WALT DISNEY CO/ financials

DIS CIK 0001744489

Source: EDGAR filings · raw companyfacts JSON · Built 2026-04-25T10:00:38Z

Key metrics by reporting period

Up to six most-recent periods side-by-side. Rows are the curated key lines — revenue, margins, cash, debt, equity, cash-flow totals, plus the derived and valuation metrics we compute on top. For every tag a filer reported in one period, use the single-filing drilldown below.

Derived Metrics

Concept FY 2025FY 2024FY 2023FY 2022FY 2022FY 2022
Free Cash Flow 10.08B 8.56B 4.90B 1.06B -317.00M -504.00M
EBITDA 22.88B 20.59B 18.23B 17.28B 14.37B 9.51B
Working Capital -9.89B -9.36B 1.62B 25.00M 718.00M 1.83B
Net Debt 39.73B 43.52B 36.49B 40.64B 38.64B 38.75B
Operating Margin 18.59% 17.08% 14.47% 14.65% 16.82% 16.94%
Net Margin 13.14% 5.44% 2.65% 3.80% 4.77% 3.83%
Return on Equity (ROE) 11.29% 4.94% 2.37% 3.31% 3.22% 1.74%
Return on Assets (ROA) 6.28% 2.53% 1.15% 1.54% 1.46% 0.78%
Current Ratio 0.7104 0.7295 1.0522 1.0009 1.0234 1.0617
Debt-to-Equity 0.4134 0.4917 0.5104 0.55 0.5579 0.574
Effective Tax Rate -11.90% 23.73% 28.92% 32.77% 32.80% 35.59%
Cash Conversion Ratio 1.4593 2.8099 4.1912 1.9084 1.1659 0.9886
Accruals Ratio -0.0288 -0.0459 -0.0365 -0.014 -0.0024 0.0001
SBC % of Revenue 1.44% 1.50% 1.29% 1.18% 1.16% 1.10%
CapEx Coverage 2.2559 2.5815 1.9855 1.2142 0.9165 0.7553
Free Cash Flow Per Share $5.56 $4.67 $2.68 $0.58 $-0.17 $-0.28

Valuation Metrics

Concept FY 2025FY 2024FY 2023FY 2022FY 2022FY 2022
P/E Trailing (Diluted) 16.565 35.2978 62.8295 54.843 58.9816 159.3023
P/FCF 20.3925 20.5391 30.2877 162.7502
FCF Yield 4.90% 4.87% 3.30% 0.61%
EV / EBITDA 11.1606 10.9725 10.0033 12.1753 14.7317 29.9959
P/S 2.2832 1.9967 1.6411 2.0526 2.7656 6.0047
P/B 1.9623 1.8116 1.4695 1.7872 1.8708 2.7208

Income Statement

Concept FY 2025FY 2024FY 2023FY 2022FY 2022FY 2022
Revenues 94.42B 91.36B 88.90B 82.72B 62.57B 41.07B
Selling, General and Administrative Expense 16.50B 15.76B 15.34B 16.39B 11.65B 7.55B
Operating Income (Loss) 17.55B 15.60B 12.86B 12.12B 10.52B 6.96B
Income Tax Expense (Benefit) -1.43B 1.80B 1.38B 1.73B 1.61B 993.00M
Net Income (Loss) Attributable to Parent 12.40B 4.97B 2.35B 3.15B 2.98B 1.57B
Earnings Per Share, Basic $6.88 $2.72 $1.29 $1.73 $1.64 $0.86
Weighted Average Number of Shares Outstanding, Basic 1.80B 1.82B 1.83B 1.82B 1.82B 1.82B
Earnings Per Share, Diluted $6.85 $2.72 $1.29 $1.72 $1.63 $0.86
Weighted Average Number of Shares Outstanding, Diluted 1.81B 1.83B 1.83B 1.83B 1.83B 1.83B

Balance Sheet

Concept FY 2025FY 2024FY 2023FY 2022FY 2022FY 2022
Cash and Cash Equivalents, at Carrying Value 5.70B 6.00B 14.18B 11.62B 12.96B 13.27B
Assets, Current 24.27B 25.24B 32.76B 29.10B 31.42B 31.43B
Assets 197.51B 196.22B 205.58B 203.63B 204.07B 202.45B
Long-term Debt 42.03B 45.81B 46.43B 48.37B
Liabilities, Current 34.16B 34.60B 31.14B 29.07B 30.70B 29.60B
Long-term Debt, Excluding Current Maturities 35.31B 38.97B 42.10B 45.30B 46.02B 46.62B
Stockholders' Equity Attributable to Parent 109.87B 100.70B 99.28B 95.01B 92.50B 90.64B
Common Stock, Shares, Outstanding 1.90B 1.90B 1.80B 1.80B

