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Shell plc

Income Statement - Shell plc (SHEL)

$(Billion, Million)
Dec-25 Dec-24 Dec-23 Dec-22 Dec-21 Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12 Dec-11 Dec-10 Dec-09 Dec-08 Dec-07 Dec-06
Total revenue 266.89 284.31 316.62 381.31 261.50 180.54 344.88 388.38 305.18 233.59 264.96 421.11 451.24 467.15 470.17 368.06 285.13 465.81 355.78 318.85
Cost of revenue 224.39 238.37 269.41 302.54 225.66 193.54 308.12 343.50 276.32 216.00 249.45 381.82 403.09 410.56 409.83 323.23 228.38 385.15 298.41 264.55
Gross profit 42.50 45.94 47.21 78.78 35.85 -13.00 36.76 44.88 28.86 17.59 15.51 39.29 48.14 56.60 60.35 44.83 56.75 80.66 57.37 54.29
Total operating expenses + 14.91 15.95 16.47 15.67 13.57 12.54 13.81 13.69 13.38 15.22 18.77 19.41 21.27 18.88 17.75 18.58 35.19 33.79 16.62 16.62
Operating income 27.58 29.99 30.74 63.11 22.28 -25.53 22.95 31.19 15.48 2.37 -3.26 19.88 26.87 37.72 42.60 26.24 21.56 46.87 40.75 37.68
Non-operating income (net) 2.17 -0.07 1.89 1.71 7.55 -1.44 2.54 4.43 2.65 3.24 5.31 8.44 6.72 12.79 12.95 9.10 -0.54 3.95 9.82 6.95
Income before tax 29.76 29.92 32.63 64.82 29.83 -26.97 25.49 35.62 18.13 5.61 2.05 28.31 33.59 50.51 55.54 35.34 21.02 50.82 50.58 44.63
Income tax expense 11.64 13.40 12.99 21.94 9.20 -5.43 9.05 11.72 4.70 0.83 -0.15 13.69 17.07 23.45 24.48 14.87 8.30 24.34 18.65 18.32
Net income 17.84 16.09 19.36 42.31 20.10 -21.68 15.84 23.35 12.98 4.58 1.94 15.05 16.37 26.59 30.92 20.13 12.52 26.28 31.33 25.44
Show Quarterly Income Statement

Income Statement - Shell plc (SHEL)

$(Billion, Million)
Mar-26 Dec-25 Sep-25 Jun-25 Mar-25 Dec-24 Sep-24 Jun-24 Mar-24 Dec-23 Sep-23 Jun-23 Mar-23 Dec-22 Sep-22 Jun-22 Mar-22 Dec-21 Sep-21 Jun-21 Mar-21 Dec-20 Sep-20 Jun-20 Mar-20 Dec-19 Sep-19 Jun-19 Mar-19 Dec-18 Sep-18 Jun-18 Mar-18 Dec-17 Sep-17 Jun-17 Mar-17 Dec-16 Sep-16 Jun-16 Mar-16 Dec-15 Sep-15 Jun-15 Mar-15 Dec-14 Sep-14 Jun-14 Mar-14 Dec-13 Sep-13 Jun-13 Mar-13 Dec-12 Sep-12 Jun-12 Mar-12 Dec-11 Sep-11 Jun-11 Mar-11 Dec-10 Sep-10 Jun-10 Mar-10 Dec-09 Sep-09 Jun-09 Mar-09 Dec-08 Sep-08 Jun-08 Mar-08 Dec-07 Sep-07 Jun-07 Mar-07 Dec-06 Sep-06 Jun-06 Mar-06
