US Stock MarketDetailed Quotes

XPO XPO

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  • 111.010
  • -1.050-0.94%
Close May 9 16:00 ET
  • 111.010
  • 0.0000.00%
Post 16:26 ET
13.08BMarket Cap34.16P/E (TTM)

XPO Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-2.07%142M
16.43%808M
-24.70%189M
11.86%264M
60.31%210M
90.79%145M
-15.78%694M
28.06%251M
-12.92%236M
-22.49%131M
Net income from continuing operations
2.99%69M
101.56%387M
29.31%75M
9.20%95M
400.00%150M
294.12%67M
4.35%192M
261.11%58M
-5.43%87M
-68.75%30M
Operating gains losses
0.00%-2M
-700.00%-40M
-3,400.00%-35M
--0
-50.00%-3M
33.33%-2M
91.67%-5M
98.25%-1M
200.00%1M
-100.00%-2M
Depreciation and amortization
5.13%123M
13.43%490M
9.65%125M
14.55%126M
14.02%122M
15.84%117M
10.20%432M
10.68%114M
11.11%110M
11.46%107M
Deferred tax
-50.00%4M
83.87%57M
20.00%18M
-36.36%14M
525.00%17M
500.00%8M
-61.25%31M
-70.00%15M
175.00%22M
-123.53%-4M
Other non cash items
175.00%11M
-67.69%21M
0.00%11M
-128.57%-2M
-70.37%8M
-80.00%4M
-24.42%65M
-60.71%11M
-46.15%7M
-22.86%27M
Change In working capital
-14.71%-78M
-95.96%-194M
-182.35%-28M
212.50%9M
-132.61%-107M
13.92%-68M
-10,000.00%-99M
383.33%34M
-115.09%-8M
43.90%-46M
-Change in receivables
8.55%-107M
-2.17%-47M
-57.89%40M
162.34%48M
-460.00%-18M
-69.57%-117M
54.00%-46M
-4.04%95M
-283.33%-77M
105.75%5M
-Change in payables and accrued expense
-59.42%28M
6.82%-41M
56.58%-33M
-156.45%-35M
4.55%-42M
392.86%69M
-142.31%-44M
-111.11%-76M
162.63%62M
-833.33%-44M
-Change in other current assets
105.00%1M
-1,077.78%-106M
-333.33%-35M
-157.14%-4M
-571.43%-47M
16.67%-20M
-200.00%-9M
120.00%15M
-93.64%7M
-600.00%-7M
Cash from discontinued investing activities
0
0
0
0
0
-250.00%-12M
95.65%-1M
62.50%-3M
0
Operating cash flow
-2.07%142M
18.48%808M
-24.40%189M
13.30%264M
60.31%210M
113.24%145M
-18.03%682M
44.51%250M
-11.41%233M
-32.82%131M
Investing cash flow
Cash flow from continuing investing activities
36.12%-191M
53.26%-702M
89.89%-104M
12.21%-115M
-46.03%-184M
-38.43%-299M
-271.78%-1.5B
-1,056.18%-1.03B
-32.32%-131M
-31.25%-126M
Net PPE purchase and sale
35.79%-192M
52.53%-714M
89.50%-108M
7.52%-123M
-46.03%-184M
-38.43%-299M
-247.34%-1.5B
-1,056.18%-1.03B
-22.02%-133M
-9.57%-126M
Net investment purchase and sale
----
500.00%12M
--4M
----
----
----
-93.10%2M
--0
----
----
Net other investing changes
--1M
----
----
----
----
----
----
----
----
----
Cash from discontinued investing activities
Investing cash flow
36.12%-191M
53.17%-702M
89.88%-104M
11.54%-115M
-46.03%-184M
-39.07%-299M
-711.84%-1.5B
-851.85%-1.03B
-17.12%-130M
-17.76%-126M
Financing cash flow
Cash flow from continuing financing activities
-3.45%-30M
-129.70%-226M
-120.05%-167M
33.33%-24M
76.92%-6M
-190.00%-29M
188.39%761M
637.42%833M
-9.09%-36M
95.99%-26M
Net issuance payments of debt
300.00%20M
-111.26%-91M
-106.91%-59M
44.44%-20M
84.62%-2M
-433.33%-10M
170.32%808M
286.87%854M
-5.88%-36M
97.98%-13M
Net other financing activities
-163.16%-50M
-187.23%-135M
-414.29%-108M
---4M
69.23%-4M
-46.15%-19M
-116.32%-47M
-106.95%-21M
--0
-225.00%-13M
Cash from discontinued financing activities
0
0
Financing cash flow
-3.45%-30M
-129.70%-226M
-120.05%-167M
33.33%-24M
76.92%-6M
-190.00%-29M
188.28%761M
633.97%833M
-9.09%-36M
95.99%-26M
Net cash flow
Beginning cash position
-28.88%298M
-10.85%419M
6.65%385M
-13.80%256M
-25.40%235M
-10.85%419M
72.16%470M
-34.84%361M
-33.41%297M
-69.06%315M
Current changes in cash
57.61%-78M
-116.07%-121M
-249.09%-82M
85.07%124M
200.00%21M
-17.20%-184M
-126.05%-56M
160.44%55M
-43.70%67M
96.26%-21M
Effect of exchange rate changes
--1M
--0
-266.67%-5M
266.67%5M
--0
--0
127.78%5M
-57.14%3M
72.73%-3M
127.27%3M
End cash Position
-5.96%221M
-28.88%298M
-28.88%298M
6.65%385M
-13.80%256M
-25.40%235M
-10.85%419M
-10.85%419M
