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VERIZON COMMUNICATIONS INC

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 138.19 134.79 133.97 136.84 133.61 128.29 131.87 130.86 126.03 125.98 131.62 127.08 120.55 115.85 110.88 106.57 107.81 97.35 93.47 88.18
Cost of revenue 75.11 71.99 72.51 76.23 72.51 67.92 71.41 72.61 68.51 67.35 68.57 66.46 61.49 62.70 62.37 58.31 58.84 53.47 51.89 49.51
Gross profit 63.08 62.80 61.46 60.60 61.11 60.37 60.46 58.26 57.52 58.63 63.05 60.62 59.06 53.15 48.50 48.25 48.97 43.89 41.58 38.63
Total operating expenses + 33.82 32.20 32.63 30.14 29.14 30.50 29.43 28.25 31.01 32.72 30.24 41.72 27.37 32.15 29.67 29.28 29.49 25.78 24.87 24.42
Operating income 29.26 30.60 28.83 30.47 31.97 29.87 31.03 30.01 26.52 25.91 32.81 18.89 31.69 21.01 18.83 18.97 19.48 18.11 16.71 14.21
Non-operating income (net) -6.59 -7.63 -11.84 -2.20 -2.55 -5.90 -8.30 -10.38 -5.93 -4.92 -4.57 -3.62 -2.41 -11.11 -8.35 -6.29 -5.96 -16.47 -2.17 -2.02
Income before tax 22.67 22.98 16.99 28.27 29.42 23.97 22.73 19.62 20.59 20.99 28.24 15.27 29.28 9.90 10.48 12.68 13.52 1.64 14.55 12.19
Income tax expense 5.06 5.03 4.89 6.52 6.80 5.62 2.95 3.58 -9.96 7.38 9.87 3.31 5.73 -0.66 0.29 2.47 1.21 3.33 3.98 2.67
Net income 17.17 17.51 11.61 21.26 22.07 17.80 19.27 15.53 30.10 13.13 17.88 9.63 11.50 0.88 2.40 2.55 3.65 6.43 5.52 6.20
Show Quarterly Income Statement
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 34.44 36.38 33.82 34.50 33.49 35.68 33.33 32.80 32.98 35.13 33.34 32.60 32.91 35.25 34.24 33.79 33.55 34.07 32.92 33.76 32.87 34.69 31.54 30.45 31.61 34.78 32.89 32.07 32.13 34.28 32.61 32.20 31.77 33.96 31.72 30.55 29.81 32.34 30.94 30.53 32.17 34.25 33.16 32.22 31.98 33.19 31.59 31.48 30.82 31.07 30.28 29.79 29.42 30.05 29.01 28.55 28.24 28.44 27.91 27.54 26.99 26.40 26.48 26.77 26.91 27.09 27.27 26.86 26.59 24.65 24.75 24.12 23.83 23.84 23.77 23.27 22.58 20.15 22.46 21.89 21.23
Cost of revenue 13.67 7.10 17.96 18.52 17.63 20.02 17.70 16.95 17.32 19.70 17.87 17.12 17.82 19.98 18.93 18.74 18.59 19.05 17.49 18.28 17.70 19.02 16.53 15.93 16.45 19.74 17.50 16.95 17.22 19.64 17.71 17.68 17.98 19.63 17.25 16.65 15.73 18.35 16.17 12.22 12.61 14.71 13.31 12.45 12.10 14.40 12.25 12.09 11.19 11.96 10.96 11.03 10.93 13.07 10.99 10.90 11.32 12.09 11.40 11.16 11.23 9.94 10.67 12.22 10.65 12.51 11.00 10.48 10.31 9.98 10.05 9.47 9.52 9.80 9.61 9.23 8.91 8.65 8.93 8.71 8.52