Total revenue 69.57 64.00 67.74 65.41 69.23 66.28 71.09 74.46 72.48 78.73 76.35 74.58 86.96 101.30 95.75 100.06 84.20 85.28 60.04 60.52 55.67 43.99 44.02 32.50 60.03 84.01 86.59 90.54 83.74 102.23 100.15 96.77 89.24 85.42 75.83 72.13 71.80 64.77 61.86 58.42 48.55 58.15 68.71 72.40 65.71 92.37 107.85 111.22 109.66 109.24 116.51 112.67 112.81 118.05 112.12 117.07 119.92 115.58 123.41 121.26 109.92 106.84 90.71 91.86 87.71 86.05 75.76 66.24 59.44 81.07 131.57 131.42 114.30 106.70 90.70 84.90 73.48 75.50 84.25 83.13 75.96
Cost of revenue 56.26 54.00 56.41 55.68 56.53 59.45 59.94 62.57 58.33 67.54 61.24 63.24 69.21 79.17 82.26 78.63 67.07 69.54 55.94 50.77 47.07 35.21 40.46 52.00 56.29 77.06 76.72 82.12 72.23 91.73 87.52 85.47 78.79 76.45 67.75 66.35 65.76 58.79 56.48 54.54 46.20 55.96 71.19 63.62 58.68 86.10 96.79 100.49 98.44 98.99 103.41 103.40 97.29 104.50 97.63 104.91 103.51 102.10 108.66 104.93 94.04 85.43 82.53 75.68 70.19 68.26 61.67 52.22 46.23 86.23 105.42 109.26 96.78 92.32 77.32 68.72 60.67 64.41 70.38 67.84 61.92
Gross profit 13.31 10.00 11.33 9.73 12.71 6.83 11.15 11.90 14.15 11.19 15.11 11.34 17.75 22.14 13.49 21.43 17.13 15.74 4.10 9.75 8.59 8.78 3.56 -19.50 3.74 6.95 9.88 8.42 11.51 10.50 12.63 11.30 10.45 8.97 8.08 5.78 6.03 5.98 5.38 3.88 2.36 2.18 -2.48 8.78 7.02 6.28 11.06 10.73 11.22 10.25 13.10 9.27 15.52 13.54 14.49 12.16 16.41 13.47 14.75 16.33 15.88 21.40 8.19 16.18 17.52 17.79 14.09 14.02 13.21 -5.15 26.15 22.57 17.85 14.39 13.38 16.18 12.81 11.09 13.87 15.29 14.04
Total operating expenses + 2.97 3.60 3.51 3.72 3.24 4.42 3.74 3.85 3.94 4.56 4.15 4.06 3.71 4.54 3.87 3.56 3.70 3.45 3.56 3.64 2.91 3.26 2.82 3.33 2.93 4.10 3.29 3.55 2.87 4.02 3.38 3.26 3.03 4.13 3.31 2.87 3.07 3.76 3.65 4.01 3.81 3.94 6.59 4.29 3.95 5.11 4.50 5.16 4.64 6.06 5.49 5.19 4.53 5.28 4.70 4.58 4.32 4.94 4.43 4.38 3.98 8.61 4.51 7.25 7.61 9.91 9.60 8.02 7.29 -10.46 17.30 4.85 4.29 2.00 3.84 5.70 4.41 3.44 4.61 4.68 3.88
Operating income 10.35 12.13 7.82 6.01 9.47 2.41 7.41 8.05 10.21 6.64 10.96 7.28 14.04 17.59 9.62 17.88 13.43 12.29 0.54 6.11 5.68 5.52 0.74 -22.83 0.81 2.85 6.58 4.88 8.64 6.48 9.25 8.04 7.42 4.83 4.77 2.91 2.97 2.22 1.72 -0.13 -1.45 -1.75 -9.07 4.49 3.08 1.17 6.56 5.58 6.58 4.19 7.61 4.07 11.00 8.26 9.79 7.58 12.10 8.54 10.32 11.95 11.90 12.80 3.67 8.92 9.91 7.88 4.49 6.01 5.92 5.31 8.84 17.31 13.23 12.39 9.54 10.48 8.40 7.66 9.26 10.61 10.16
