ORCL

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NYSE / Sector: Technology / Sub-Sector: Software - Infrastructure / Stock Type: Slow Growth
# of Employee: 136,000 / Fiscal Year End: 2017-05-31 / Stock Type: Large Core
USD / Exchange Rate: 1 at 2016-11-22 /

Oracle Corp develops, manufactures, markets, hosts and supports database and middleware software, application software, cloud infrastructure, hardware system including computer server, storage and networking products and related services.

Competitors

Competitors List | Key Matrix Details

MSFT | VMW | CTXS | CA | FFIV | DOX | SSNC | ULTI | BKFS | GWRE | JCOM | FICO | COTV |

Finance Highlights

Key Ratio Highlights | Key Ratio H | Income H | Balance H | Cash H | Income D | Balance D | Cash D | Top

ReportDatePeriodTypeROEFCFMarginFCFPerSharEquityPerSProfitMargContinuousNetMarginDebtEquityCurrentRat
2007-05-25Annual30.70%28.90%1.03.276.70%23.70%23.70%.958.729
2008-05-25Annual31.10%31.90%1.44.477.80%24.60%24.60%.950.554
2009-05-25Annual30.80%33.20%1.54.979.40%24.10%24.10%1.124.492
2010-05-25Annual27.40%31.50%1.76.178.50%22.90%22.90%1.001.544
2011-05-25Annual27.10%30.20%2.17.876.40%24.00%24.00%1.178.362
2012-05-25Annual30.00%35.30%2.68.678.80%26.90%26.90%1.261.384
2013-05-25Annual30.40%36.50%2.89.280.90%29.40%29.40%1.201.309
2014-05-25Annual30.60%37.50%3.110.281.10%28.60%28.60%1.078.299
2015-05-25Annual26.60%33.90%2.910.880.30%26.00%26.00%.782.242
2016-05-25Annual26.20%33.40%2.911.079.80%24.00%24.00%.729.268

Key Ratio Trend

ReportDatePeriodTypeROEFCFMarginFCFPerSharEquityPerSProfitMargContinuousNetMarginDebtEquityCurrentRat
AverageAnnual-1.02%0.87%10.35%10.51%-0.14%-2.34%-2.34%-5.66%-14.69%
2008-05-25Annual1.30%10.38%38.70%37.12%1.43%3.80%3.80%-0.84%-24.01%
2009-05-25Annual-0.96%4.08%10.01%11.08%2.06%-2.03%-2.03%18.32%-11.19%
2010-05-25Annual-11.04%-5.12%10.62%24.13%-1.13%-4.98%-4.98%-10.94%10.57%
2011-05-25Annual-1.09%-4.13%25.99%27.77%-2.68%4.80%4.80%17.68%-33.46%
2012-05-25Annual10.70%16.89%22.44%10.55%3.14%12.08%12.08%7.05%6.08%
2013-05-25Annual1.33%3.40%9.03%7.49%2.66%9.29%9.29%-4.76%-19.53%
2014-05-25Annual0.66%2.74%11.17%10.47%0.25%-2.72%-2.72%-10.24%-3.24%
2015-05-25Annual-13.07%-9.60%-7.70%6.14%-0.99%-9.09%-9.09%-27.46%-19.06%
2016-05-25Annual-1.50%-1.47%-0.03%1.65%-0.62%-7.69%-7.69%-6.78%10.74%


Income Statement Highlights | Key Ratio H | Income H | Balance H | Cash H | Income D | Balance D | Cash D | Top

ReportDatePeriodTypeRevenueCostInterestExContinuousNetIncomeDilutedShaProfitMargContinuousNetMargin
2007-05-25Annual17,996m4,191m343m4,274m4,274m5,269,000,k76.70%23.70%23.70%
2008-05-25Annual22,430m4,981m394m5,521m5,521m5,229,000,k77.80%24.60%24.60%
2009-05-25Annual23,252m4,794m630m5,593m5,593m5,130,000,k79.40%24.10%24.10%
2010-05-25Annual26,820m5,764m754m6,135m6,135m5,073,000,k78.50%22.90%22.90%
2011-05-25Annual35,622m8,398m808m8,547m8,547m5,128,000,k76.40%24.00%24.00%
2012-05-25Annual37,121m7,858m766m9,981m9,981m5,095,000,k78.80%26.90%26.90%
2013-05-25Annual37,180m7,113m797m10,925m10,925m4,844,000,k80.90%29.40%29.40%
2014-05-25Annual38,275m7,236m914m10,955m10,955m4,604,000,k81.10%28.60%28.60%
2015-05-25Annual38,226m7,532m1,143m9,938m9,938m4,503,000,k80.30%26.00%26.00%
2016-05-25Annual37,047m7,479m1,467m8,901m8,901m4,305,000,k79.80%24.00%24.00%