Gross profit 20.77 29.28 15.86 15.98 15.85 15.66 15.63 15.84 15.66 15.43 15.47 15.47 15.09 15.27 15.32 15.05 14.97 15.02 15.43 15.49 15.17 15.67 15.02 14.52 15.16 15.04 15.40 15.12 14.91 14.64 14.90 14.53 13.79 14.32 14.47 13.90 14.09 13.99 14.77 18.31 19.56 19.55 19.85 19.78 19.89 18.79 19.33 19.40 19.63 19.10 19.32 18.75 18.49 16.98 18.02 17.66 16.92 16.35 16.52 16.38 15.76 16.45 15.81 14.56 16.26 14.58 16.27 16.38 16.28 14.67 14.70 14.66 14.32 14.04 14.16 14.04 13.67 11.51 13.53 13.18 12.72
Total operating expenses + 12.53 24.28 7.75 7.81 7.87 8.24 7.79 8.02 8.04 8.99 7.88 8.02 7.51 8.05 7.42 7.50 7.17 7.41 7.12 7.32 7.18 8.62 7.34 7.16 7.39 8.01 6.96 7.27 7.20 7.41 7.09 6.66 6.34 9.16 7.32 6.69 7.03 5.97 8.23 13.76 11.62 9.80 12.32 11.95 11.93 20.93 12.44 11.71 12.47 7.04 12.19 12.20 12.27 20.15 12.53 12.01 11.73 17.46 11.87 11.49 11.31 11.94 12.43 14.15 11.82 13.65 12.28 11.96 11.59 10.84 10.53 10.11 9.98 10.62 9.95 9.89 9.88 9.24 9.99 9.96 9.54
Operating income 8.24 5.00 8.11 8.17 7.98 7.42 7.84 7.82 7.63 6.44 7.59 7.46 7.58 7.23 7.89 7.55 7.80 7.61 8.30 8.17 7.99 7.05 7.68 7.36 7.77 7.03 8.44 7.85 7.71 7.23 7.81 7.87 7.45 5.16 7.15 7.21 7.06 8.02 6.54 4.55 7.94 9.74 7.54 7.82 7.96 -2.14 6.89 7.69 7.16 12.06 7.13 6.56 6.22 -3.17 5.48 5.65 5.20 -1.11 4.65 4.89 4.45 4.51 3.38 0.41 4.44 0.93 3.99 4.42 4.69 3.83 4.17 4.55 4.33 3.42 4.21 4.15 3.80 2.27 3.54 3.22 3.18
Non-operating income (net) -1.46 -1.94 -1.58 -1.56 -1.51 -0.85 -3.54 -1.78 -1.55 -8.26 -1.39 -1.35 -1.08 1.59 -1.37 -0.70 -1.71 -1.46 0.07 -0.34 -0.92 -0.80 -1.83 -1.17 -2.10 -3.32 -1.52 -2.54 -0.92 -5.87 -1.13 -2.34 -1.40 -2.23 -1.64 -0.25 -1.87 -1.07 -0.96 -2.86 -1.18 -1.17 -1.17 -1.19 -1.29 -1.75 -1.23 -1.14 -0.21 -1.30 -0.52 -0.37 -0.50 -1.57 -0.56 -0.57 -0.56 -0.69 -0.55 -0.59 -0.57 -0.41 -0.51 -0.54 -0.50 -0.54 -0.53 -0.65 -0.74 4.11 -0.12 -0.16 -0.34 3.46 -1.55 -1.51 -1.43 2.68 -1.27 -1.35 -1.24
Income before tax 6.78 3.06 6.53 6.61 6.47 6.57 4.30 6.03 6.08 -1.82 6.19 6.11 6.50 8.81 6.52 6.86 6.08 6.14 8.37 7.82 7.08 6.25 5.85 6.19 5.68 3.71 6.92 5.31 6.79 1.37 6.68 5.53 6.05 2.93 5.51 6.97 5.18 6.95 5.58 1.70 6.77 8.58 6.37 6.63 6.67 -3.89 5.66 6.54 6.95 10.76 6.61 6.19 5.72 -4.74 4.92 5.08 4.63 -1.80 4.10 4.31 3.88 4.10 2.88 -0.13 3.94 0.39 3.46 3.77 3.95 7.95 4.05 4.39 3.99 6.88 2.66 2.64 2.37 4.95 2.27 1.87 1.93