Non-operating income (net) -1.04 -5.24 0.06 -0.04 -0.51 1.79 -0.14 -0.64 0.83 -5.00 0.34 -1.93 0.31 -1.15 1.82 8.28 -2.66 3.98 0.65 -1.98 2.56 -9.64 -0.30 -1.08 -0.19 -0.06 1.79 0.04 0.77 1.43 0.49 1.57 0.94 1.72 0.89 -0.36 0.40 1.21 0.14 1.09 0.81 1.51 -0.05 1.08 2.76 1.36 1.56 3.55 1.97 1.77 1.35 1.30 2.30 4.19 2.90 2.41 3.30 3.27 2.21 2.94 4.52 -1.54 1.71 -0.19 0.06 -3.00 0.08 -0.17 -0.18 -5.78 6.62 2.81 2.48 1.00 1.95 3.75 3.07 1.49 1.50 1.78 2.16
Income before tax 9.31 6.89 7.88 5.98 8.96 4.21 7.27 7.40 11.04 1.63 11.29 5.35 14.35 16.44 11.44 26.16 10.78 16.27 1.19 4.13 8.24 -4.12 0.44 -23.91 0.62 2.79 8.37 4.92 9.41 7.91 9.74 9.61 8.37 6.55 5.66 2.55 3.37 3.43 1.86 0.96 -0.64 -0.24 -9.12 5.57 5.84 2.53 8.12 9.12 8.55 5.96 8.96 5.37 13.30 12.45 12.68 9.98 15.40 11.81 12.54 14.89 16.42 11.26 5.39 8.73 9.97 4.87 4.57 5.84 5.73 -0.47 15.47 20.12 15.71 13.39 11.49 14.23 11.47 9.15 10.76 12.39 12.33
Income tax expense 3.56 2.71 2.49 2.33 4.08 3.16 2.88 3.75 3.60 1.10 4.12 2.20 5.58 5.98 4.59 7.92 3.46 4.67 1.51 0.57 2.45 -0.17 -0.10 -5.81 0.65 1.70 2.35 1.76 3.25 2.26 3.70 3.42 2.34 2.62 1.45 0.90 -0.27 1.82 0.43 -0.32 -1.10 -1.18 -1.73 1.46 1.30 2.11 3.69 3.78 4.00 4.14 4.23 3.63 5.07 5.66 5.39 5.87 6.52 5.34 5.51 6.14 7.50 4.41 1.82 4.25 4.40 2.86 1.28 1.94 2.22 2.49 6.99 8.36 6.51 4.76 4.45 5.42 4.03 3.64 4.51 4.87 5.31
Net income 5.68 4.13 5.29 3.60 4.78 0.93 4.29 3.52 7.36 0.47 7.04 3.13 8.71 10.41 6.74 18.04 7.12 11.46 -0.45 3.43 5.66 -4.01 0.49 -18.13 -0.02 0.97 5.88 3.00 6.00 5.59 5.84 6.02 5.90 3.81 4.09 1.55 3.54 1.54 1.38 1.18 0.48 0.94 -7.42 3.99 4.43 0.77 4.46 5.31 4.51 1.78 4.68 1.74 8.18 6.67 7.14 4.06 8.72 6.50 6.98 8.66 8.78 6.79 3.46 4.39 5.48 1.96 3.25 3.82 3.49 -2.81 8.45 11.56 9.08 8.47 6.92 8.67 7.28 5.28 5.94 7.32 6.89
about 2 hours ago
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Balance Sheet - Shell plc (SHEL)

$ (Billion, Million)
Dec-25 Dec-24 Dec-23 Dec-22 Dec-21 Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12 Dec-11 Dec-10 Dec-09 Dec-08 Dec-07 Dec-06
Total cash and short-term investments + 30.22 39.11 43.69 64.11 30.98 18.91 4.56 26.74 20.31 19.13 31.75 21.61 9.70 18.55 11.29 3.08 -0.29 8.99 4.10 5.08
Accounts receivable, net 44.60 31.23 36.46 39.54 34.95 21.97 30.43 27.54 30.72 25.77 22.71 31.57 39.09 52.77 54.96 39.66
Inventories 22.22 23.43 26.02 31.89 25.26 19.46 24.07 21.12 25.22 21.78 15.82 19.70 30.01 30.78 28.98 29.35 27.41 19.34 31.50 23.22
