DXC Technology Co.

NYS: DXC

GO
/marketstate/country/us

Market open

 --Real time quotes

Sep 30, 2020, 11:43 a.m.

DXC
/zigman2/quotes/200279350/composite

$

18.22

Change

+0.51 +2.91%

Volume

Volume 848,215

Real time quotes

/zigman2/quotes/200279350/composite

Previous close

$ 17.70

$ 18.22

Change

+0.51 +2.91%

Day low

Day high

$17.74

$18.37

Open

52 week low

52 week high

$7.90

$38.37

Open

Annual Financials for DXC Technology Co.

Assets

Fiscal year is April-March. All values USD millions. 20162017201820192020 5-year trend
Cash & Short Term Investments 1.24B1.26B2.59B2.9B3.68B
Cash Only 1.18B1.26B2.59B2.9B3.68B
Short-Term Investments 66M----
Total Accounts Receivable 1.83B1.64B5.48B5.18B4.39B
Accounts Receivables, Net 1.66B1.13B4.38B3.62B3.51B
Accounts Receivables, Gross 1.69B1.16B4.42B3.68B3.59B
Bad Debt/Doubtful Accounts (31M)(26M)(40M)(60M)(74M)
Other Receivables 168M509M1.1B1.56B879M
Inventories -----
Finished Goods -----
Work in Progress -----
Raw Materials -----
Progress Payments & Other -----
Other Current Assets 337M341M1.55B986M916M
Miscellaneous Current Assets 337M341M1.05B359M270M
Total Current Assets 3.41B3.25B9.62B9.07B8.99B
20162017201820192020 5-year trend
Net Property, Plant & Equipment 1.03B903M3.36B3.18B4.98B
Property, Plant & Equipment - Gross 3.92B3.72B7.05B7.14B8.79B
Buildings 921M873M2.46B2.18B2.23B
Land & Improvements -----
Computer Software and Equipment 2.79B2.7B4.19B4.72B4.88B
Other Property, Plant & Equipment 197M141M323M224M226M
Accumulated Depreciation 2.89B2.82B3.69B3.96B3.82B
Total Investments and Advances -----
Other Long-Term Investments -----
Long-Term Note Receivable -----
Intangible Assets 2.27B3.33B14B13.55B8.62B
Net Goodwill 1.28B1.86B7.62B7.61B2.02B
Net Other Intangibles 994M1.48B6.38B5.94B6.61B
Other Assets 683M801M6.57B3.43B3.16B
Tangible Other Assets 305M483M6.57B3.43B2.9B
Total Assets 7.74B8.66B33.92B29.57B26.01B

Liabilities & Shareholders' Equity

20162017201820192020 5-year trend
ST Debt & Current Portion LT Debt 710M738M1.92B1.94B1.76B
Short Term Debt 559M646M863M694M1.02B
Current Portion of Long Term Debt 151M92M1.06B1.25B734M
Accounts Payable 341M410M1.51B1.67B1.6B
Income Tax Payable 40M38M127M208M87M
Other Current Liabilities 1.52B1.76B6.29B5.64B4.45B
Dividends Payable -----
Accrued Payroll 292M248M744M652M630M
Miscellaneous Current Liabilities 1.23B1.52B5.55B4.99B3.82B
Total Current Liabilities 2.61B2.95B9.85B9.45B7.9B
Long-Term Debt 1.93B2.23B6.09B5.47B9.74B
Long-Term Debt excl. Capitalized Leases 1.87B2.16B6.09B4.83B8.07B
Non-Convertible Debt 1.87B2.16B6.09B4.83B8.07B
Convertible Debt -----
Capitalized Lease Obligations 69M67M-645M602M
Provision for Risks & Charges 552M600M1.61B1.37B1.28B
Deferred Taxes (164M)(143M)279M412M453M
Deferred Taxes - Credit 181M238M652M767M718M
Deferred Taxes - Debit 345M381M373M355M265M
Other Liabilities 429M484M1.88B787M1.25B
Other Liabilities (excl. Deferred Income) 429M198M1.08B531M511M
Deferred Income -286M795M256M735M
Total Liabilities 5.7B6.5B20.08B17.85B20.88B
Non-Equity Reserves -----
Preferred Stock (Carrying Value) -----
Redeemable Preferred Stock -----
Non-Redeemable Preferred Stock -----
Common Equity (Total) 2.03B1.89B13.49B11.4B4.79B
Common Stock Par/Carry Value 149M152M3M3M3M
Retained Earnings 33M(170M)1.3B478M(5.18B)
ESOP Debt Guarantee -----
Cumulative Translation Adjustment/Unrealized For. Exch. Gain (399M)(458M)(261M)(517M)(851M)
Unrealized Gain/Loss Marketable Securities --9M9M9M
Revaluation Reserves -----
Treasury Stock (485M)(497M)(85M)(136M)(152M)
Total Shareholders' Equity 2.03B1.89B13.49B11.4B4.79B
Accumulated Minority Interest 7M278M350M323M344M
Total Equity 2.03B2.17B13.84B11.73B5.13B
Liabilities & Shareholders' Equity 7.74B8.66B33.92B29.57B26.01B
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