Income tax expense 1.64 0.62 1.47 1.49 1.49 1.45 0.89 1.33 1.35 0.76 1.31 1.35 1.48 2.11 1.50 1.54 1.37 1.41 1.82 1.88 1.70 1.54 1.35 1.35 1.39 -1.51 1.59 1.24 1.63 -0.70 1.61 1.28 1.39 -15.85 1.78 2.49 1.63 2.35 1.83 0.86 2.34 3.07 2.20 2.27 2.33 -1.74 1.86 2.22 0.97 2.84 1.03 0.99 0.86 -2.81 0.63 0.79 0.73 -1.59 0.56 0.70 0.62 1.35 0.32 -0.05 1.57 -0.71 0.57 0.61 0.74 0.56 0.85 0.98 0.95 0.76 1.39 0.96 0.88 0.25 0.86 0.75 0.88
Net income 5.05 2.34 4.95 5.00 4.88 5.01 3.31 4.59 4.60 -2.71 4.76 4.65 4.91 6.58 4.90 5.20 4.58 4.61 6.41 5.80 5.25 4.59 4.36 4.70 4.16 5.10 5.19 3.94 5.03 1.94 4.92 4.12 4.55 18.67 3.62 4.36 3.45 4.50 3.62 0.70 4.31 5.39 4.04 4.23 4.22 -2.23 3.70 4.21 3.95 5.07 2.23 2.25 1.95 -4.23 1.59 1.83 1.69 -2.02 1.38 1.61 1.44 2.64 0.88 1.75 0.44 -0.65 1.18 3.16 1.65 1.24 1.67 1.88 1.64 1.07 1.27 0.73 1.50 1.03 1.92 1.61 1.63
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
Total cash and short-term investments + 19.05 4.19 1.80 2.23 2.94 20.93 2.59 2.75 2.08 2.88 4.82 11.15 54.13 3.56 13.95 7.21 2.50 10.29 3.40 5.65
Accounts receivable, net 28.35 26.11 25.09 24.51 23.85 23.92 25.43 25.10 23.49 17.51 13.46 13.99 12.44 12.58 11.78 11.78 12.57 11.70 11.74 10.89
Inventories 2.44 2.25 2.06 2.39 3.06 1.80 1.42 1.34 1.03 1.20 1.25 1.15 1.02 1.08 0.94 1.13 1.43 2.09 1.73 1.51
Other current assets 7.09 7.97 7.61 8.36 6.91 6.71 8.03 5.45 3.31 4.80 2.83 3.20 3.41 4.02 4.27 2.22 5.25 1.99 1.84 4.48
Total current assets 56.92 40.52 36.81 37.86 36.73 54.59 37.47 34.64 29.91 26.40 22.36 29.50 70.99 21.24 30.94 22.35 21.75 26.08 18.70 22.54
Total non-current assets + 347.34 344.19 343.44 341.82 329.87 261.89 254.25 230.19 227.23 217.79 221.82 203.12 203.10 203.99 199.52 197.66 205.16 176.28 168.26 166.27
Total assets 404.26 384.71 380.26 379.68 366.60 316.48 291.73 264.83 257.14 244.18 244.18 232.62 274.10 225.22 230.46 220.01 226.91 202.35 186.96 188.80
Total current liabilities + 62.37 64.77 53.22 50.17 47.16 39.66 44.87 37.93 33.04 30.34 35.05 27.99 27.05 26.96 30.76 30.60 29.14 25.91 24.74 32.28
Total non-current liabilities + 236.15 219.37 233.23 237.05 236.24 207.55 184.02 172.19 179.42 189.81 191.28 190.95 151.63 112.73 113.79 102.50 113.63 97.54 79.35 79.65