Other current assets 10.14 34.16 32.86 54.26 31.59 18.70 20.13 22.08 19.15 19.90 23.07 26.90 24.54 12.63 79.51 70.10 59.33 82.04 74.24 59.67
Total current assets 107.17 127.93 134.12 165.94 128.77 91.95 92.69 97.48 95.40 86.57 93.36 99.78 103.34 114.73 119.78 112.89 96.46 116.57 115.40 91.89
Total non-current assets + 263.18 259.68 272.16 277.09 275.61 287.31 311.65 301.71 311.69 324.71 246.80 253.34 254.17 235.56 225.48 209.67 195.72 165.83 154.07 143.39
Total assets 370.35 387.61 406.27 443.02 404.38 379.27 404.34 399.19 407.10 411.28 340.16 353.12 357.51 350.29 345.26 322.56 292.18 282.40 269.47 235.28
Total current liabilities + 82.42 95.03 95.47 121.31 95.55 73.71 79.62 77.81 79.77 73.83 70.95 86.21 93.26 96.98 102.66 100.55 84.79 105.53 94.38 76.75
Total non-current liabilities + 112.62 112.41 122.44 129.12 133.51 147.02 134.25 118.85 129.52 148.94 105.09 94.12 83.11 77.13 71.60 72.23 69.26 48.01 49.12 43.58
Total liabilities 195.03 207.44 217.91 250.43 229.05 220.73 213.87 196.66 209.29 222.76 176.04 180.33 176.36 174.11 174.25 172.78 154.05 153.54 143.50 120.33
Total stockholders' equity + 174.39 178.31 186.61 190.47 171.97 155.31 186.48 198.65 194.36 186.65 162.88 171.97 180.05 174.75 169.52 148.01 136.43 127.29 123.96 105.73
Common shares outstanding 2,974 3,182 3,400 3,705 3,903 3,898 4,056 4,174 4,150 3,946 3,197 3,156 3,147 3,134 3,111 3,070 3,064 3,086 3,142 3,220
Show Quarterly Balance Sheet

Balance Sheet - Shell plc (SHEL)

$ (Billion, Million)
Mar-26 Dec-25 Sep-25 Jun-25 Mar-25 Dec-24 Sep-24 Jun-24 Mar-24 Dec-23 Sep-23 Jun-23 Mar-23 Dec-22 Sep-22 Jun-22 Mar-22 Dec-21 Sep-21 Jun-21 Mar-21 Dec-20 Sep-20 Jun-20 Mar-20 Dec-19 Sep-19 Jun-19 Mar-19 Dec-18 Sep-18 Jun-18 Mar-18 Dec-17 Sep-17 Jun-17 Mar-17 Dec-16 Sep-16 Jun-16 Mar-16 Dec-15 Sep-15 Jun-15 Mar-15 Dec-14 Sep-14 Jun-14 Mar-14 Dec-13 Sep-13 Jun-13 Mar-13 Dec-12 Sep-12 Jun-12 Mar-12 Dec-11 Sep-11 Jun-11 Mar-11 Dec-10 Sep-10 Jun-10 Mar-10 Dec-09 Sep-09 Jun-09 Mar-09 Dec-08 Sep-08 Jun-08 Mar-08 Dec-07 Sep-07 Jun-07 Mar-07 Dec-06 Sep-06 Jun-06 Mar-06
Total cash and short-term investments + 23.12 30.22 33.05 32.68 35.60 39.11 42.25 38.15 39.95 38.77 26.80 38.52 42.07 64.11 35.98 32.28 38.36 36.97 38.07 34.10 30.99 18.91 35.71 27.94 21.81 4.56 4.30 18.47 21.47 26.74 19.11 19.47 21.93 20.31 20.70 23.99 19.60 19.13 19.98 15.22 11.02 31.75 31.85 18.46 19.87 21.61 19.03 6.30 11.92 9.70 14.28 12.54 17.61 18.55 18.84 65.66 64.56 11.29 65.99 19.47 16.61 13.44 0.90 2.69 -1.26 -0.29 4.58 0.96 10.39 15.19 1.62 2.78 8.54 9.66 9.05 10.35 6.90 9.00 7.78 8.63 10.03
