acitivies
-190.39B -200.33B -219.58B -215.05B -209.45B -197.43B -195.31B -207.55B -211.06B -211.71B -189.82B -184.36B -179.14B -175.1B -176.3B -165.61B -159.95B -163.01B -163.37B -169.45B -165.25B
Financial Cash Flow
-553.14B -689.4B -835.72B -503.58B -402.06B -5.77B 61.36B -214.79B 45.75B -448.03B -345.36B -381.8B -588.04B -671.77B -839.29B -851.1B -753.21B -721.5B -563.53B -691.55B -754.03B
Net Cash Flow
-176.58B 157.63B -134.08B -223.68B -507.62B 33.97B 242.73B 634.15B 1.02T 406.96B -37.89B -203.22B -257.83B -316.36B 106.31B 107.35B 233.45B -13.19B 93.35B 98.08B 72.17B
Free Cash Flow
777.04B 1.34T 1.41T 958.47B 485.51B 958.47B 920.23B 1.63T 1.66T 1.1T 751.78B 501.19B 938.46B 834.45B 1.37T 1.38T 1.18T 1.04T 988.28B 1.1T 1.12T
Adj. Free Cash Flow
777.04B 1.34T 1.41T 958.47B 485.51B 958.47B 920.23B 1.63T 1.66T 1.1T 751.78B 501.19B 938.46B 834.45B 1.37T 1.38T 1.18T 1.04T 988.28B 1.1T 1.12T
Maintenance CapEx
-314.95B -294.27B -270.58B -261.28B -306.8B -312.68B -340.9B -341.8B -455.41B -470.2B -423.61B -399.58B -242.19B -277.32B -289.7B -327.66B -375B -355.41B -352.16B -331.84B -339.43B
Growth CapEx
-84.62B -110.56B -120.21B -106.01B -83.75B -88.27B -53.13B -64.84B -84.21B -53.74B -94.46B -87.26B -90.53B -117.33B -88.14B -84.53B -66.97B -70.39B -86.75B -98.98B -83.04B
Owner Earnings
861.66B 1.46T 1.53T 1.06T 569.26B 1.05T 973.36B 1.69T 1.74T 1.16T 846.23B 588.45B 1.03T 951.78B 1.46T 1.47T 1.25T 1.11T 1.08T 1.2T 1.2T

© 2026 bestshares.com. All rights reserved.