Total liabilities 298.52 284.14 286.46 287.22 283.40 247.21 228.89 210.12 212.46 220.15 226.33 218.94 178.68 139.69 144.55 133.09 142.76 123.45 104.09 111.93
Total stockholders' equity + 104.46 99.24 92.43 91.14 81.79 67.84 61.40 53.15 43.10 22.52 16.43 12.30 38.84 33.16 35.97 38.57 41.38 41.71 50.58 48.54
Common shares outstanding 4,231 4,218 4,215 4,204 4,150 4,142 4,140 4,132 4,089 4,086 4,093 3,981 2,874 2,862 2,839 2,833 2,841 2,850 2,902 2,938
Show Quarterly Balance Sheet
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 + 8.37 19.05 7.71 3.46 2.28 4.19 4.99 2.45 2.38 1.80 4.24 4.84 2.29 2.64 2.11 1.88 1.66 2.92 11.04 5.22 10.76 22.76 9.52 7.88 7.05 2.59 3.02 1.95 2.32 2.75 3.45 2.60 2.81 2.08 4.49 4.58 4.31 2.88 6.44 2.86 5.85 4.82 4.18 3.32 4.93 11.15 7.85 6.42 3.54 54.13 57.34 2.41 6.14 3.56 10.31 10.78 6.53 13.95 10.86 6.83 14.73 7.21 5.98 5.23 3.56 2.50 1.69 1.18 4.35 10.29 1.67 2.07 7.44 3.40 1.91 2.36 3.45 5.65 3.44 3.26 3.93
Accounts receivable, net 26.66 28.35 25.92 26.28 27.03 26.11 25.95 25.61 25.32 25.09 23.60 23.19 22.86 24.51 23.67 23.91 23.62 23.85 22.20 21.26 22.51 23.92 22.62 22.67 23.80 25.43 24.71 24.93 24.47 25.10 24.01 23.10 22.60 23.49 21.55 19.77 16.86 17.51 14.83 13.29 12.49 13.46 13.11 13.44 12.70 13.99 13.28 12.97 12.13 12.44 12.11 12.22 11.81 12.58 12.03 11.60 11.23 11.78 11.65 11.48 11.03 11.78 11.97 12.06 11.97 12.57 12.49 12.17 11.99 11.70 11.72 11.58 11.05 11.74 11.51 10.69 10.18 10.89 10.83 10.45 10.62
Inventories 2.32 2.44 2.70 2.14 2.20 2.25 2.52 1.84 2.08 2.06 2.24 1.90 2.38 2.39 3.13 3.65 3.66 3.06 2.30 1.42 1.30 1.80 1.46 1.29 1.63 1.42 1.54 1.17 1.42 1.34 1.27 1.10 1.29 1.03 1.28 1.12 1.19 1.20 1.32 0.93 1.14 1.25 1.32 1.15 1.08 1.15 1.21 1.07 0.88 1.02 1.19 1.04 0.80 1.08 1.22 0.86 1.06 0.94 1.15 1.27 1.25 1.13 1.01 0.99 1.11 1.43 2.55 2.78 2.20 2.09 2.49 2.22 1.67 1.73 1.79 1.79 1.78 1.51 1.65 1.70 1.65
Other current assets 7.38 7.09 7.68 6.97 5.84 7.97 7.18 8.18 8.20 7.61 8.07 7.50 8.25 8.36 10.86 8.09 6.65 6.91 5.84 8.29 5.63 6.71 5.52 5.49 8.23 8.03 5.62 5.27 5.19 5.45 5.33 4.93 5.22 3.31 3.56 3.35 4.79 4.80 3.03 3.76 4.14 2.83 3.16 3.59 4.13 3.20 2.43 2.42 6.72 3.41 3.06 6.30 6.51 4.02 4.10 3.90 4.68 4.27 4.11 2.89 2.92 2.22 2.38 2.79 5.77 5.25 5.29 5.34 3.34 1.99 3.25 2.12 2.29 1.84 1.83 2.19 2.49 4.48 5.70 5.87 2.44