Income Statement Trend

ReportDatePeriodTypeRevenueCostInterestExContinuousNetIncomeDilutedShaProfitMargContinuousNetMargin
AverageAnnual3.34%0.65%14.78%5.83%5.83%-2.03%-0.14%-2.34%-2.34%
2008-05-25Annual24.64%18.85%14.87%29.18%29.18%-0.76%1.43%3.80%3.80%
2009-05-25Annual3.66%-3.75%59.90%1.30%1.30%-1.89%2.06%-2.03%-2.03%
2010-05-25Annual15.34%20.23%19.68%9.69%9.69%-1.11%-1.13%-4.98%-4.98%
2011-05-25Annual32.82%45.70%7.16%39.32%39.32%1.08%-2.68%4.80%4.80%
2012-05-25Annual4.21%-6.43%-5.20%16.78%16.78%-0.64%3.14%12.08%12.08%
2013-05-25Annual0.16%-9.48%4.05%9.46%9.46%-4.93%2.66%9.29%9.29%
2014-05-25Annual2.95%1.73%14.68%0.27%0.27%-4.95%0.25%-2.72%-2.72%
2015-05-25Annual-0.13%4.09%25.05%-9.28%-9.28%-2.19%-0.99%-9.09%-9.09%
2016-05-25Annual-3.08%-0.70%28.35%-10.43%-10.43%-4.40%-0.62%-7.69%-7.69%


Balance Sheet Highlights | Key Ratio H | Income H | Balance H | Cash H | Income D | Balance D | Cash D | Top

ReportDatePeriodTypeEquityTotalLiabiCurrentAssCurrentLiaNonCurrentDebtEquityCurrentRat
2007-05-25Annual16,919m17,653m12,883m9,387m8,266m.958.729
2008-05-25Annual23,025m24,243m18,103m10,029m14,214m.950.554
2009-05-25Annual25,090m22,326m18,581m9,149m13,177m1.124.492
2010-05-25Annual30,798m30,780m27,004m14,691m16,089m1.001.544
2011-05-25Annual39,776m33,759m39,174m14,192m19,567m1.178.362
2012-05-25Annual43,688m34,639m40,023m15,388m19,251m1.261.384
2013-05-25Annual44,648m37,164m41,692m12,872m24,292m1.201.309
2014-05-25Annual46,878m43,466m48,138m14,389m29,077m1.078.299
2015-05-25Annual48,663m62,240m63,183m15,291m46,949m.782.242
2016-05-25Annual47,289m64,891m64,313m17,208m47,683m.729.268

Balance Sheet Trend

ReportDatePeriodTypeEquityTotalLiabiCurrentAssCurrentLiaNonCurrentDebtEquityCurrentRat
AverageAnnual7.20%8.62%10.44%6.59%20.76%-5.66%-14.69%
2008-05-25Annual36.09%37.33%40.52%6.84%71.96%-0.84%-24.01%
2009-05-25Annual8.97%-7.91%2.64%-8.77%-7.30%18.32%-11.19%
2010-05-25Annual22.75%37.87%45.33%60.57%22.10%-10.94%10.57%
2011-05-25Annual29.15%9.68%45.07%-3.40%21.62%17.68%-33.46%
2012-05-25Annual9.84%2.61%2.17%8.43%-1.61%7.05%6.08%
2013-05-25Annual2.20%7.29%4.17%-16.35%26.19%-4.76%-19.53%
2014-05-25Annual4.99%16.96%15.46%11.79%19.70%-10.24%-3.24%
2015-05-25Annual3.81%43.19%31.25%6.27%61.46%-27.46%-19.06%
2016-05-25Annual-2.82%4.26%1.79%12.54%1.56%-6.78%10.74%


Cash Flow Highlights | Key Ratio H | Income H | Balance H | Cash H | Income D | Balance D | Cash D | Top

