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  • 152.330
  • +1.740+1.16%
Trading Dec 20 10:56 ET
7.23BMarket Cap30.59P/E (TTM)

Universal Display Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
32.41%79.86M
585.41%67.01M
51.52%72.16M
22.05%154.78M
1,303.63%37.07M
58.52%60.31M
-70.83%9.78M
-9.48%47.62M
-33.64%126.82M
-95.35%2.64M
Net income from continuing operations
29.80%66.87M
5.35%52.34M
42.71%56.85M
-3.36%203.01M
-4.85%61.98M
-3.63%51.52M
19.70%49.68M
-20.27%39.84M
14.03%210.06M
41.98%65.13M
Operating gains losses
-55.47%423K
2.76%632K
-57.80%330K
-40.69%3.13M
-38.81%782K
-25.78%950K
-54.75%615K
-42.46%782K
-40.55%5.28M
-41.88%1.28M
Depreciation and amortization
-4.63%10.95M
2.99%11.03M
18.93%11.16M
2.67%43.4M
21.60%11.83M
14.61%11.48M
-6.13%10.71M
-15.62%9.39M
0.74%42.27M
-11.55%9.73M
Deferred tax
-126.92%-5.48M
49.37%-3.47M
33.69%-3.94M
86.02%-3.77M
40.63%-11.32M
463.57%20.34M
-658.98%-6.85M
-330.14%-5.94M
-1,641.53%-26.95M
-669.57%-19.07M
Change In working capital
112.06%3.46M
98.28%-824K
-70.45%807K
22.93%-103.51M
54.37%-29.52M
-5.22%-28.69M
-73.87%-48.03M
118.57%2.73M
-64.59%-134.3M
63.18%-64.7M
-Change in receivables
386.62%36.69M
71.27%-4.8M
155,992.31%20.27M
-415.10%-47.19M
-22.02%-17.66M
-292.70%-12.8M
-155.68%-16.71M
-100.48%-13K
159.01%14.98M
-26.89%-14.47M
-Change in inventory
25.87%-4.12M
165.96%1.06M
-67.80%2.89M
115.13%7.43M
285.43%5.61M
61.87%-5.55M
92.81%-1.61M
198.84%8.98M
-15.25%-49.06M
71.50%-3.03M
-Change in payables and accrued expense
-116.81%-2.96M
214.68%20.34M
66.92%-7.98M
21.24%4.05M
205.16%4.08M
22.84%17.62M
325.65%6.47M
-465.97%-24.12M
75.50%3.34M
-174.41%-3.88M
-Change in other current assets
90.31%-4.76M
-810.45%-39.71M
-94.37%794K
-3,391.13%-37.12M
-198.23%-7.76M
-1,736.01%-49.06M
150.41%5.59M
972.42%14.11M
103.46%1.13M
-45.85%7.9M
-Change in other current liabilities
89.82%-655K
54.45%-15.78M
-2.29%12.1M
-131.01%-26.51M
110.34%2.18M
-177.25%-6.43M
-401.80%-34.64M
51.24%12.39M
-151.59%-11.48M
-155.21%-21.09M
-Change in other working capital
-175.32%-20.75M
634.65%38.07M
-216.50%-27.27M
95.54%-4.16M
47.02%-15.97M
178.45%27.55M
50.51%-7.12M
36.50%-8.62M
-1,685.50%-93.2M
81.76%-30.14M
Cash from discontinued investing activities
Operating cash flow
32.41%79.86M
585.41%67.01M
51.52%72.16M
22.05%154.78M
1,303.63%37.07M
58.52%60.31M
-70.83%9.78M
-9.48%47.62M
-33.64%126.82M
-95.35%2.64M
Investing cash flow
Cash flow from continuing investing activities
-27.26%-73.67M
49.64%-29.29M
-257.79%-64.18M
70.33%-83.29M
90.45%-7.93M
-15.69%-57.89M
64.17%-58.15M
179.32%40.68M
38.67%-280.74M
69.36%-82.97M
Net PPE purchase and sale
45.35%-13.63M
49.78%-9.13M
20.80%-7.21M
-40.70%-59.79M
33.35%-7.58M
-154.87%-24.93M
-71.71%-18.18M
15.38%-9.1M
1.54%-42.5M
16.74%-11.38M
Net intangibles purchase and sale
--0
--0
--0
-1,313.53%-66.56M
--0
89.47%-500K
---66.01M
-325.00%-51K
-1,095.18%-4.71M
--52K
Net investment purchase and sale
-85.00%-60.04M
-177.43%-20.16M
-214.36%-56.98M
118.44%43.06M
99.52%-341K
8.59%-32.46M
117.16%26.04M
96.74%49.82M
43.62%-233.54M
72.13%-71.64M
Cash from discontinued investing activities
Investing cash flow
-27.26%-73.67M
49.64%-29.29M
-257.79%-64.18M
70.33%-83.29M
90.45%-7.93M
-15.69%-57.89M
64.17%-58.15M
179.32%40.68M
38.67%-280.74M
69.36%-82.97M
Financing cash flow