Accounts receivable, net 53.89 44.60 45.29 45.57 48.25 31.23 46.78 50.62 53.18 36.46 52.08 52.38 61.74 39.54 66.70 66.71 63.48 34.95 46.37 43.69 40.14 21.97 33.03 32.38 36.80 30.43 40.69 43.14 44.52 27.54 51.10 48.65 45.07 30.72 41.34 36.93 39.25 25.77 38.65 40.36 35.58 22.71 36.70 41.84 40.32 31.57 52.06 56.83 56.09 39.09 55.34 54.14 58.16 52.77 70.97 54.96 39.66
Inventories 28.70 22.22 22.91 23.28 22.98 23.43 24.14 26.45 26.47 26.02 30.23 26.98 28.58 31.89 34.72 36.09 30.01 25.26 24.60 25.10 22.68 19.46 17.31 17.73 13.90 24.07 23.24 24.47 23.94 21.12 29.31 27.98 25.01 25.22 24.02 22.32 21.59 21.78 20.56 20.63 17.40 15.82 19.28 22.49 19.97 19.70 27.32 31.36 28.83 30.01 29.82 29.02 31.53 30.78 32.36 28.30 34.16 28.98 30.25 33.96 33.63 29.35 28.92 27.97 28.71 27.41 25.42 24.92 21.40 19.34 33.44 39.62 32.18 31.50 27.91 26.50 23.96 23.22 23.39 24.66 21.60
Other current assets 13.45 10.14 19.92 20.06 19.82 34.16 12.38 13.42 13.49 32.86 15.91 16.03 18.18 54.26 25.92 23.46 20.17 31.59 22.54 8.79 5.75 18.70 6.26 8.16 12.47 20.13 6.84 7.02 6.06 22.08 7.72 7.42 6.03 19.15 5.87 4.81 4.96 19.90 7.90 9.19 17.26 23.07 12.43 9.09 11.38 26.90 7.00 8.39 7.58 24.54 7.22 8.17 8.44 12.63 70.97 71.20 78.80 79.51 78.53 75.49 78.10 70.10 62.77 62.62 62.87 59.33 66.97 72.53 77.12 82.04 90.10 127.24 87.51 74.24 61.64 60.65 59.00 59.67 63.90 62.33 60.80
Total current assets 119.16 107.17 121.18 121.60 126.65 127.93 125.56 128.63 133.09 134.12 141.25 140.49 150.57 165.94 163.32 165.22 152.02 128.77 131.57 111.68 99.56 91.95 92.31 86.20 84.97 92.69 86.19 93.10 95.99 97.48 107.25 103.51 98.05 95.40 91.92 88.05 85.39 86.57 87.10 85.40 81.25 93.36 100.25 100.40 91.53 99.78 105.40 112.01 104.42 103.34 106.66 103.88 115.74 114.73 122.17 116.78 127.99 119.78 128.04 128.91 128.34 112.89 102.97 102.60 100.04 96.46 106.66 108.05 114.48 116.57 131.36 175.86 134.11 115.40 103.63 102.26 94.14 91.89 98.53 98.76 95.17
