Novo Nordisk A/S logo

Novo Nordisk A/S

NONOF | OTC
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$38.24
-$0.01 (-0.03%)
Sep 24, 2026, 9:30 AM ET · Market open
TTM
Period Ending
Q2 2025
Jun 29, 2025
Q1 2025
Mar 30, 2025
Q4 2024
Dec 30, 2024
Q3 2024
Sep 29, 2024
Q2 2024
Jun 29, 2024
Q1 2024
Mar 30, 2024
Q4 2023
Dec 30, 2023
Q3 2023
Sep 29, 2023
Q2 2023
Jun 29, 2023
Q1 2023
Mar 30, 2023
Q4 2022
Dec 30, 2022
Q3 2022
Sep 29, 2022
Q2 2022
Jun 29, 2022
Q1 2022
Mar 30, 2022
Q4 2021
Dec 30, 2021
Q3 2021
Sep 29, 2021
Q2 2021
Jun 29, 2021
Q1 2021
Mar 30, 2021
Q4 2020
Dec 30, 2020
Q3 2020
Sep 29, 2020
Q2 2020
Jun 29, 2020
Q1 2020
Mar 30, 2020
Net Income
111.07B 104.62B 100.99B 94.72B 89.9B 89.28B 83.68B 75.31B 67.24B 61.13B 55.53B 52.83B 50.54B 49.34B 47.76B 46.18B 44.36B 42.86B 42.14B 41.54B 41.43B 40.4B
Depreciation & Amortization
16.01B 20.02B 19.11B 16.9B 17.28B 10.61B 9.41B 8.46B 7.97B 7.43B 7.36B 7.41B 6.72B 6.3B 6.03B 5.32B 6.1B 6.04B 5.75B 5.77B 5.74B 5.69B
Stock-Based Compensation
n/a n/a n/a 2.15B 2.15B 2.15B 2.15B 1.54B 1.54B 1.54B 1.54B 1.04B 1.04B 1.04B 1.04B 823M 823M 823M 823M 363M 363M 363M
Other Working Capital
-23.92B -19.57B -12B -9.08B 13.85B 733M -631M 11.81B -10.87B -2.76B 9.35B -4.88B 6.43B 5.2B 2.19B 2.42B 2.21B 6.38B 5M 1.36B 3B -4.93B
Other Non-Cash Items
-11.35B 21.46B 21.98B 14.49B -2.1B -21.59B -8.69B 13.79B 26.97B 17.71B 6.26B -202M -9.9B -3.21B -4.3B 4.51B 3.41B -1.59B 3.38B 13.4B 10.62B 10.78B
Deferred Income Tax
29.71B 27.69B 26.2B 24.53B 23.04B 22.58B 20.99B 18.06B 16.1B 14.75B 13.54B 13.03B 12.4B 11.72B 11.32B 11.79B 11.19B 11.18B 10.99B 10.67B 10.19B 9.95B
Change in Working Capital
-23.92B -19.57B -12B -20.7B 2.24B -10.88B -12.25B -2.87B -25.55B -17.45B -5.34B -15.72B -4.41B -5.64B -8.66B -1.94B -2.15B 2.02B -4.35B -2.47B -825M -8.76B
Operating Cash Flow
121.53B 131.25B 120.97B 118.22B 115.33B 93.41B 108.91B 106.46B 89.73B 85.12B 78.89B 68.77B 66.04B 67.33B 55B 58.19B 54.19B 53.19B 51.95B 56.94B 56.13B 46.9B
Capital Expenditures
-59.54B -56.5B -50.92B -50.8B -49.31B -43.1B -38.9B -28.63B -22.23B -17.77B -14.75B -10.89B -8.36B -7.67B -7.39B -17.98B -22.37B -21.86B -22.08B -12.14B -8.51B -9.92B
Cash Acquisitions
-81.49B -82.16B -82.16B 6.36B 11.16B 12.98B 14.94B 832M -2.97B -3.99B -5.68B -16.89B -17.37B -17.34B -17.5B 785M 272M 97M -392M -439M -438M -492M
Purchase of Investments
-9.49B -18.77B -19.81B -20.41B -16.8B -12.09B -13.29B -15.46B -12.33B -10.24B -9.74B -6.85B -8.27B -6.61B -7.11B -6.89B -3.76B -2.35B n/a -344M -344M -344M