Cash flow from continuing financing activities
-17.62%-19.49M
-14.79%-18.88M
-10.73%-25.95M
-12.83%-72.93M
-17.80%-16.48M
-17.05%-16.57M
-11.50%-16.45M
-7.79%-23.43M
-25.82%-64.64M
-52.39%-13.99M
Net common stock issuance
4.99%589K
20.97%548K
23.36%639K
28.15%2.01M
48.61%480K
40.25%561K
2.03%453K
28.54%518K
4.18%1.57M
-12.94%323K
Cash dividends paid
-14.95%-19.15M
-15.04%-19.16M
-16.45%-19.53M
-17.09%-66.74M
-16.81%-16.65M
-16.94%-16.66M
-16.89%-16.65M
-17.71%-16.77M
-50.26%-57M
-50.32%-14.26M
Net other financing activities
-97.85%-922K
-9.27%-271K
1.71%-7.06M
10.89%-8.21M
-427.12%-311K
-52.29%-466K
73.84%-248K
9.06%-7.18M
38.40%-9.21M
14.49%-59K
Cash from discontinued financing activities
Financing cash flow
-17.62%-19.49M
-14.79%-18.88M
-10.73%-25.95M
-12.83%-72.93M
-17.80%-16.48M
-17.05%-16.57M
-11.50%-16.45M
-7.79%-23.43M
-25.82%-64.64M
-52.39%-13.99M
Net cash flow
Beginning cash position
-0.66%92.86M
-53.24%74.01M
-1.55%91.99M
-70.05%93.43M
-57.75%79.32M
-56.30%93.47M
-55.71%158.29M
-70.05%93.43M
-50.48%311.99M
-64.92%187.75M
Current changes in cash
6.01%-13.3M
129.07%18.84M
-127.71%-17.97M
99.34%-1.45M
113.42%12.66M
45.89%-14.15M
54.84%-64.82M
42.77%64.86M
31.27%-218.56M
57.74%-94.32M
End cash Position
0.30%79.56M
-0.66%92.86M
-53.24%74.01M
-1.55%91.99M
-1.55%91.99M
-57.75%79.32M
-56.30%93.47M
-55.71%158.29M
-70.05%93.43M
-70.05%93.43M
Free cash flow
89.91%66.23M
177.79%57.89M
68.82%64.95M
-64.30%28.42M
439.50%29.49M
48.33%34.88M
-424.41%-74.41M
-8.06%38.47M
-46.05%79.61M
-120.14%-8.69M
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
Audit Opinions
--
--
--
--
--
--
--
--
Unqualified Opinion
--
(Q3)Sep 30, 2024 (Q2)Jun 30, 2024 (Q1)Mar 31, 2024 (FY)Dec 31, 2023 (Q4)Dec 31, 2023 (Q3)Sep 30, 2023 (Q2)Jun 30, 2023 (Q1)Mar 31, 2023 (FY)Dec 31, 2022 (Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 32.41%79.86M 585.41%67.01M 51.52%72.16M 22.05%154.78M 1,303.63%37.07M 58.52%60.31M -70.83%9.78M -9.48%47.62M -33.64%126.82M -95.35%2.64M
Net income from continuing operations 29.80%66.87M 5.35%52.34M 42.71%56.85M -3.36%203.01M -4.85%61.98M -3.63%51.52M 19.70%49.68M -20.27%39.84M 14.03%210.06M 41.98%65.13M
Operating gains losses -55.47%423K 2.76%632K -57.80%330K -40.69%3.13M -38.81%782K -25.78%950K -54.75%615K -42.46%782K -40.55%5.28M -41.88%1.28M
Depreciation and amortization -4.63%10.95M 2.99%11.03M 18.93%11.16M 2.67%43.4M 21.60%11.83M 14.61%11.48M -6.13%10.71M -15.62%9.39M 0.74%42.27M -11.55%9.73M
Deferred tax -126.92%-5.48M 49.37%-3.47M 33.69%-3.94M 86.02%-3.77M 40.63%-11.32M 463.57%20.34M -658.98%-6.85M -330.14%-5.94M -1,641.53%-26.95M -669.57%-19.07M
Change In working capital 112.06%3.46M 98.28%-824K -70.45%807K 22.93%-103.51M 54.37%-29.52M -5.22%-28.69M -73.87%-48.03M 118.57%2.73M -64.59%-134.3M 63.18%-64.7M
-Change in receivables 386.62%36.69M 71.27%-4.8M 155,992.31%20.27M -415.10%-47.19M -22.02%-17.66M -292.70%-12.8M -155.68%-16.71M -100.48%-13K 159.01%14.98M -26.89%-14.47M
-Change in inventory 25.87%-4.12M 165.96%1.06M -67.80%2.89M 115.13%7.43M 285.43%5.61M 61.87%-5.55M 92.81%-1.61M 198.84%8.98M -15.25%-49.06M 71.50%-3.03M
-Change in payables and accrued expense -116.81%-2.96M 214.68%20.34M 66.92%-7.98M 21.24%4.05M 205.16%4.08M 22.84%17.62M 325.65%6.47M -465.97%-24.12M 75.50%3.34M -174.41%-3.88M
