Annual Cash Flow

  Year Ending Dec 2025 (Update) Year Ending Dec 2024 (Update) Year Ending Dec 2023 (Update) Year Ending Dec 2022 (Update) Year Ending Dec 2021 (Update)
Net Income/Starting Line 877.70 747.10 419.20 1.28M 2.38M
Depreciation – Supplemental 681.10 643.50 577.30 633.90 745.10
Depreciation/Depletion 681.10 643.50 577.30 633.90 745.10
Deferred Taxes 97.60 -20.10 -78.10 18.30 -75.90
Discontinued Operations -- -- 86.60
Unusual Items 105.60 5.30 349.00 271.50 --
Equity in Net Earnings (Loss)
Other Non-Cash Items 404.60 364.10 335.60 355.00 324.60
Non-Cash Items 510.20 369.40 771.20 626.50 324.60
Accounts Receivable -122.20 -21.90 -75.30 -84.10 42.80
Inventories -30.20 -12.60 -0.70 -45.50 2.80
Prepaid Expenses -25.20 -54.50 -25.80 -256.90 -68.20
Accounts Payable -52.80 72.10 -42.40 307.10 -10.20
Accrued Expenses -330.30 -112.60 -323.20 -559.30 -275.90
Other Liabilities 34.60 -24.60 105.50 35.30 45.00
Changes in Working Capital -526.10 -154.10 -361.90 -603.40 -263.70
Cash from Operating Activities 1.64M 1.59M 1.33M 1.96M 3.11M
Purchase of Fixed Assets -434.50 -489.90 -453.60 -481.90 -460.40
Purchase/Acquisition of Intangibles
Capital Expenditures -434.50 -489.90 -453.60 -481.90 -460.40
Acquisition of Business -582.00 -839.00 -671.50 -1,164.00 -496.90
Sale of Business 15.10 -- 1.60 --
Sale of Fixed Assets 8.00 2.00 0.60 1.40 87.30
Sale/Maturity of Investment 6.90 -- 6.70 5.20 13.20
Investment, Net -- 2.90 --
Purchase of Investments -192.40 -55.00 -29.00 -17.40 -27.80
Other Investing Cash Flow -- -24.70
Other Investing Cash Flow Items, Total -759.50 -876.90 -717.90 -1,170.30 -424.20
Cash from Investing Activities -1,194.00 -1,366.80 -1,171.50 -1,652.20 -884.60
Other Financing Cash Flow 179.40 216.90 1.44M -77.60 -74.00
Financing Cash Flow Items 179.40 216.90 1.44M -77.60 -74.00
Cash Dividends Paid - Common -240.70 -243.10 -254.00 -195.20
Total Cash Dividends Paid -240.70 -243.10 -254.00 -195.20
Sale/Issuance of Common 54.30 56.20 54.40 50.60 51.70
Repurchase/Retirement of Common -450.00 -250.10 -1,000.00 -1,100.00 -1,668.50
Common Stock, Net -395.70 -193.90 -945.60 -1,049.40 -1,616.80
Issuance (Retirement) of Stock, Net -395.70 -193.90 -945.60 -1,049.40 -1,616.80
Short Term Debt Reduction
Short Term Debt, Net
Long Term Debt Issued 64.80 4.46M 2.49M 787.40 1.00M
Long Term Debt Reduction -1,064.80 -3,463.70 -2,788.20 -787.40 -1,375.00
Long Term Debt, Net -1,000.00 1.00M -300.00 -- -375.00
Issuance (Retirement) of Debt, Net -1,000.00 1.00M -300.00 -- -375.00
Cash from Financing Activities -1,457.00 779.90 -59.30 -1,322.20 -2,065.80
Foreign Exchange Effects 24.10 -17.00 9.90 -24.20 -7.30
Net Change in Cash -986.40 981.90 106.80 -1,042.70 151.90
Net Cash - Beginning Balance 1.52M 536.80 430.00 1.47M 1.32M
Net Cash - Ending Balance 532.30 1.52M 536.80 430.00 1.47M
Cash Interest Paid 217.70 209.20 221.50 197.10 194.70
Cash Taxes Paid 171.10 215.40 206.80 504.70 1.00M

For a more complete picture of our financial results, please review our SEC Filings

Source: LSEG