Sales Maturities Of Investments
17.86B 18.29B 24.39B 19.87B 22.04B 21.9B 8.29B 8.14B 6.9B 5.44B 6.65B 4.35B 3.56B 2.53B 1.17B 951M 772M 369M 1M 148M 148M 148M
Other Investing Acitivies
-3.62B -11.6B 1.99B -4.58B -8.99B -552M -14.94B -9.72B -5.92B -4.9B -3.21B -1.67B -1.18B -1.22B -1.05B -777M -241M -194M -92M -94M -112M -670M
Investing Cash Flow
-133.04B -139.52B -128.9B -52.4B -44.74B -33.29B -43.89B -43.03B -34.74B -29.66B -24.92B -31.67B -31.35B -30.03B -31.61B -23.9B -25.33B -23.81B -22.44B -12.75B -9.12B -10.59B
Debt Repayment
39.62B 88.7B 73.06B 28.38B 28.53B -1.31B -1.47B -1.24B -1.31B -1.18B -2.41B 9.78B 9.94B 14.12B 15.47B 3.03B 3.06B -879M -950M -920M -817M -885M
Common Stock Repurchased
-11.28B -18.73B -20.18B -22.45B -26.19B -27.56B -29.92B -27.7B -26.18B -24.81B -24.09B -24.06B -22.97B -20.96B -19.45B -17.6B -17.04B -17.13B -16.86B -16.13B -16.02B -15.08B
Dividend Paid
-50.68B -50.86B -44.14B -44.14B -41.99B -41.99B -31.77B -31.77B -27.95B -27.95B -25.3B -25.3B -23.71B -23.71B -21.52B -21.52B -21.07B -21.07B -20.12B -20.12B -19.65B -19.65B
Other Financial Acitivies
n/a -13.06B -34.51B -34.51B -34.51B 1.94B n/a n/a n/a 656M n/a n/a n/a 408M n/a 5.68B 5.68B 5.86B 5.68B 81M 81M 143M
Financial Cash Flow
-22.35B 40.57B 8.74B -38.22B -39.65B -68.92B -63.16B -60.71B -55.44B -53.28B -51.8B -39.58B -36.75B -30.15B -25.49B -30.4B -29.37B -33.21B -32.24B -37.09B -36.4B -35.47B
Net Cash Flow
-34.39B 32.61B 1.26B 27.14B 31.25B -8.61B 1.74B 1.97B -1.18B 1.73B 1.93B -1.58B -1.47B 7.53B -1.51B 4.03B -624M -4.03B -3.19B 6.71B 10.41B 667M
Free Cash Flow
61.99B 74.74B 70.04B 67.42B 66.03B 50.3B 70.01B 77.83B 67.5B 67.34B 64.13B 57.88B 57.68B 59.67B 47.62B 40.21B 31.81B 31.34B 29.87B 44.8B 47.62B 36.99B
Adj. Free Cash Flow
61.99B 74.74B 70.04B 65.27B 63.88B 48.16B 67.86B 76.29B 65.96B 65.8B 62.6B 56.84B 56.64B 58.63B 46.58B 39.39B 30.99B 30.51B 29.05B 44.44B 47.26B 36.62B
Maintenance CapEx
-23.36B -25.83B -25.84B -27.48B -26.37B -21.12B -17.75B -10.71B -5.7B -3.65B -3.19B -749.59M -223.28M -1.05B -2.55B -15.29B -21.11B -21.64B -20.36B -9.59B -5.39B -5.99B
Growth CapEx
-36.18B -30.67B -25.08B -23.33B -22.93B -21.98B -21.15B -17.92B -16.53B -14.12B -11.57B -10.14B -8.13B -6.61B -4.83B -2.68B -1.27B -213.74M -1.72B -2.55B -3.12B -3.93B
Owner Earnings
98.16B 105.41B 95.13B 90.74B 88.96B 72.29B 91.16B 95.75B 84.03B 81.46B 75.7B 68.02B 65.81B 66.28B 52.45B 42.9B 33.08B 31.55B 31.59B 47.35B 50.74B 40.92B

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