Applied materials inc /de (AMAT)
Income statement / Quarterly
Apr'20Jan'20Oct'19Jul'19Apr'19Jan'19Oct'18Jul'18Apr'18Jan'18Oct'17Jul'17Apr'17Jan'17Oct'16Jul'16Apr'16Jan'16Oct'15Jul'15Apr'15Jan'15Oct'14Jul'14Apr'14Jan'14Oct'13Jul'13Apr'13Jan'13Oct'12Jul'12Apr'12Jan'12Oct'11Jul'11Apr'11Jan'11Oct'10Jul'10Apr'10Jan'10Oct'09Jul'09Apr'09Jan'09Jul'08
Net sales

3,957

4,162

3,754

3,562

3,539

3,753

3,759

4,162

4,579

4,205

4,130

3,744

3,546

3,278

3,297

2,821

2,450

2,257

2,368

2,490

2,442

2,359

2,264

2,265

2,353

2,190

1,988

1,975

1,973

1,573

1,646

2,343

2,541

2,189

2,182

2,787

2,862

2,686

2,886

2,518

2,296

1,849

1,526

1,133

1,020

1,333

1,848

Cost of products sold

2,208

2,304

2,120

2,005

2,009

2,088

2,102

2,298

2,523

2,265

2,263

2,044

1,946

1,833

1,898

1,629

1,446

1,341

1,409

1,472

1,426

1,400

1,305

1,273

1,352

1,299

1,193

1,169

1,165

991

1,060

1,413

1,530

1,403

1,331

1,603

1,673

1,550

1,669

1,658

1,369

1,138

967

808

864

941

1,105

Gross profit

1,749

1,858

1,634

1,557

1,530

1,665

1,657

1,864

2,056

1,940

1,867

1,700

1,600

1,445

1,399

1,192

1,004

916

959

1,018

1,016

959

959

992

1,001

891

795

806

808

582

586

930

1,011

786

851

1,184

1,189

1,136

1,217

860

927

711

559

324

155

391

742

Operating expenses:
Research, development and engineering

550

552

515

515

508

516

519

505

509

489

473

454

437

417

394

386

386

374

363

372

365

351

360

357

355

356

338

334

344

304

303

309

321

304

269

282

297

270

278

290

306

269

234

234

236

229

268

Marketing and selling

130

135

129

128

133

131

127

138

130

126

106

117

116

118

114

107

102

106

96

112

109

111

99

108

107

109

99

111

118

105

-

118

-

-

-

-

-

-

-

-

100

97

-

79

84

84

115

General and administrative

137

129

126

112

113

110

120

128

125

110

122

106

107

103

114

103

91

82

77

135

140

117

127

126

129

120

110

97

126

125

-126

137

281

303

-211

240

219

221

439

252

126

125

404

88

101

141

129

Gain on derivatives associated with terminated business combination

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

0

-3

14

78

39

-10

-23

24

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

Impairment of goodwill and intangible assets

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

0

278

-

-

0

0

-

-

-

-

-

-

-

-

-

-

-

-

-

-

Restructuring charges and asset impairments

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

30

14

10

9

124

44

0

0

0

3

-4

-29

-2

135

9

104

-3

0

26

132

0

Gain on sale of facilities, net

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

28

-

-

-

-

-

-

-

-

-

-

-

Total operating expenses

817

816

770

755

754

757

766

771

764

725

701

677

660

638

622

596

579

562

536

622

600

501

547

601

614

561

584

556

876

543

1,085

608

602

607

491

497

512

462

518

677

541

595

-

402

448

-

-

Income from operations

932

1,042

864

802

776

908

891

1,093

1,292

1,215

1,166

1,023

940

807

777

596

425

354

423

396

416

458

412

391

387

330

211

250

-68

39

-499

322

409

179

360

687

677

674

699

183

386

116

172

-77

-293

-196

228

Impairment of strategic investments

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

0

-

0

3

-

-

0

0

-

-

8

4

-

-

2

77

-

0

Pre-tax loss of equity-method investment

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-0

0

-19

-15

-6

Interest expense

61

59

59

58

60

60

60

59

56

59

57

59

44

38

38

38

37

42

32

24

24

23

23

24

23

25

24

23

24

24

24

24

23

24

24

25

5

5

6

5

5

5

5

4

5

5

4

Interest and other income, net

7

22

35

38

43

40

44

43

25

27

50

14

12

2

1

6

7

2

6

3

-3

2

9

3

1

10

7

1

2

3

-12

4

4

4

10

7

14

11

11

8

10

8

10

10

11

15

25

Income before income taxes

878

1,005

840

782

759

888

875

1,077

1,261

1,183

1,159

978

908

771

740

564

395

314

397

375

389

437

398

370

365

315

194

228

-90

18

-532

302

387

159

343

669

686

680

703

178

387

119

173

-74

-382

-202

242

Provision for income taxes

123

113

142

211

93

117

118

61

161

1,018

92

53

84

68

130

59

75

28

61

46

25

89

142

69

103

62

11

60

39

-16

-17

84

98

42

-112

193

197

174

235

55

123

36

35

-19

-127

-69

77

Net income

755

892

698

571

666

771

757

1,016

1,100

165

1,067

925

824

703

610

505

320

286

336

329

364

348

256

301

262

253

183

168

-129

34

-515

218

289

117

455

476

489

506

468

123

264

83

138

-54

-255

-132

164

Earnings per share:
Basic and diluted earnings per share (in dollars per share)

-

-

-

-

-

-

-

-

-

-

-

-

-

0.65

-

-

-

0.25

-

-

-

0.28

-

-

-

0.21

-

-

-

0.03

-

-

0.22

0.09

-

-

0.37

0.38

-

-

0.20

0.06

-

-

-

-

-

Basic (in dollars per share)

0.82

0.97

0.76

0.61

0.71

0.81

0.75

1.02

1.07

0.16

-

0.86

0.76

-

-

0.47

0.29

-

-

0.27

0.30

-

-

0.25

0.22

-

-

0.14

-0.11

-

-

0.17

-

-

-

0.36

-

-

-

0.09

-

-

0.10

-0.04

-0.19

-0.10

0.12

Diluted (in dollars per share)

0.82

0.96

0.75

0.61

0.70

0.80

0.74

1.01

1.06

0.15

-

0.85

0.76

-

-

0.46

0.29

-

-

0.27

0.29

-

-

0.24

0.21

-

-

0.14

-0.11

-

-

0.17

-

-

-

0.36

-

-

-

0.09

-

-

0.10

-0.04

-0.19

-0.10

0.12

Weighted average number of shares:
Basic (in shares)

917

916

920

929

942

957

973

994

1,029

1,056

1,065

1,071

1,078

1,078

1,086

1,083

1,113

1,146

1,181

1,221

1,230

1,224

1,220

1,218

1,216

1,206

1,204

1,203

1,203

1,198

1,219

1,257

1,289

1,299

1,314

1,318

1,320

1,324

1,333

1,340

1,345

1,342

1,337

1,333

1,331

1,329

1,350

Diluted (in shares)

923

927

930

937

948

965

988

1,005

1,040

1,071

1,077

1,083

1,087

1,089

1,098

1,093

1,119

1,154

1,192

1,231

1,241

1,240

1,237

1,233

1,229

1,225

1,241

1,220

1,203

1,212

1,229

1,268

1,301

1,310

1,322

1,330

1,333

1,335

1,345

1,349

1,352

1,350

1,337

1,333

1,331

1,329

1,367