FDX Financial Analysis

FY2025Q3FY2025Q2FY2025Q1FY2024Q4FY2024Q3FY2024Q2FY2024Q1FY2023Q4FY2023Q3FY2023Q2FY2023Q1FY2022Q4FY2022Q3FY2022Q2FY2022Q1FY2021Q4FY2021Q3FY2021Q2FY2021Q1FY2020Q4FY2020Q3FY2020Q2FY2020Q1
Net Cash Flow from Operating Activities
2.01B
24.97%
1.32B
-25.70%
1.19B
-46.77%
2.70B
-21.73%
1.61B
-29.26%
1.77B
16.86%
2.23B
38.77%
3.45B
-1.57%
2.28B
1.25%
1.52B
-24.02%
1.61B
-22.89%
3.50B
27.67%
2.25B
3.98%
2.00B
-22.53%
2.08B
-21.39%
2.74B
50.80%
2.16B
79.57%
2.58B
70.91%
2.65B
369.20%
1.82B
-20.57%
1.20B
1.51B
565.00M
Funds from Operations
2.89B
3.88%
2.93B
3.17%
2.80B
-5.60%
2.64B
-2.59%
2.78B
-2.08%
2.84B
-0.21%
2.96B
-0.30%
2.71B
1.39%
2.84B
-8.61%
2.84B
-13.43%
2.97B
-6.80%
2.67B
-6.25%
3.11B
21.38%
3.28B
-2.23%
3.19B
9.21%
2.85B
65.87%
2.56B
32.32%
3.36B
57.18%
2.92B
17.27%
1.72B
8.19%
1.94B
2.14B
2.49B
Change in Working Capital
-880.00M
-25.04%
-1.61B
51.36%
-1.61B
119.65%
61.00M
-91.76%
-1.17B
107.05%
-1.06B
-19.77%
-733.00M
-46.30%
740.00M
-11.06%
-567.00M
-34.30%
-1.33B
3.03%
-1.37B
23.53%
832.00M
-892.38%
-863.00M
115.21%
-1.29B
64.87%
-1.11B
310.78%
-105.00M
-202.94%
-401.00M
-45.29%
-780.00M
24.20%
-269.00M
-86.03%
102.00M
-85.49%
-733.00M
-628.00M
-1.93B
Net Cash Flow from Investing Activities
-1.05B
-22.39%
-804.00M
-39.46%
-802.00M
-37.34%
-1.23B
-29.24%
-1.36B
10.41%
-1.33B
-29.77%
-1.28B
-2.22%
-1.74B
-26.20%
-1.23B
-8.28%
-1.89B
21.06%
-1.31B
-15.55%
-2.36B
41.41%
-1.34B
-12.18%
-1.56B
12.05%
-1.55B
9.31%
-1.67B
44.55%
-1.53B
6.93%
-1.39B
-24.36%
-1.42B
-0.07%
-1.16B
-34.98%
-1.43B
-1.84B
-1.42B
Capital Expenditures - Net
989.00M
-26.58%
797.00M
-36.49%
754.00M
-41.00%
1.18B
-32.15%
1.35B
9.87%
1.26B
-32.09%
1.28B
0.31%
1.74B
-26.22%
1.23B
2.51%
1.85B
18.31%
1.27B
-17.81%
2.36B
41.55%
1.20B
-8.14%
1.56B
12.05%
1.55B
9.31%
1.67B
44.29%
1.30B
-8.82%
1.39B
-24.44%
1.42B
-0.07%
1.16B
-32.48%
1.43B
1.85B
1.42B
Acquisition & Disposal of Business Sold/(Acquired)
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
-100.00%
0.00
-100.00%
0.00
0.00
-3.00M
-225.00M
0.00
0.00
0.00
-100.00%
0.00
0.00
0.00
Net Cash Flow from Financing Activities
-863.00M
-34.42%
-1.34B
69.41%
-969.00M
33.29%
-592.00M
194.53%
-1.32B
269.66%
-791.00M
-55.88%
-727.00M
194.33%
-201.00M
-4.74%
-356.00M
-79.05%
-1.79B
373.09%
-247.00M
-66.16%
-211.00M
-92.75%
-1.70B
1017.76%
-379.00M
-356.08%
-730.00M
-188.48%