ReportDatePeriodTypeOperatingCCAPEXFreeCashFlInvestmentFinancialF
2007-05-25Annual5,520m-319m5,201m-4,971m-1,139m
2008-05-25Annual7,402m-243m7,159m-9,076m3,281m
2009-05-25Annual8,255m-529m7,726m-2,599m-4,422m
2010-05-25Annual8,681m-230m8,451m-10,319m2,664m
2011-05-25Annual11,214m-450m10,764m-6,081m516m
2012-05-25Annual13,743m-648m13,095m-8,381m-6,099m
2013-05-25Annual14,224m-650m13,574m-5,956m-8,500m
2014-05-25Annual14,921m-580m14,341m-7,539m-4,068m
2015-05-25Annual14,336m-1,391m12,945m-19,047m9,850m
2016-05-25Annual13,561m-1,189m12,372m-5,154m-9,856m

Cash Flow Trend

ReportDatePeriodTypeOperatingCCAPEXFreeCashFlInvestmentFinancialF
AverageAnnual5.04%-19.73%6.91%-31.58%-57.71%
2008-05-25Annual34.09%23.82%37.65%-82.58%388.06%
2009-05-25Annual11.52%-117.70%7.92%71.36%-234.78%
2010-05-25Annual5.16%56.52%9.38%-297.04%160.24%
2011-05-25Annual29.18%-95.65%27.37%41.07%-80.63%
2012-05-25Annual22.55%-44.00%21.66%-37.82%-1,281.98%
2013-05-25Annual3.50%-0.31%3.66%28.93%-39.37%
2014-05-25Annual4.90%10.77%5.65%-26.58%52.14%
2015-05-25Annual-3.92%-139.83%-9.73%-152.65%342.13%
2016-05-25Annual-5.41%14.52%-4.43%72.94%-200.06%



Finance Detail

Income Statement Details | Key Ratio H | Income H | Balance H | Cash H | Income D | Balance D | Cash D | Top

0: years2007-052008-052009-052010-052011-052012-052013-052014-052015-052016-05
1: Revenue17996m22430m23252m26820m35622m37121m37180m38275m38226m37047m
2: Cost of revenue4191m4981m4794m5764m8398m7858m7113m7236m7532m7479m
3: Gross profit13805m17449m18458m21056m27224m29263m30067m31039m30694m29568m
4: Operating expenses7831m9605m10137m11994m15191m15557m15383m16280m16823m16964m
5: Research and development2195m2741m2767m3254m4519m4523m4850m5151m5524m5787m
6: Sales, General and administrative4599m5487m5423m5991m7549m8253m8400m8605m8732m9039m
7: Restructuring, merger and acquisition159m165m234m776m695m351m352m183m207m458m
8: Other operating expenses878m1212m1713m1973m2428m2430m1781m2341m2360m1680m
9: Operating income5974m7844m8321m9062m12033m13706m14684m14759m13871m12604m
10: Interest Expense343m394m630m754m808m766m797m914m1143m1467m
11: Other income (expense)355m384m143m-65m186m22m11m-141m106m305m
12: Income before taxes5986m7834m7834m8243m11411m12962m13898m13704m12834m11442m
13: Provision for income taxes1712m2313m2241m2108m2864m2981m2973m2749m2896m2541m
14: Other income0000000000
15: Net income from continuing operations4274m5521m5593m6135m8547m9981m10925m10955m9938m8901m
16: Net income from discontinuing ops0000000000
17: Extraordinary items0000000000
18: Cumulative effect of accounting changes0000000000
19: Other0000000000
20: Net income4274m5521m5593m6135m8547m9981m10925m10955m9938m8901m
21: Preferred dividend0000000000
22: Net income available to common shareholders4274m5521m5593m6135m8547m9981m10925m10955m9938m8901m
23: Earnings per share0000000000
24: Basic0.831.081.11.221.691.992.292.422.262.11
25: Diluted0.811.061.091.211.671.962.262.382.212.07
26: Weighted average shares outstanding0000000000
27: Basic5170m5133m5070m5014m5048m5015m4769m4528m4404m4221m
28: Diluted5269m5229m5130m5073m5128m5095m4844m4604m4503m4305m
29: EBITDA7456m9708m10440m11268m15015m16644m17626m17526m16838m15418m
30: Total operating expenses7831m9605m10137m11994m15191m15557m15383m16280m16823m16964m


Balance Sheet Details | Key Ratio H | Income H | Balance H | Cash H | Income D | Balance D | Cash D | Top