Total current assets 44.72 56.92 44.01 38.85 37.35 40.52 40.64 38.06 37.96 36.81 38.12 37.39 35.72 37.86 39.75 37.50 35.58 36.73 40.28 35.63 39.65 54.59 38.57 37.33 40.71 37.47 34.90 33.31 33.40 34.64 33.15 30.88 31.03 29.91 30.87 28.82 27.16 26.40 25.62 20.84 23.62 22.36 21.77 21.50 22.84 29.50 24.77 22.89 23.27 70.99 73.71 21.96 25.26 21.24 27.66 27.13 23.51 30.94 27.77 22.47 29.92 22.35 21.34 21.06 22.41 21.75 22.02 21.46 21.88 26.08 19.13 18.00 22.45 18.70 17.04 17.03 17.89 22.54 21.62 21.28 18.63
Total non-current assets + 373.16 347.34 344.32 344.44 343.01 344.19 340.52 341.09 342.20 343.44 346.71 342.57 341.99 341.82 335.34 332.65 330.14 329.87 313.18 313.56 305.93 261.89 258.42 255.93 253.80 254.25 249.98 249.80 250.55 230.19 232.41 232.43 233.49 227.23 223.82 224.16 219.57 217.79 213.88 211.03 220.97 221.82 220.31 219.25 212.95 203.12 201.52 201.54 198.29 203.10 202.97 201.39 200.93 203.99 203.42 198.94 199.41 199.52 200.26 201.28 198.19 197.66 199.51 205.19 204.94 205.16 204.38 203.54 204.97 176.28 185.73 182.65 168.85 168.26 168.58 167.73 166.39 166.27 164.06 162.57 164.19
Total assets 417.88 404.26 388.33 383.29 380.36 384.71 381.16 379.15 380.16 380.26 384.83 379.96 377.72 379.68 375.09 370.15 365.72 366.60 353.46 349.19 345.57 316.48 296.99 293.26 294.50 291.73 284.88 283.11 283.95 264.83 265.56 263.30 264.52 257.14 254.68 252.98 246.73 244.18 239.50 231.87 244.59 244.18 242.07 240.75 235.79 232.62 226.29 224.43 221.56 274.10 276.68 223.35 226.19 225.22 231.08 226.07 222.92 230.46 228.03 223.76 228.11 220.01 220.85 226.25 227.35 226.91 226.40 225.00 226.85 202.35 204.86 200.65 191.29 186.96 185.62 184.76 184.28 188.80 185.68 183.84 182.81
Total current liabilities + 69.88 62.37 59.56 60.95 61.07 64.77 61.82 60.81 53.63 53.22 55.68 51.40 47.77 50.17 53.14 49.22 46.59 47.16 41.36 40.08 38.73 39.66 36.19 38.89 41.06 44.87 39.21 38.21 38.61 37.93 34.17 32.33 31.62 33.04 28.93 27.76 26.66 30.34 30.30 34.41 33.31 35.05 34.49 30.65 28.71 27.99 26.89 26.49 25.35 27.05 30.29 29.19 31.49 26.96 28.77 26.35 22.91 30.76 34.64 27.37 32.75 30.60 28.77 31.83 28.06 29.14 27.31 26.37 35.07 25.91 28.28 29.90 24.74 24.74 24.16 24.45 27.91 32.28 35.31 34.34 30.91