Cash Flow Statement

Concept FY 2025FY 2024FY 2023FY 2022FY 2022FY 2022
Net Cash Provided by (Used in) Operating Activities 18.10B 13.97B 9.87B
Payments to Acquire Property, Plant, and Equipment 8.02B 5.41B 4.97B 4.94B 3.79B 2.06B
Net Cash Provided by (Used in) Investing Activities -8.04B -6.88B -4.64B -5.01B -3.87B -2.02B
Payments for Repurchase of Common Stock 3.50B 2.99B 0 0
Net Cash Provided by (Used in) Financing Activities -10.37B -15.29B -2.72B

Raw XBRL tagging for a single filing

Every us-gaap and custom concept the filer tagged for one fiscal period, grouped by statement. Start here when a number in the trend table above surprises you and you want to see the exact tag behind it. Derived and valuation rows are omitted here because they already appear in the trend table.

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Immaterial rows are USD line items under 1% of the period's revenue — the noise floor below which a single tag rarely moves the investment thesis. Revenue is read from the filer's top-line concept (Revenues / RevenueFromContractWithCustomerExcludingAssessedTax, with a fallback chain). Non-USD rows, rows without a numeric value, and every row on a filing with no identifiable revenue anchor stay visible. Flip the switch off to see every tag the filer reported for the period.

Income Statement

22 concepts 3 units
Unit US$ · 17 concepts
Label Value Period
Interest Expense 443.00M 2025-09-28 → 2025-12-27
Interest Income (Expense), Net -275.00M 2025-09-28 → 2025-12-27
Revenues 25.98B 2025-09-28 → 2025-12-27
Costs and Expenses 22.11B 2025-09-28 → 2025-12-27
Amortization of Intangible Assets 300.00M 2025-09-28 → 2025-12-27
Restructuring, Settlement and Impairment Provisions 0 2025-09-28 → 2025-12-27
Selling, General and Administrative Expense 4.12B 2025-09-28 → 2025-12-27
Other General Expense 304.00M 2025-09-28 → 2025-12-27
Operating Income (Loss) 4.60B 2025-09-28 → 2025-12-27
Investment Income, Net 52.00M 2025-09-28 → 2025-12-27
Net Periodic Defined Benefits Expense (Reversal of Expense), Excluding Service Cost Component -116.00M 2025-09-28 → 2025-12-27
Income (Loss) from Equity Method Investments 93.00M 2025-09-28 → 2025-12-27
Income (Loss) from Continuing Operations before Income Taxes, Noncontrolling Interest 3.69B 2025-09-28 → 2025-12-27
Income Tax Expense (Benefit) 1.21B 2025-09-28 → 2025-12-27
Net Income (Loss), Including Portion Attributable to Noncontrolling Interest 2.48B 2025-09-28 → 2025-12-27
Net Income (Loss) Attributable to Noncontrolling Interest 82.00M 2025-09-28 → 2025-12-27
Net Income (Loss) Attributable to Parent 2.40B 2025-09-28 → 2025-12-27
Unit shares · 3 concepts
Unit US$ / share · 2 concepts
Label Value Period
Earnings Per Share, Basic $1.34 2025-09-28 → 2025-12-27
Earnings Per Share, Diluted $1.34 2025-09-28 → 2025-12-27