0: years2007-052008-052009-052010-052011-052012-052013-052014-052015-052016-05
1: Assets34572m47268m47416m61578m73535m78327m81812m90344m110903m112180m
2: Current assets12883m18103m18581m27004m39174m40023m41692m48138m63183m64313m
3: Cash7020m11043m12624m18469m28848m30676m32216m38819m54368m56125m
4: Cash and cash equivalents6218m8262m8995m9914m16163m14955m14613m17769m21716m20152m
5: Short-term investments802m2781m3629m8555m12685m15721m17603m21050m32652m35973m
6: Receivables4074m5127m4430m5585m6628m6377m6049m6087m5618m5385m
7: Inventories000259m303m158m240m189m314m212m
8: Deferred income taxes968m853m661m1159m1189m877m974m914m663m0
9: Prepaid expenses306m408m866m1532m2206m1935m2213m2129m2220m2591m
10: Other current assets515m672m00000000
11: Non-current assets21689m29165m28835m34574m34361m38304m40120m42206m47720m47867m
12: Property, plant and equipment1603m1688m1922m2763m2857m3021m3053m3061m3686m4000m
13: Gross property, plant and equipment3459m3640m3826m4648m5095m5419m5756m6239m7295m8096m
14: Accumulated Depreciation-1856m-1952m-1904m-1885m-2238m-2398m-2703m-3178m-3609m-4096m
15: Equity and other investments0000000000
16: Goodwill13479m17991m18842m20425m21553m25119m27343m29652m34087m34590m
17: Intangible assets5964m8395m7269m9321m7860m7899m6640m6137m6406m4943m
18: Deferred income taxes00001076m595m766m837m795m1291m
19: Prepaid pension benefit0000000000
20: Other long-term assets643m1091m802m2065m1015m1670m2318m2519m2746m3043m
21: Liabilities and stockholders' equity34572m47268m47416m61578m73535m78327m81812m90344m110903m112180m
22: Liabilities17653m24243m22326m30780m33759m34639m37164m43466m62240m64891m
23: Current liabilities9387m10029m9149m14691m14192m15388m12872m14389m15291m17208m
24: Short-term debt1358m1001m1001m3145m1150m2950m01508m1999m3750m
25: Capital leases0000000000
26: Accounts payable315m383m271m775m701m438m419m471m806m504m
27: Deferred income taxes0000000000
28: Taxes payable000000911m416m532m0
29: Accrued liabilities1550m2078m1409m1895m2320m2002m1851m1940m1839m1966m
30: Deferred revenues3492m4492m4592m5900m6802m7035m7118m7269m7245m7655m
31: Other current liabilities2672m2075m1876m2976m3219m2963m2573m2785m2870m3333m
32: Non-current liabilities8266m14214m13177m16089m19567m19251m24292m29077m46949m47683m
33: Long-term debt6235m10235m9237m11510m14772m13524m18494m22667m39959m40105m
34: Capital leases0000000000
35: Deferred taxes liabilities1121m1218m480m424m59m00000
36: Accrued liabilities0000000000
37: Deferred revenues0000000000
38: Pensions and other benefits0000000000
39: Minority interest000401m469m399m497m569m435m501m
40: Other long-term liabilities910m2761m3460m3754m4267m5328m5301m5841m6555m7077m
41: Stockholders' equity16919m23025m25090m30798m39776m43688m44648m46878m48663m47289m
42: Preferred stock0000000000
43: Common stock0012980m14648m16653m17489m18893m21077m23156m24217m
44: Other Equity0000000000
45: Additional paid-in capital0000000000
46: Retained earnings6223m9961m11894m16146m22581m26087m25854m25965m26503m23888m
47: Treasury stock0000000000
48: Accumulated other comprehensive income10696m13064m216m4m542m112m-99m-164m-996m-816m
49: Total assets34572m47268m47416m61578m73535m78327m81812m90344m110903m112180m
50: Total liabilities and stockholders' equity34572m47268m47416m61578m73535m78327m81812m90344m110903m112180m
51: Total cash7020m11043m12624m18469m28848m30676m32216m38819m54368m56125m
52: Total current assets12883m18103m18581m27004m39174m40023m41692m48138m63183m64313m
53: Net property, plant and equipment1603m1688m1922m2763m2857m3021m3053m3061m3686m4000m
54: Total non-current assets21689m29165m28835m34574m34361m38304m40120m42206m47720m47867m
55: Total current liabilities9387m10029m9149m14691m14192m15388m12872m14389m15291m17208m
56: Total non-current liabilities8266m14214m13177m16089m19567m19251m24292m29077m46949m47683m
57: Total liabilities17653m24243m22326m30780m33759m34639m37164m43466m62240m64891m
58: Total stockholders' equity16919m23025m25090m30798m39776m43688m44648m46878m48663m47289m


