APD Cash Flow Statement


* In Millions (except for per share items) of USD
Period Ending: LTM
(Last Twelve Months)
2023
09-30
2022
09-30
2021
09-30
2020
09-30
2019
09-30
2018
09-30
2017
09-30
2016
09-30
2015
09-30
2014
09-30
2013
09-30
2012
09-30
2011
09-30
2010
09-30
2009
09-30
2008
09-30
2007
09-30
2006
09-30
2005
09-30
2004
09-30
2003
09-30
2002
09-30
2001
09-30
2000
09-30
1999
09-30
1998
09-30
1997
09-30
1996
09-30
1995
09-30
1994
09-30
1993
09-30
1992
09-30
1991
09-30
1990
09-30
1989
09-30
Report Filing: 2023-11-16 2022-11-22 2021-11-18 2020-11-19 2019-11-26 2018-11-20 2017-11-16 2016-11-21 2015-11-24 2014-11-24 2013-11-26 2012-11-20 2011-11-22 2010-11-23 2009-11-25 2008-11-26 2007-11-28 2006-12-13 2005-11-22 2004-12-13 2003-12-12 2002-12-13 2001-12-14 2000-12-18 1999-12-16 1998-12-16 1997-12-11 1996-12-12 1995-12-12 1994-12-08 1994-03-18 1992-09-30 1991-09-30 1990-09-30 1989-09-30
Net Income/Starting Line 2292800000 2243500000 2028800000 1901000000 1760000000 1455600000 1134400000 1099500000 1277900000 987100000 1004200000 999200000 1261500000 1029100000 629200000 909700000 1035600000 723400000 711700000 604100000 397300000 525400000 465600000 124200000 450500000 546800000 429300000 416000000 368000000 247800000 200900000 277000000 248900000 229900000 222100000
Cash From Operating Activities 3206300000 3230200000 3341900000 3264700000 2969900000 2541900000 1567900000 2660700000 2437800000 2187100000 1567400000 1798700000 1753200000 1522400000 1322900000 1679600000 1497400000 1346200000 1375800000 1085900000 1036000000 1063900000 1084000000 1174000000 1088900000 973700000 1033300000 756000000 718000000 751000000 584400000 599200000 619300000 527500000 444800000
Depreciation and Amortization 1358300000 1338200000 1321300000 1185000000 1082800000 970700000 865800000 854600000 936400000 956900000 907000000 840800000 873900000 863400000 840300000 869000000 840000000 763000000 728300000 714900000 640200000 581000000 573000000 575700000 527200000 489400000 459100000 412000000 382000000 352800000 345700000 340200000 319100000 303200000 281200000
Deferred Income Tax -24700000 32300000 94000000 165000000 107000000 185200000 -38000000 61800000 2900000 125500000 12800000 6900000 185700000 110200000 -37000000 36900000 14000000 -2600000 69000000 86200000 26800000 65200000 39000000 -5500000 58800000 62300000 94100000 87000000 66000000 9400000 -200000 20000000 24300000 19700000 15100000
Stock Based Compensation 59900000 48400000 44500000 53500000 41200000 0 39900000 31000000 45700000 44000000 43500000 43800000 44800000 48600000 60400000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Non-Cash Items -55200000 -316400000 -163400000 300000 4200000 157000000 -482200000 592600000 -43900000 320100000 -192300000 -192100000 -408100000 -72200000 -108000000 7800000 70900000 146600000 7400000 -25600000 83000000 -63100000 82600000 618400000 18100000 72700000 79200000 -112000000 -16000000 3200000 46700000 24300000 -5800000 -200000 3100000
Changes in Working Capital -424800000 -115800000 16700000 -40100000 -25300000 -265400000 48000000 21200000 218800000 -246500000 -207800000 100100000 -204600000 -456700000 -62000000 -190000000 -357300000 -152500000 -140600000 -293700000 -111300000 -44600000 -9100000 -138800000 34300000 -159200000 -37300000 -47000000 -79000000 -2400000 -105500000 -47700000 61700000 1400000 -78800000
Accounts Receivable 130700000 -475200000 -130500000 43200000 -69000000 -42800000 -73600000 -44800000 -29700000 -2700000 4800000 -55100000 -103500000 -142500000 159000000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Inventory -129400000 -94300000 -47200000 -5200000 -3000000 -64200000 6400000 32200000 8300000 -23500000 75000000 1300000 -101800000 -65900000 -17700000 60300000 -300000 -103900000 -10300000 -27900000 -53200000 55100000 2600000 -57400000 37000000 -2700000 -13300000 -28000000 -58000000 -35000000 -68900000 -6900000 -37000000 21800000 -67200000
Accounts Payable -307100000 532500000 263400000 52500000 38000000 -149400000 269200000 81600000 244500000 -273200000 -223500000 188500000 -18200000 -293600000 -294700000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Deferred Revenue -119000000 -78800000 -69000000 -130600000 8700000 -9000000 -154000000 -47800000 -4300000 52900000 -64100000 -34600000 18900000 45300000 91400000 -250300000 -357000000 -48600000 -130300000 -265800000 -58100000 -99700000 -11700000 -81400000 -2700000 -156500000 -24000000 -19000000 -21000000 32600000 -36600000 -40800000 98700000 -20400000 -11600000