-34.84%361M
-33.41%297M
Free cash flow
64.60%-57M
102.23%19M
102.92%23M
45.74%137M
--20M
-3.21%-161M
-373.63%-851M
-13,250.00%-789M
-37.75%94M
--0
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
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -2.07%142M16.43%808M-24.70%189M11.86%264M60.31%210M90.79%145M-15.78%694M28.06%251M-12.92%236M-22.49%131M
Net income from continuing operations 2.99%69M101.56%387M29.31%75M9.20%95M400.00%150M294.12%67M4.35%192M261.11%58M-5.43%87M-68.75%30M
Operating gains losses 0.00%-2M-700.00%-40M-3,400.00%-35M--0-50.00%-3M33.33%-2M91.67%-5M98.25%-1M200.00%1M-100.00%-2M
Depreciation and amortization 5.13%123M13.43%490M9.65%125M14.55%126M14.02%122M15.84%117M10.20%432M10.68%114M11.11%110M11.46%107M
Deferred tax -50.00%4M83.87%57M20.00%18M-36.36%14M525.00%17M500.00%8M-61.25%31M-70.00%15M175.00%22M-123.53%-4M
Other non cash items 175.00%11M-67.69%21M0.00%11M-128.57%-2M-70.37%8M-80.00%4M-24.42%65M-60.71%11M-46.15%7M-22.86%27M
Change In working capital -14.71%-78M-95.96%-194M-182.35%-28M212.50%9M-132.61%-107M13.92%-68M-10,000.00%-99M383.33%34M-115.09%-8M43.90%-46M
-Change in receivables 8.55%-107M-2.17%-47M-57.89%40M162.34%48M-460.00%-18M-69.57%-117M54.00%-46M-4.04%95M-283.33%-77M105.75%5M
-Change in payables and accrued expense -59.42%28M6.82%-41M56.58%-33M-156.45%-35M4.55%-42M392.86%69M-142.31%-44M-111.11%-76M162.63%62M-833.33%-44M
-Change in other current assets 105.00%1M-1,077.78%-106M-333.33%-35M-157.14%-4M-571.43%-47M16.67%-20M-200.00%-9M120.00%15M-93.64%7M-600.00%-7M
Cash from discontinued investing activities 00000-250.00%-12M95.65%-1M62.50%-3M0
Operating cash flow -2.07%142M18.48%808M-24.40%189M13.30%264M60.31%210M113.24%145M-18.03%682M44.51%250M-11.41%233M-32.82%131M
Investing cash flow
Cash flow from continuing investing activities 36.12%-191M53.26%-702M89.89%-104M12.21%-115M-46.03%-184M-38.43%-299M-271.78%-1.5B-1,056.18%-1.03B-32.32%-131M-31.25%-126M
Net PPE purchase and sale 35.79%-192M52.53%-714M89.50%-108M7.52%-123M-46.03%-184M-38.43%-299M-247.34%-1.5B-1,056.18%-1.03B-22.02%-133M-9.57%-126M
Net investment purchase and sale ----500.00%12M--4M-------------93.10%2M--0--------
Net other investing changes --1M------------------------------------
Cash from discontinued investing activities
Investing cash flow 36.12%-191M53.17%-702M89.88%-104M11.54%-115M-46.03%-184M-39.07%-299M-711.84%-1.5B-851.85%-1.03B-17.12%-130M-17.76%-126M
Financing cash flow
Cash flow from continuing financing activities -3.45%-30M-129.70%-226M-120.05%-167M33.33%-24M76.92%-6M-190.00%-29M188.39%761M637.42%833M-9.09%-36M95.99%-26M
Net issuance payments of debt 300.00%20M-111.26%-91M-106.91%-59M44.44%-20M84.62%-2M-433.33%-10M170.32%808M286.87%854M-5.88%-36M97.98%-13M
Net other financing activities -163.16%-50M-187.23%-135M-414.29%-108M---4M69.23%-4M-46.15%-19M-116.32%-47M-106.95%-21M--0-225.00%-13M
Cash from discontinued financing activities 00
Financing cash flow -3.45%-30M-129.70%-226M-120.05%-167M33.33%-24M76.92%-6M-190.00%-29M188.28%761M633.97%833M-9.09%-36M95.99%-26M
Net cash flow
Beginning cash position -28.88%298M-10.85%419M6.65%385M-13.80%256M-25.40%235M-10.85%419M72.16%470M-34.84%361M-33.41%297M-69.06%315M
Current changes in cash 57.61%-78M-116.07%-121M-249.09%-82M85.07%124M200.00%21M-17.20%-184M-126.05%-56M160.44%55M-43.70%67M96.26%-21M
Effect of exchange rate changes --1M--0-266.67%-5M266.67%5M--0--0127.78%5M-57.14%3M72.73%-3M127.27%3M
End cash Position -5.96%221M-28.88%298M-28.88%298M6.65%385M-13.80%256M-25.40%235M-10.85%419M-10.85%419M-34.84%361M-33.41%297M
Free cash flow 64.60%-57M102.23%19M102.92%23M45.74%137M--20M-3.21%-161M-373.63%-851M-13,250.00%-789M-37.75%94M--0
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

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