-Change in other current assets 90.31%-4.76M -810.45%-39.71M -94.37%794K -3,391.13%-37.12M -198.23%-7.76M -1,736.01%-49.06M 150.41%5.59M 972.42%14.11M 103.46%1.13M -45.85%7.9M
-Change in other current liabilities 89.82%-655K 54.45%-15.78M -2.29%12.1M -131.01%-26.51M 110.34%2.18M -177.25%-6.43M -401.80%-34.64M 51.24%12.39M -151.59%-11.48M -155.21%-21.09M
-Change in other working capital -175.32%-20.75M 634.65%38.07M -216.50%-27.27M 95.54%-4.16M 47.02%-15.97M 178.45%27.55M 50.51%-7.12M 36.50%-8.62M -1,685.50%-93.2M 81.76%-30.14M
Cash from discontinued investing activities
Operating cash flow 32.41%79.86M 585.41%67.01M 51.52%72.16M 22.05%154.78M 1,303.63%37.07M 58.52%60.31M -70.83%9.78M -9.48%47.62M -33.64%126.82M -95.35%2.64M
Investing cash flow
Cash flow from continuing investing activities -27.26%-73.67M 49.64%-29.29M -257.79%-64.18M 70.33%-83.29M 90.45%-7.93M -15.69%-57.89M 64.17%-58.15M 179.32%40.68M 38.67%-280.74M 69.36%-82.97M
Net PPE purchase and sale 45.35%-13.63M 49.78%-9.13M 20.80%-7.21M -40.70%-59.79M 33.35%-7.58M -154.87%-24.93M -71.71%-18.18M 15.38%-9.1M 1.54%-42.5M 16.74%-11.38M
Net intangibles purchase and sale --0 --0 --0 -1,313.53%-66.56M --0 89.47%-500K ---66.01M -325.00%-51K -1,095.18%-4.71M --52K
Net investment purchase and sale -85.00%-60.04M -177.43%-20.16M -214.36%-56.98M 118.44%43.06M 99.52%-341K 8.59%-32.46M 117.16%26.04M 96.74%49.82M 43.62%-233.54M 72.13%-71.64M
Cash from discontinued investing activities
Investing cash flow -27.26%-73.67M 49.64%-29.29M -257.79%-64.18M 70.33%-83.29M 90.45%-7.93M -15.69%-57.89M 64.17%-58.15M 179.32%40.68M 38.67%-280.74M 69.36%-82.97M
Financing cash flow
Cash flow from continuing financing activities -17.62%-19.49M -14.79%-18.88M -10.73%-25.95M -12.83%-72.93M -17.80%-16.48M -17.05%-16.57M -11.50%-16.45M -7.79%-23.43M -25.82%-64.64M -52.39%-13.99M
Net common stock issuance 4.99%589K 20.97%548K 23.36%639K 28.15%2.01M 48.61%480K 40.25%561K 2.03%453K 28.54%518K 4.18%1.57M -12.94%323K
Cash dividends paid -14.95%-19.15M -15.04%-19.16M -16.45%-19.53M -17.09%-66.74M -16.81%-16.65M -16.94%-16.66M -16.89%-16.65M -17.71%-16.77M -50.26%-57M -50.32%-14.26M
Net other financing activities -97.85%-922K -9.27%-271K 1.71%-7.06M 10.89%-8.21M -427.12%-311K -52.29%-466K 73.84%-248K 9.06%-7.18M 38.40%-9.21M 14.49%-59K
Cash from discontinued financing activities
Financing cash flow -17.62%-19.49M -14.79%-18.88M -10.73%-25.95M -12.83%-72.93M -17.80%-16.48M -17.05%-16.57M -11.50%-16.45M -7.79%-23.43M -25.82%-64.64M -52.39%-13.99M
Net cash flow
Beginning cash position -0.66%92.86M -53.24%74.01M -1.55%91.99M -70.05%93.43M -57.75%79.32M -56.30%93.47M -55.71%158.29M -70.05%93.43M -50.48%311.99M -64.92%187.75M
Current changes in cash 6.01%-13.3M 129.07%18.84M -127.71%-17.97M 99.34%-1.45M 113.42%12.66M 45.89%-14.15M 54.84%-64.82M 42.77%64.86M 31.27%-218.56M 57.74%-94.32M
End cash Position 0.30%79.56M -0.66%92.86M -53.24%74.01M -1.55%91.99M -1.55%91.99M -57.75%79.32M -56.30%93.47M -55.71%158.29M -70.05%93.43M -70.05%93.43M
Free cash flow 89.91%66.23M 177.79%57.89M 68.82%64.95M -64.30%28.42M 439.50%29.49M 48.33%34.88M -424.41%-74.41M -8.06%38.47M -46.05%79.61M -120.14%-8.69M
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
Audit Opinions -- -- -- -- -- -- -- -- Unqualified Opinion --
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