Total non-current liabilities + 243.38 236.15 222.42 217.97 217.26 219.37 221.68 220.80 230.80 233.23 230.07 232.05 235.73 237.05 233.17 233.57 233.96 236.24 233.61 234.00 234.16 207.55 194.28 190.26 191.79 184.02 185.35 186.95 187.88 172.19 175.31 177.40 180.56 179.42 197.30 198.46 195.03 189.81 187.22 176.72 191.17 191.28 193.04 197.23 196.32 190.95 181.44 181.92 182.36 151.63 156.12 107.00 107.11 112.73 109.68 109.29 111.59 113.79 105.88 105.67 106.50 102.50 107.46 109.94 114.63 113.63 114.52 115.81 111.23 97.54 89.74 85.23 82.87 79.35 80.54 80.28 78.36 79.65 76.56 76.98 79.75
Total liabilities 313.26 298.52 281.99 278.92 278.33 284.14 283.50 281.61 284.43 286.46 285.74 283.45 283.50 287.22 286.31 282.79 280.54 283.40 274.97 274.08 272.89 247.21 230.46 229.15 232.85 228.89 224.56 225.16 226.49 210.12 209.48 209.73 212.17 212.46 226.23 226.22 221.69 220.15 217.52 211.13 224.48 226.33 227.53 227.88 225.03 218.94 208.33 208.42 207.71 178.68 186.41 136.19 138.60 139.69 138.45 135.64 134.50 144.55 140.52 133.04 139.24 133.09 136.23 141.78 142.70 142.76 141.82 142.18 146.30 123.45 118.02 115.13 107.61 104.09 104.70 104.73 106.27 111.93 111.88 111.32 110.67
Total stockholders' equity + 103.31 104.46 105.04 103.06 100.72 99.24 96.33 96.17 94.33 92.43 97.74 95.19 92.88 91.14 87.47 86.02 83.76 81.79 77.04 73.68 71.23 67.84 65.07 62.70 60.21 61.40 58.92 56.58 55.86 53.15 54.50 52.02 50.78 43.10 26.85 25.19 23.49 22.52 20.46 19.24 18.64 16.43 13.14 11.42 9.34 12.30 16.58 14.90 12.71 38.84 34.99 34.06 33.31 33.16 37.65 37.15 36.67 35.97 39.05 39.35 38.99 38.57 37.92 39.25 40.46 41.38 43.19 42.67 41.85 41.71 50.95 50.89 50.28 50.58 49.69 49.83 48.78 48.54 46.28 44.78 44.77
Common shares outstanding 4,210 4,230 4,233 4,228 4,226 4,222 4,225 4,221 4,219 4,214 4,216 4,213 4,211 4,207 4,204 4,202 4,202 4,169 4,144 4,143 4,142 4,143 4,142 4,141 4,141 4,141 4,140 4,139 4,140 4,141 4,140 4,139 4,107 4,090 4,089 4,087 4,087 4,087 4,086 4,085 4,085 4,083 4,078 4,085 4,121 4,157 4,159 4,153 3,430 2,875 2,874 2,872 2,872 2,862 2,866 2,858 2,849 2,835 2,839 2,838 2,834 2,831 2,830 2,827 2,837 2,841 2,841 2,841 2,841 2,841 2,845 2,851 2,865 2,865 2,900 2,907 2,911 2,911 2,923 2,949 2,963
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 + 37.14 36.91 37.48 37.14 39.54 41.77 35.75 34.34 24.32 21.69 39.03 30.63 38.82 31.49 29.78 33.36 31.39 27.45 26.84 24.11
Cash flow from investing + -16.66 -18.67 -23.43 -28.66 -67.15 -23.51 -17.58 -17.93 -18.46 -10.98 -30.04 -15.86 -14.83 -20.50 -17.25 -15.05 -23.33 -31.58 -16.11 -15.62