Total non-current assets + 261.44 263.18 256.56 266.32 262.59 259.68 269.39 266.15 268.95 272.16 272.25 274.55 278.58 277.09 274.04 282.67 272.97 275.61 277.20 286.18 285.84 287.31 286.94 288.90 308.99 311.65 309.59 315.80 315.84 301.71 300.74 303.72 312.67 311.69 321.16 322.73 325.57 324.71 332.55 332.05 335.05 246.80 243.45 255.93 250.30 253.34 254.01 258.71 262.17 254.17 247.95 241.63 241.25 235.56 238.18 229.06 231.32 225.48 219.45 221.91 214.98 209.67 207.68 194.66 197.17 195.72 190.59 183.69 166.84 165.83 170.72 166.82 161.31 154.07 147.95 139.28 146.99 143.39 134.92 131.79 124.87
Total assets 380.60 370.35 377.74 387.92 389.25 387.61 394.95 394.78 402.04 406.27 413.50 415.03 429.15 443.02 437.36 447.90 424.99 404.38 408.77 397.86 385.40 379.27 379.25 375.10 393.96 404.34 395.77 408.89 411.83 399.19 407.99 407.23 410.72 407.10 413.08 410.79 410.95 411.28 419.65 417.44 416.30 340.16 343.70 356.33 341.83 353.12 359.41 370.72 366.59 357.51 354.61 345.51 356.99 350.29 360.35 345.83 359.30 345.26 347.48 350.82 343.33 322.56 310.65 297.26 297.20 292.18 297.25 291.74 281.32 282.40 302.08 342.68 295.42 269.47 251.58 241.54 241.13 235.28 233.44 230.55 220.03
Total current liabilities + 93.47 82.42 89.62 92.02 96.08 95.03 89.63 91.50 93.91 95.47 95.13 96.13 102.68 121.31 118.67 118.68 113.30 95.55 104.23 84.50 76.43 73.71 70.54 69.39 76.24 79.62 75.17 84.32 82.84 77.81 89.75 81.52 81.59 79.77 74.92 71.25 70.78 73.83 74.94 77.47 78.47 70.95 76.67 78.50 79.50 86.21 88.43 94.90 92.38 93.26 93.78 91.27 99.62 96.98 104.23 97.67 108.49 102.66 107.53 108.88 111.44 100.55 92.79 84.43 84.35 84.79 89.14 93.76 100.71 105.53 112.73 150.60 112.90 94.38 82.52 80.86 81.64 76.75 83.57 82.24 80.47
Total non-current liabilities + 112.52 112.62 110.29 112.81 112.50 112.41 115.79 116.10 119.82 122.44 125.42 126.81 130.95 129.12 128.45 134.92 132.16 133.51 137.85 142.11 142.02 147.02 148.37 145.26 134.34 134.25 128.03 128.32 128.73 118.85 116.76 124.47 127.82 129.52 139.63 143.28 147.42 148.94 155.98 147.47 139.83 105.09 104.55 99.83 93.51 94.12 89.99 89.70 91.08 83.11 80.43 76.02 76.13 77.13 70.94 70.09 71.62 71.60 73.75 74.63 72.20 72.23 73.42 73.66 73.11 69.26 69.60 62.86 52.67 48.01 48.98 50.17 49.36 49.12 49.04 46.34 45.98 43.58 39.59 40.08 36.59
Total liabilities 206.00 195.03 199.92 204.83 208.58 207.44 205.41 207.59 213.74 217.91 220.55 222.94 233.62 250.43 247.12 253.60 245.45 229.05 242.09 226.61 218.45 220.73 218.91 214.65 210.58 213.87 203.19 212.64 211.57 196.66 206.50 205.99 209.41 209.29 214.55 214.53 218.20 222.76 230.92 224.94 218.29 176.04 181.22 178.32 173.01 180.33 178.42 184.60 183.46 176.36 174.21 167.29 175.76 174.11 175.17 167.76 180.11 174.25 181.28 183.51 183.64 172.78 166.21 158.09 157.47 154.05 158.74 156.62 153.38 153.54 161.71 200.77 162.26 143.50 131.55 127.20 127.62 120.33 123.15 122.32 117.06