-2.91B
-215.79%
-152.00M
347.06%
148.00M
-460.98%
825.00M
-12.42%
2.51B
-343.60%
-34.00M
-41.00M
942.00M
Dividends Paid
332.00M
5.73%
337.00M
6.31%
339.00M
6.60%
310.00M
7.27%
314.00M
8.28%
317.00M
6.02%
318.00M
6.35%
289.00M
48.21%
290.00M
46.46%
299.00M
49.50%
299.00M
49.50%
195.00M
12.72%
198.00M
15.12%
200.00M
16.96%
200.00M
17.65%
173.00M
1.76%
172.00M
1.18%
171.00M
1.18%
170.00M
0.00%
170.00M
0.59%
170.00M
169.00M
170.00M
Stock - Total - Issuance/(Retirement) - Net
-465.00M
-50.85%
-984.00M
120.63%
-596.00M
73.76%
-274.00M
-334.19%
-946.00M
-3884.00%
-446.00M
-70.11%
-343.00M
-523.46%
117.00M
254.55%
25.00M
-101.71%
-1.49B
767.44%
81.00M
-117.42%
33.00M
-87.21%
-1.46B
-2962.75%
-172.00M
-149.28%
-465.00M
-667.07%
258.00M
892.31%
51.00M
325.00%
349.00M
2392.86%
82.00M
811.11%
26.00M
-136.11%
12.00M
14.00M
9.00M
Debt - LT & ST - Issuance/(Retirement)
-42.00M
-14.29%
-13.00M
-53.57%
-34.00M
-48.48%
-4.00M
-86.21%
-49.00M
-46.15%
-28.00M
833.33%
-66.00M
127.59%
-29.00M
-39.58%
-91.00M
121.95%
-3.00M
-62.50%
-29.00M
-54.69%
-48.00M
-98.38%
-41.00M
36.67%
-8.00M
-57.89%
-64.00M
-107.00%
-2.97B
-211.61%
-30.00M
-124.19%
-19.00M
-116.67%
914.00M
-17.51%
2.66B
-440.41%
124.00M
114.00M
1.11B
Net Change in Cash
106.00M
-109.77%
-914.00M
180.37%
-558.00M
-380.40%
857.00M
-42.21%
-1.09B
-249.24%
-326.00M
-85.21%
199.00M
-523.40%
1.48B
78.25%
727.00M
-194.66%
-2.20B
10920.00%
-47.00M
-79.91%
832.00M
-147.03%
-768.00M
-248.55%
-20.00M
-101.44%
-234.00M
-111.29%
-1.77B
-156.79%
517.00M
-295.09%
1.39B
-486.87%
2.07B
2861.43%
3.12B
-663.29%
-265.00M
-358.00M
70.00M
Free Cash Flow
1.02B
339.39%
500.00M
6.61%
420.00M
-55.32%
1.50B
-11.64%
231.00M
-76.85%
469.00M
-237.94%
940.00M
191.02%
1.69B
51.43%
998.00M
-1.38%
-340.00M
-180.00%
323.00M
-37.16%
1.12B
5.37%
1.01B
28.75%
425.00M
-63.89%
514.00M
-58.11%
1.06B
61.74%
786.00M
-434.47%
1.18B
-447.20%
1.23B
-243.68%
656.00M
17.77%
-235.00M
-339.00M
-854.00M

FDX FAQs

What is FDX's PE Ratio in 2025/5/2?

FDX's PE ratio in May 2, 2025 is 13.78. This indicates the price investors are willing to pay for $1 of earnings.

What is FDX's PS Ratio in 2025/5/2?

What is FDX's Gross Margin in 2025/Q3?

Free Financial AI Agent for Investment

Ask any investment related question and get answer instantly

Is FDX earnings result positive or negative?How should I trade on FDX earnings?