Cash flow from financing + -5.61 -17.10 -14.66 -8.53 8.28 1.33 -18.16 -15.38 -6.15 -13.32 -15.11 -57.71 26.45 -21.25 -5.84 -13.65 -16.01 13.59 -11.70 -6.03
Change in cash 14.86 1.14 -0.61 -0.05 -19.34 19.58 0.00 1.03 -0.29 -2.62 -6.13 -42.93 50.44 -10.27 6.69 4.66 -7.95 9.46 -0.97 2.46
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 + 7.98 9.11 11.27 8.98 7.78 10.43 9.91 9.49 7.08 8.68 10.78 9.73 8.29 8.94 10.53 10.84 6.82 8.38 10.72 10.74 9.69 9.30 8.92 14.73 8.82 9.00 10.91 8.76 7.08 8.10 9.81 9.79 6.65 8.08 7.17 7.93 1.38 5.09 4.82 5.41 7.50 10.50 9.52 8.74 10.17 7.47 8.35 7.67 7.14 10.43 11.24 9.62 7.53 6.73 9.49 9.31 5.96 8.27 8.72 7.76 5.04 8.15 8.31 9.72 7.08 8.45 8.98 7.52 6.62 7.54 7.30 7.25 5.39 8.29 6.46 6.48 4.52 5.86 6.71 5.47 6.07
Cash flow from investing + -13.57 -4.98 -4.49 -3.44 -3.75 -5.56 -4.00 -3.87 -5.25 -7.82 -5.41 -4.09 -6.11 -5.34 -8.66 -6.66 -8.00 -10.14 -2.62 -4.75 -49.65 -5.04 -6.35 -5.14 -6.98 -5.42 -3.57 -3.79 -4.80 -4.80 -4.41 -3.44 -5.29 -5.67 -3.73 -5.05 -4.83 -8.44 -5.19 6.09 -3.44 -5.45 -4.43 -7.00 -13.18 -5.43 -4.08 -1.82 -4.53 -4.81 -2.19 -4.24 -3.60 -5.08 -7.84 -3.91 -3.67 -3.84 -3.54 -5.50 -4.38 -4.90 -4.55 -1.95 -3.66 -5.38 -4.67 -4.52 -8.76 -3.70 -5.61 -17.45 -4.82 -5.62 -3.61 -3.69 -3.19 -6.29 -3.84 -3.74 -1.75
Cash flow from financing + -5.28 7.21 -2.55 -4.38 -5.89 -5.62 -4.42 -5.63 -1.43 -3.02 -6.06 -3.20 -2.38 -3.08 -1.62 -4.08 0.25 -5.19 -3.08 -11.41 27.96 9.06 -1.51 -8.80 2.56 -3.86 -6.26 -5.39 -2.66 -2.96 -4.56 -6.55 -1.32 -4.82 -3.50 -2.91 4.58 -0.20 3.98 -14.49 -2.61 -4.46 -4.23 -3.12 -3.21 1.33 -2.83 -2.98 -53.23 -8.80 45.87 -9.07 -1.55 -8.27 -1.93 -1.31 -9.74 -1.39 -1.10 -10.03 6.68 -1.98 -3.16 -6.08 -2.43 -2.27 -3.92 -6.36 -3.46 5.24 -1.30 5.89 3.76 -2.23 -2.79 -3.43 -3.25 1.83 -2.22 -1.81 -3.83
Change in cash -10.87 11.34 4.23 1.16 -1.86 -0.75 1.49 -0.01 0.41 -2.16 -0.69 2.44 -0.20 0.52 0.25 0.10 -0.93 -6.95 5.03 -5.41 -12.00 13.32 1.07 0.79 4.41 -0.29 1.09 -0.42 -0.38 0.34 0.85 -0.21 0.05 -2.41 -0.06 -0.03 1.12 -3.56 3.60 -2.99 1.45 0.60 0.87 -1.38 -6.21 3.38 1.44 2.87 -50.62 -3.18 54.92 -3.69 2.38 -6.62 -0.29 4.09 -7.45 3.04 4.08 -7.77 7.34 1.27 0.60 1.69 1.00 0.79 0.40 -3.36 -5.60 9.09 0.39 -4.32 4.33 0.44 0.06 -0.65 -1.92 1.39 0.66 -0.08 0.49
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