Total stockholders' equity + 173.58 174.39 175.82 181.14 178.81 178.31 187.67 185.41 186.57 186.61 191.20 190.46 193.32 190.47 186.52 190.50 176.00 171.97 163.39 168.00 163.71 155.31 157.17 157.16 179.64 186.48 188.62 192.28 196.33 198.65 197.53 197.32 197.33 194.36 195.03 193.04 190.82 186.65 186.89 190.67 196.52 162.88 161.35 176.79 167.96 171.97 180.00 185.02 182.03 180.05 179.15 176.87 179.81 174.75 183.79 176.64 177.65 169.52 164.60 165.49 157.81 148.01 142.74 137.49 138.01 136.43 136.86 133.51 126.43 127.29 138.47 139.81 131.13 123.96 118.19 112.62 105.11 105.73 101.60 100.21 95.50
Common shares outstanding 2,852 2,900 2,953 3,002 3,182 3,107 3,195 3,209 3,252 3,316 3,368 3,427 3,491 3,564 3,671 3,759 3,831 3,872 3,887 3,918 3,916 3,892 3,912 3,895 3,910 3,981 4,034 4,077 4,105 4,145 4,177 4,188 4,189 4,177 4,162 4,146 4,111 4,085 4,054 4,027 3,615 3,208 3,198 3,192 3,189 3,151 3,167 3,162 3,144 3,138 3,136 3,158 3,157 3,145 3,137 3,137 3,120 3,121 3,124 3,114 3,087 3,066 3,069 3,072 3,066 3,064 3,066 3,065 3,062 3,061 3,085 3,095 3,106 3,131 3,143 3,144 3,153 3,144 3,229 3,242 3,268
about 2 hours ago
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Dec-25 Dec-24 Dec-23 Dec-22 Dec-21 Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12 Dec-11 Dec-10 Dec-09 Dec-08 Dec-07 Dec-06
Operating cash flow + 40.81 54.69 54.19 68.41 45.11 34.11 42.18 53.09 35.65 20.62 29.81 45.04 40.44 46.14 36.77 27.35 21.49 43.92 34.46 31.70
Cash flow from investing + -18.83 -15.16 -17.73 -22.45 -4.76 -13.28 -15.78 -13.66 -8.03 -30.96 -22.41 -19.66 -40.15 -28.45 -20.44 -21.97 -26.23 -19.59 -14.57 -20.86
Cash flow from financing + -31.76 -38.43 -38.24 -41.95 -34.66 -7.22 -35.21 -32.55 -27.09 -0.77 3.81 -12.79 -8.98 -10.63 -18.13 -1.47 -0.83 -8.02 -18.16 -12.45
Change in cash -9.78 1.10 -1.78 4.01 5.68 13.60 -8.81 6.88 0.54 -11.12 11.22 12.60 -8.68 7.06 -1.80 3.91 -5.58 16.31 1.73 -1.61
Show Quarterly Cash Flow