Balance Sheet

39 concepts 3 units
Unit US$ · 35 concepts
Label Value Period
Cash and Cash Equivalents, at Carrying Value 5.68B as of 2025-12-27
Accounts Receivable, before Allowance for Credit Loss, Current 12.45B as of 2025-12-27
Receivables, Net, Current 15.05B as of 2025-12-27
Inventory, Net 2.16B as of 2025-12-27
Other Assets, Current 1.24B as of 2025-12-27
Assets, Current 25.47B as of 2025-12-27
Land 1.19B as of 2025-12-27
Construction in Progress, Gross 7.40B as of 2025-12-27
Accumulated Depreciation, Depletion and Amortization, Property, Plant, and Equipment 47.23B as of 2025-12-27
Property, Plant and Equipment, Net 43.20B as of 2025-12-27
Contract with Customer, Asset, Allowance for Credit Loss 135.00M as of 2025-12-27
Long-term Investments 8.05B as of 2025-12-27
Accounts Receivable, before Allowance for Credit Loss, Noncurrent 997.00M as of 2025-12-27
Goodwill 74.74B as of 2025-12-27
Intangible Assets, Net (Excluding Goodwill) 9.43B as of 2025-12-27
Other Assets, Noncurrent 10.09B as of 2025-12-27
Restricted Cash and Investments, Noncurrent 108.00M as of 2025-12-27
Assets 202.09B as of 2025-12-27
Long-term Line of Credit 0 as of 2025-12-27
Accounts Payable and Accrued Liabilities, Current 20.54B as of 2025-12-27
Contract with Customer, Liability, Current 6.12B as of 2025-12-27
Deferred Revenue, Current 6.69B as of 2025-12-27
Long-term Debt, Current Maturities 10.82B as of 2025-12-27
Liabilities, Current 38.05B as of 2025-12-27
Long-term Debt, Excluding Current Maturities 35.82B as of 2025-12-27
Contract with Customer, Liability, Noncurrent 731.00M as of 2025-12-27
Other Liabilities, Noncurrent 10.09B as of 2025-12-27
Preferred Stock, Value, Issued 0 as of 2025-12-27
Treasury Stock, Value 9.49B as of 2025-12-27
Accumulated Other Comprehensive Income (Loss), Net of Tax -2.90B as of 2025-12-27
Retained Earnings (Accumulated Deficit) 60.16B as of 2025-12-27
Stockholders' Equity Attributable to Parent 108.48B as of 2025-12-27
Stockholders' Equity Attributable to Noncontrolling Interest 5.53B as of 2025-12-27
Stockholders' Equity, Including Portion Attributable to Noncontrolling Interest 114.01B as of 2025-12-27
Liabilities and Equity 202.09B as of 2025-12-27
Unit shares · 3 concepts
Label Value Period
Common Stock, Shares Authorized 4.60B as of 2025-12-27
Common Stock, Shares, Issued 1.90B as of 2025-12-27
Treasury Stock, Common, Shares 97.00M as of 2025-12-27
Unit US$ / share · 1 concept
Label Value Period
Common Stock, Par or Stated Value Per Share $0.01 as of 2025-12-27

Cash Flow Statement

25 concepts 1 unit
Unit US$ · 25 concepts
Label Value Period
Depreciation, Depletion and Amortization 1.32B 2025-09-28 → 2025-12-27
Share-based Payment Arrangement, Noncash Expense 332.00M 2025-09-28 → 2025-12-27
Proceeds from Issuance of Debt 5.65B 2025-09-28 → 2025-12-27
Repayments of Debt 1.46B 2025-09-28 → 2025-12-27
Proceeds from Equity Method Investment, Distribution 93.00M 2025-09-28 → 2025-12-27
Deferred Income Taxes and Tax Credits 525.00M 2025-09-28 → 2025-12-27
Increase (Decrease) in Receivables 1.81B 2025-09-28 → 2025-12-27
Increase (Decrease) in Inventories 22.00M 2025-09-28 → 2025-12-27
Increase (Decrease) in Other Operating Assets 220.00M 2025-09-28 → 2025-12-27
Increase (Decrease) in Accounts Payable and Accrued Liabilities -1.65B 2025-09-28 → 2025-12-27
Increase (Decrease) in Income Taxes Payable -1.39B 2025-09-28 → 2025-12-27
Other Operating Activities, Cash Flow Statement 9.00M 2025-09-28 → 2025-12-27
Net Cash Provided by (Used in) Operating Activities 735.00M 2025-09-28 → 2025-12-27
Payments to Acquire Property, Plant, and Equipment 3.01B 2025-09-28 → 2025-12-27
Payments for (Proceeds from) Other Investing Activities -276.00M 2025-09-28 → 2025-12-27
Net Cash Provided by (Used in) Investing Activities -2.74B 2025-09-28 → 2025-12-27
Proceeds from (Repayments of) Commercial Paper 4.01B 2025-09-28 → 2025-12-27
Proceeds from Issuance of Long-term Debt 1.06B 2025-09-28 → 2025-12-27
Repayments of Long-term Debt 887.00M 2025-09-28 → 2025-12-27
Payments for Repurchase of Common Stock 2.03B 2025-09-28 → 2025-12-27
Proceeds from (Payments for) Other Financing Activities -164.00M 2025-09-28 → 2025-12-27
Net Cash Provided by (Used in) Financing Activities 1.98B 2025-09-28 → 2025-12-27
Effect of Exchange Rate on Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents 5.00M 2025-09-28 → 2025-12-27
Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents, Period Increase (Decrease), Including Exchange Rate Effect -13.00M 2025-09-28 → 2025-12-27
Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents 5.79B as of 2025-12-27

