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Financial Statements — KLAC

Balance Sheet

(in billions USD)
MetricQ3 2026Q2 2026Q1 2026Q3 2025Q2 2025Q1 2025Q3 2024Q2 2024Q1 2024Q3 2023Q2 2023Q1 2023Q3 2022Q2 2022Q1 2022Q3 2021Q2 2021Q1 2021
Cash & Equivalents1.792.451.951.861.841.981.851.671.711.571.571.821.421.661.511.451.431.22
Accounts Receivable2.302.072.282.162.331.951.631.841.631.942.281.861.621.731.461.201.221.03
Inventory3.443.283.303.163.053.113.013.043.012.752.542.411.981.831.721.451.421.39
Total Current Assets11.3511.2610.909.959.7710.239.538.758.438.028.137.646.586.706.145.415.224.75
Property, Plant & Equipment1.361.341.301.201.171.121.111.091.060.980.960.910.810.720.700.630.590.56
Goodwill1.791.791.791.791.792.022.022.092.282.282.282.282.312.042.042.012.052.05
Intangible Assets0.280.320.370.470.520.580.700.760.840.951.021.091.201.041.101.171.221.17
Total Non-current Assets1.361.341.301.201.171.121.111.091.060.980.960.910.810.720.700.630.590.56
Total Assets16.8716.7216.3215.1915.0015.6814.9614.2814.1413.6813.7313.1212.0211.6811.159.949.819.32
Accounts Payable0.520.430.430.430.430.380.350.380.360.410.530.480.420.380.380.300.260.25
Short-term Debt------------0.750.75--------0.000.020.020.020.02--
Total Current Liabilities3.753.984.053.914.144.804.464.573.823.423.483.142.832.782.522.032.021.75
Long-term Debt5.895.895.895.885.885.885.885.145.895.896.116.313.703.423.423.443.463.42
Total Non-current Liabilities*7.297.277.287.277.287.327.406.677.337.587.647.885.114.864.764.804.844.81
Total Liabilities11.0411.2511.3311.1811.4212.1211.8611.2411.1511.0011.1311.027.947.637.296.836.866.56
Retained Earnings3.192.862.501.651.281.330.960.920.970.720.671.121.971.941.801.070.900.75
Total Stockholder Equity*5.835.474.994.003.583.563.093.042.992.682.602.104.084.053.863.112.942.75

* Derived from reported values

Income Statement

(in billions USD) (except per-share rows)
MetricQ3 2026Q2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023Q2 2023Q1 2023Q4 2022Q3 2022Q2 2022Q1 2022Q4 2021
Total Revenue3.423.303.213.173.063.082.842.572.362.492.402.362.432.982.722.492.292.352.081.93
Cost of Revenue1.331.271.241.211.181.221.151.010.990.980.950.961.011.211.040.980.890.910.810.77
Gross Profit2.092.031.971.971.891.861.691.561.371.511.451.394.891.781.681.511.401.441.271.15
Research & Development0.390.380.360.350.340.350.320.330.320.320.310.320.330.330.320.300.290.270.260.24
Selling, General & Admin0.290.280.270.260.250.270.250.260.240.240.240.250.240.240.250.240.220.210.190.19
Interest Expense----------------0.080.070.070.070.070.070.070.040.040.040.040.04
Pretax Income1.421.331.311.331.260.971.080.950.700.690.850.780.801.141.070.950.850.930.770.71
Tax Provision0.220.180.190.130.180.150.130.110.100.110.110.090.100.160.040.140.120.21(0.30)0.08
Net Income1.201.151.121.201.090.820.950.840.600.580.740.680.700.981.030.810.730.721.070.63
Basic EPS9.178.738.519.098.216.187.056.224.464.305.435.065.066.937.235.454.874.747.014.13
Diluted EPS9.128.688.479.048.166.167.016.164.434.285.415.035.036.897.205.424.834.716.964.08

Cash Flow Statement

(in billions USD)
MetricQ3 2026Q2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023Q2 2023Q1 2023Q4 2022Q3 2022Q2 2022Q1 2022Q4 2021
Operating Cash Flow0.711.371.161.161.070.851.000.890.910.620.880.961.010.691.010.820.820.810.860.47
Capital Expenditures0.090.110.100.100.080.090.060.060.070.080.070.080.080.090.080.070.100.060.070.06
Free Cash Flow*0.621.261.071.060.990.760.930.830.840.550.820.880.930.590.930.750.720.750.790.41
Investing Cash Flow(0.49)(0.11)(0.41)(0.33)(0.32)0.61(0.17)(0.14)(0.86)(0.09)(0.39)(0.07)(0.11)(0.24)(0.05)(0.03)(0.57)(0.11)(0.18)(0.09)
Financing Cash Flow(0.88)(0.75)(0.88)(0.63)(0.74)(1.58)(0.84)(0.62)0.14(0.59)(0.71)(0.51)(0.90)(0.71)(0.71)(0.60)(0.49)(0.56)(0.61)(0.39)

* Derived from reported values

Dividends Per Share

(USD)
MetricQ3 2026Q2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023Q2 2023Q1 2023Q4 2022Q3 2022Q2 2022Q1 2022Q4 2021
Dividends Per Share1.901.901.901.901.701.701.451.451.451.451.301.301.301.301.301.051.051.051.050.90