Cash Flow Details | Key Ratio H | Income H | Balance H | Cash H | Income D | Balance D | Cash D | Top

0: years2007-052008-052009-052010-052011-052012-052013-052014-052015-052016-05
1: Cash Flows From Operating Activities5520m7402m8255m8681m11214m13743m14224m14921m14336m13561m
2: Net income4274m5521m5593m6135m8547m9981m10925m10955m9938m8901m
3: Depreciation & amortization1127m1480m1976m2271m2796m2916m2931m2908m2861m2509m
4: Amortization of debt discount/premium and issuance costs0000000000
5: Investment/asset impairment charges0000000000
6: Investments losses (gains)0000000000
7: Deferred income taxes56m-135m-395m-511m-253m9m-117m-248m-548m-105m
8: (Gain) Loss from discontinued operations0000000000
9: Extraordinary items0000000000
10: Cumulative effect of accounting change0000000000
11: Stock based compensation00355m436m510m659m755m805m933m1037m
12: Accounts receivable00336m-362m-729m-8m267m24m208m96m
13: Inventory00073m-28m150m-66m57m-96m88m
14: Prepaid expenses-153m-191m145m340m14m-51m-555m-143m-387m-90m
15: Accounts payable00-691m-360m-120m-720m-541m0247m-13m
16: Accrued liabilities0000000000
17: Interest payable0000000000
18: Income taxes payable00142m-79m-96m54m35m-320m-10m2m
19: Other working capital-514m42m433m489m231m492m148m220m655m676m
20: Other non-cash items730m685m361m249m342m261m442m663m535m460m
21: Cash Flows From Investing Activities-4971m-9076m-2599m-10319m-6081m-8381m-5956m-7539m-19047m-5154m
22: Investments in property, plant, and equipment-319m-243m-529m-230m-450m-648m-650m-580m-1391m-1189m
23: Property, plant, and equipment reductions2m153m00105m00000
24: Acquisitions, net-5005m-7643m-1159m-5606m-1847m-4702m-3305m-3488m-6239m-650m
25: Purchases of investments-5405m-5624m-9315m-15703m-31009m-38625m-32160m-32316m-31421m-24562m
26: Sales/Maturities of investments5756m4281m8404m11220m27120m35594m30159m28845m20004m21247m
27: Investments in technologies0000000000
28: Sales of technologies0000000000
29: Purchases of intangibles0000000000
30: Sales of intangibles0000000000
31: Other investing activities0000000000
32: Cash Flows From Financing Activities-1139m3281m-4422m2664m516m-6099m-8500m-4068m9850m-9856m
33: Debt issued0007220m4354m1700m4974m019842m3750m
34: Debt repayment00-1004m-3582m-3143m-1405m-2950m0-1500m-2000m
35: Preferred stock issued0000000000
36: Preferred stock repaid0000000000
37: Warrant issued0000000000
38: Common stock issued924m1288m760m874m1376m733m1527m2135m1802m1425m
39: Common stock repurchased-3937m-2023m-3972m-992m-1160m-5856m-11021m-9813m-8087m-10529m
40: Excess tax benefit from stock based compensation00-155m-93m-110m-85m-169m-230m244m-187m
41: Dividend paid00-303m-1004m-1061m-1205m-1433m-2178m-2255m-2541m
42: Dividend payable0000000000
43: Other financing activities1874m4016m252m241m260m19m572m6018m-196m226m
44: Effect of exchange rate changes149m437m-501m-107m600m-471m-110m-158m-1192m-115m
45: Net change in cash-441m2044m733m919m6249m-1208m-342m3156m3947m-1564m
46: Cash at beginning of period6659m6218m8262m8995m9914m16163m14955m14613m17769m21716m
47: Cash at end of period6218m8262m8995m9914m16163m14955m14613m17769m21716m20152m
48: Free Cash Flow0000000000
49: Operating cash flow5520m7402m8255m8681m11214m13743m14224m14921m14336m13561m
50: Capital expenditure-319m-243m-529m-230m-450m-648m-650m-580m-1391m-1189m
51: Free cash flow5201m7159m7726m8451m10764m13095m13574m14341m12945m12372m
52: Net cash provided by operating activities5520m7402m8255m8681m11214m13743m14224m14921m14336m13561m
53: Net cash used for investing activities-4971m-9076m-2599m-10319m-6081m-8381m-5956m-7539m-19047m-5154m
54: Net cash provided by (used for) financing activities-1139m3281m-4422m2664m516m-6099m-8500m-4068m9850m-9856m



Note