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COHR
Coherent Corp.
368.65
120 x undefined
80 x undefined
bid
ask
-
25.82
6.55%
100 @ 06:26 AM
360.77 -7.88 (2.14%)
Ytd99.73%
1y325.50%
360.01
day range
386.74
84.35
52 week range
440.00
Open370.11Prev Close394.47Low360.01High386.74Mkt Cap72.12B
Vol4.29MAvg Vol6.10MEPS2.10P/E175.55Forward P/E45.08
Beta2.05Short Ratio1.51Inst. Own89.36%DividendN/ADiv YieldN/A
Ex Div DateN/AEarning05-0650-d Avg369.23200-d Avg235.661yr Est384.45
Income Statement
Total Revenue1.81B
Revenues (USD)1.81B
Cost of Revenue1.13B
Gross Profit679.95M
Operating Expenses451.04M
Research and Development Expense185.99M
Selling, General and Administrative Expense267.64M
Operating Income228.91M
Interest Expense44.56M
Income Tax Expense2.67M
Net Income191.40M
Net Income Common Stock191.40M
Net Income Common Stock (USD)191.40M
Consolidated Income181.67M
Net Income to Non-Controlling Interests-9.73M
Earnings per Basic Share1.00
Earnings per Basic Share (USD)1.00
Earnings per Diluted Share0.97
Earning Before Interest & Taxes (EBIT)238.63M
Earning Before Interest & Taxes (USD)238.63M
Weighted Average Shares187.48M
Balance Sheet
Cash and Equivalents1.63B
Cash and Equivalents (USD)1.63B
Investments825.00M
Investments Current825.00M
Trade and Non-Trade Receivables1.19B
Current Assets6.45B
Property, Plant & Equipment Net2.42B
Total Assets17.29B
Debt Current61.46M
Total Debt3.43B
Current Liabilities2.11B
Debt Non-Current3.36B
Total Liabilities6.27B
Accumulated Retained Earnings (Deficit)1.11B
Accumulated Other Comprehensive Income241.60M
Shareholders Equity10.68B
Shareholders Equity (USD)10.68B
Assets Non-Current10.84B
Total Debt (USD)3.43B
Goodwill and Intangible Assets7.36B
Inventory2.13B
Liabilities Non-Current4.16B
Trade and Non-Trade Payables1.34B
Tax Assets117.61M
Tax Liabilities705.00M
Cash Flow
Depreciation, Amortization & Accretion132.88M
Net Cash Flow from Financing1.85B
Net Cash Flow / Change in Cash & Cash Equivalents696.98M
Capital Expenditure-289.68M
Net Cash Flow - Business Acquisitions and Disposals51.49M
Issuance (Purchase) of Equity Shares2.02B
Issuance (Repayment) of Debt Securities -160.60M
Net Cash Flow from Investing-1.05B
Net Cash Flow - Investment Acquisitions and Disposals-807.70M
Net Cash Flow from Operations-93.80M
Effect of Exchange Rate Changes on Cash -14.16M
Share Based Compensation49.15M