Mar-26 Dec-25 Sep-25 Jun-25 Mar-25 Dec-24 Sep-24 Jun-24 Mar-24 Dec-23 Sep-23 Jun-23 Mar-23 Dec-22 Sep-22 Jun-22 Mar-22 Dec-21 Sep-21 Jun-21 Mar-21 Dec-20 Sep-20 Jun-20 Mar-20 Dec-19 Sep-19 Jun-19 Mar-19 Dec-18 Sep-18 Jun-18 Mar-18 Dec-17 Sep-17 Jun-17 Mar-17 Dec-16 Sep-16 Jun-16 Mar-16 Dec-15 Sep-15 Jun-15 Mar-15 Dec-14 Sep-14 Jun-14 Mar-14 Dec-13 Sep-13 Jun-13 Mar-13 Dec-12 Sep-12 Jun-12 Mar-12 Dec-11 Sep-11 Jun-11 Mar-11 Dec-10 Sep-10 Jun-10 Mar-10 Dec-09 Sep-09 Jun-09 Mar-09 Dec-08 Sep-08 Jun-08 Mar-08 Dec-07 Sep-07 Jun-07 Mar-07 Dec-06 Sep-06 Jun-06 Mar-06
Operating cash flow + 5.38 8.69 11.77 11.94 9.28 13.17 14.68 13.51 13.33 12.57 12.33 15.13 14.16 22.40 12.54 18.66 14.82 8.17 16.03 12.62 8.29 6.29 10.40 2.56 14.85 10.27 12.25 11.03 8.63 22.02 12.09 9.50 9.47 7.28 7.58 11.29 9.51 9.17 8.49 2.29 0.66 5.42 11.23 6.05 7.11 9.61 12.81 8.64 13.98 6.03 10.41 12.44 11.56 9.91 9.48 13.31 13.44 6.47 11.65 10.04 8.62 5.46 9.02 8.10 4.78 6.17 7.35 0.92 7.56 11.29 16.43 4.17 16.86 6.11 9.73 8.59 10.84 6.79 9.76 8.16 7.50
Cash flow from investing + -3.46 -5.66 -2.67 -5.41 -3.96 -4.43 -3.86 -3.34 -3.53 -5.66 -4.83 -4.83 -4.83 -6.92 -5.05 -6.21 -4.27 2.58 -3.80 -2.95 -0.59 -5.41 -2.83 -2.32 -2.72 -4.86 -2.13 -4.17 -4.62 -5.31 -4.08 0.03 -4.25 -0.67 -3.91 0.87 -4.32 -3.43 -5.17 -5.45 -16.92 -6.19 -5.72 -6.06 -4.44 -6.68 -4.33 -0.94 -7.71 -14.45 -8.88 -9.17 -7.64 -8.94 -8.34 -5.86 -5.32 -8.92 -5.59 -4.29 -1.65 -1.00 -10.06 -5.47 -5.44 -0.74 -11.66 -7.74 -6.09 -6.37 -14.47 0.03 -8.11 -5.71 -5.93 1.46 -4.40 -6.23 -4.99 -6.29 -3.34
Cash flow from financing + -8.80 -5.83 -8.58 -10.11 -9.18 -10.89 -7.45 -11.85 -8.25 -11.70 -9.15 -9.00 -8.39 -12.08 -9.71 -11.15 -9.02 -11.76 -7.93 -6.55 -8.42 -5.33 0.17 5.72 -7.78 -3.06 -12.99 -9.87 -9.30 -8.92 -8.36 -11.63 -3.65 -7.08 -7.15 -8.02 -4.84 -6.47 1.36 7.58 -3.24 1.26 -0.21 6.71 -3.95 -0.08 -4.48 -4.18 -4.05 3.86 0.05 -8.36 -4.52 -1.35 0.14 -4.68 -4.74 -5.26 -5.44 -3.06 -4.37 -2.08 -0.16 1.37 -0.60 -10.09 8.56 1.34 -0.64 2.52 -3.13 -5.05 -3.74 -5.00 -4.01 -6.12 -4.26 -2.97 -5.30 -2.35 -3.12
Change in cash -6.88 -2.80 0.52 -3.58 -3.86 -2.16 3.38 -1.68 1.55 -4.79 -1.64 1.30 0.95 3.41 -2.22 1.30 1.52 -1.02 4.29 3.12 -0.72 -4.45 7.74 5.96 4.35 2.35 -2.86 -3.00 -5.29 7.79 -0.35 -2.10 1.58 -0.47 -3.48 4.14 0.34 -0.73 4.68 4.42 -19.50 0.50 5.30 6.70 -1.28 2.85 4.00 3.52 2.22 -4.57 1.58 -5.09 -0.60 -0.37 1.28 2.77 3.38 -7.72 0.62 2.69 2.61 2.38 -1.20 3.99 -1.26 -4.66 4.24 -5.47 0.83 7.44 -1.17 -0.85 5.02 -4.59 -0.21 3.93 2.18 -2.42 -0.53 -0.49 1.04
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