Notes

48 concepts 4 units
Unit US$ · 42 concepts
Label Value Period
Share-based Payment Arrangement, Amount Capitalized 49.00M 2025-09-28 → 2025-12-27
Share-based Payment Arrangement, Expense 332.00M 2025-09-28 → 2025-12-27
Contract with Customer, Performance Obligation Satisfied in Previous Period 300.00M 2025-09-28 → 2025-12-27
Deferred Tax and Other Liabilities, Noncurrent 4.13B as of 2025-12-27
Letters of Credit Outstanding, Amount 400.00M as of 2025-12-27
Contract with Customer, Liability, Revenue Recognized 3.60B 2025-09-28 → 2025-12-27
Interest Income (Expense), Nonoperating, Net -275.00M 2025-09-28 → 2025-12-27
Line of Credit Facility, Maximum Borrowing Capacity 12.25B as of 2025-12-27
Line of Credit Facility, Remaining Borrowing Capacity 12.25B as of 2025-12-27
Film, Monetized on Its Own, Capitalized Cost, Development and Preproduction 425.00M as of 2025-12-27
Film, Monetized on Its Own, Capitalized Cost, Production 2.61B as of 2025-12-27
Film, Monetized on Its Own, Capitalized Cost, Completed and Not Released 345.00M as of 2025-12-27
Film, Monetized on Its Own, Capitalized Cost, Released 5.39B as of 2025-12-27
Film, Monetized on Its Own, Capitalized Cost 8.77B as of 2025-12-27
Film, Monetized in Film Group, Capitalized Cost, Development and Preproduction 117.00M as of 2025-12-27
Common Stocks, Including Additional Paid in Capital 60.70B as of 2025-12-27
Film, Monetized in Film Group, Capitalized Cost, Production 3.82B as of 2025-12-27
Film, Monetized in Film Group, Capitalized Cost, Completed and Not Released 1.15B as of 2025-12-27
Film, Monetized in Film Group, Capitalized Cost, Released 14.16B as of 2025-12-27
Film, Monetized in Film Group, Capitalized Cost 19.25B as of 2025-12-27
Film, Capitalized Cost 28.02B as of 2025-12-27
Revenue, Remaining Performance Obligation, Amount 16.00B as of 2025-12-27
Treasury Stock, Value, Acquired, Cost Method 2.00B 2025-09-28 → 2025-12-27
Increase (Decrease) in Film Costs -1.15B 2025-09-28 → 2025-12-27
Finite-Lived License Agreements, Gross 4.43B as of 2025-12-27
Goodwill, Acquired During Period 1.46B 2025-09-28 → 2025-12-27
Goodwill, Other Increase (Decrease) -10.00M 2025-09-28 → 2025-12-27
Other Comprehensive Income (Loss), before Reclassifications, Net of Tax -32.00M 2025-09-28 → 2025-12-27
Reclassification from Accumulated Other Comprehensive Income, Current Period, Net of Tax -46.00M 2025-09-28 → 2025-12-27
Other Comprehensive Income (Loss), before Reclassifications, before Tax -34.00M 2025-09-28 → 2025-12-27
Reclassification from Accumulated Other Comprehensive Income, Current Period, before Tax -59.00M 2025-09-28 → 2025-12-27
AOCI before Tax, Attributable to Parent -3.51B as of 2025-12-27
AOCI Tax, Attributable to Parent 610.00M as of 2025-12-27
Hedged Liability, Fair Value Hedge 10.39B as of 2025-12-27
Hedged Liability, Fair Value Hedge, Cumulative Increase (Decrease) -653.00M as of 2025-12-27
Debt Instrument, Increase (Decrease), Other, Net 432.00M 2025-09-28 → 2025-12-27
Cash Flow Hedge Gain (Loss) to be Reclassified within Twelve Months 228.00M 2025-09-28 → 2025-12-27
Other Comprehensive Income (Loss) before Reclassifications, Tax 2.00M 2025-09-28 → 2025-12-27
Reclassification from AOCI, Current Period, Tax 13.00M 2025-09-28 → 2025-12-27
Unrealized Gain (Loss) on Foreign Currency Derivatives, Net, before Tax -25.00M 2025-09-28 → 2025-12-27
Foreign Currency Cash Flow Hedge Gain (Loss) Reclassified to Earnings, Net -62.00M 2025-09-28 → 2025-12-27
Derivative, Net Liability Position, Aggregate Fair Value 900.00M as of 2025-12-27
Unit shares · 3 concepts
Unit pure · 1 concept
Label Value Period
Number of Reportable Segments 3 2025-09-28 → 2025-12-27

Methodology

All facts on this page come straight from SEC EDGAR XBRL company-facts filings (DIS CIK 0001744489), grouped by financial statement using FASB's base us-gaap presentation taxonomy. Filers may re-parent concepts onto different statements in their own extension taxonomy, so a handful of rows can show up under a different statement than on the actual 10-K / 10-Q; custom concepts and any we couldn't map fall into Other. Hover a cell to see the fully-qualified concept name and the filer's description.

For the full methodology — statement grouping, the Other bucket, derived metrics, and fact tooltips — see the methodology reference for the statement grouping, the "Other" bucket, derived metrics, and fact tooltips.