Other Working Capital 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Cash From Investing Activities -5916400000 -3857200000 -2732900000 -3560000000 -2113400000 -1630500000 2332900000 -1069000000 -1599700000 -1628200000 -1698200000 -1669800000 -1212200000 -1056500000 -1040400000 -919800000 -1483000000 -946700000 -973400000 -762700000 -1046600000 -493600000 -277700000 -1227600000 -1038600000 -684300000 -1102900000 -1079000000 -916000000 -675100000 -608400000 -402700000 -623200000 -549800000 -472800000
Investments in Property Plant and Equipment -4626400000 -2926500000 -2464200000 -2509000000 -1989700000 -1568400000 -1039700000 -907700000 -1614800000 -1684200000 -1524200000 -1521000000 -1351700000 -1030900000 -1179100000 -1085100000 -1055000000 -1261300000 -929500000 -705500000 -612900000 -627600000 -708300000 -767700000 -888900000 -770900000 -870200000 -951000000 -870000000 -611100000 -490600000 -427500000 -506400000 -467500000 -413700000
Payments for Acquisitions -912000000 -1723500000 -86500000 -207700000 -138900000 -345400000 -16300000 44600000 -38800000 2000000 -223600000 -1038800000 -56600000 -42000000 -57200000 -72000000 -539100000 -127000000 -97200000 -84600000 -529600000 -114800000 -59200000 -170400000 -83000000 -182200000 0 -6000000 -47000000 0 0 0 0 0 0
Purchases of Securities -640100000 -1637800000 -2100700000 -2865500000 -172100000 -530300000 -2692600000 0 0 0 0 0 81600000 -69600000 57900000 -2200000 -200000 -22500000 0 0 0 0 0 0 0 0 0 0 -6000000 -41900000 0 -48600000 0 0 0
Proceeds from Sales and Maturities of Securities 897000000 2377400000 1875200000 1938000000 190500000 748200000 2290700000 0 0 0 0 0 94700000 52400000 51000000 442600000 91900000 417000000 0 0 0 0 0 0 0 0 0 0 34000000 0 0 0 0 0 0
Other Investing Activities -634900000 53200000 43300000 84200000 -3200000 65400000 3790800000 -161300000 53900000 54000000 49600000 890000000 19800000 33600000 87000000 -203100000 19400000 47100000 53300000 27400000 95900000 248800000 489800000 -289500000 -66700000 268800000 -232700000 -122000000 -27000000 -22100000 -117800000 73400000 -116800000 -82300000 -59100000
Cash From Financing Activities 1609600000 -1000600000 -1420900000 3284700000 -1370500000 -1359800000 -1971400000 -304300000 -945400000 -661400000 115400000 -78400000 -484500000 -579700000 101500000 -698500000 -14900000 -422600000 -492700000 -256800000 -182700000 -385000000 -832900000 80100000 -51600000 -279900000 43500000 316000000 182000000 -216200000 156800000 -191100000 36300000 41900000 41700000
Debt Repayment -615400000 -400000000 -462900000 -406600000 -428600000 -418700000 -483900000 -480400000 -708700000 -608600000 -437500000 -490600000 -187100000 -511000000 -205600000 -305500000 -611800000 -232500000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 -106300000
Common Stock Issued 24000000 19300000 10600000 34100000 68100000 76200000 68400000 141300000 0 0 1591300000 1034500000 792300000 0 0 87400000 202800000 102900000 137500000 146000000 76500000 103800000 87100000 0 0 0 0 0 0 0 0 0 0 0 5900000
Common Stock Repurchased -24000000 -19300000 -10600000 -34100000 -68100000 0 0 0 0 0 -461600000 -53100000 -649200000 0 0 -793400000 -575200000 -482300000 -500000000 0 0 0 -87200000 0 -24600000 -365000000 -135000000 -100000000 -124000000 -85600000 0 0 0 0 -2500000
Dividends Paid -1496600000 -1383300000 -1256700000 -1103600000 -994000000 0 -787900000 -721200000 -677500000 -627700000 -565600000 -514900000 -456700000 -398700000 -373300000 -349300000 -312000000 -293600000 -276200000 -218900000 -188600000 -175600000 -165200000 -155700000 -146200000 -134000000 -123800000 -117000000 -115000000 -107800000 -101600000 -93300000 -84000000 -76700000 -69300000
Other Financing Activities 3721600000 782700000 298700000 4794900000 52100000 -43300000 -699600000 897300000 440800000 574900000 -11200000 -54300000 16200000 330000000 680400000 662300000 1281300000 482900000 146000000 -183900000 -70600000 -313200000 -667600000 235800000 119200000 219100000 302300000 533000000 421000000 -22800000 258400000 -97800000 120300000 118600000 213900000
Effect of Forex Changes on Cash 6500000 -130300000 27800000 14900000 -28600000 -33900000 13400000 7500000 -22900000 -11300000 11400000 -18600000 -8300000 -100000 700000 1700000 7600000 2500000 -200000 3700000 15800000 2200000 -1300000 6000000 1400000 -500000 -100000 -1000000 3000000 1800000 -11200000 7000000 -2400000 5300000 -400000
Net Change in Cash -1094000000 -1757900000 -784100000 3004300000 -542600000 -482300000 1942800000 1294900000 -130200000 -113800000 -4000000 31900000 48200000 -113900000 384700000 63000000 7100000 -20600000 -90500000 70100000 -177500000 187500000 -27900000 32500000 100000 9000000 -26200000 -8000000 -13000000 -138500000 121600000 12400000 30000000 24900000 13300000
Cash at Beginning of Period 2711000000 4468900000 5253000000 2248700000 2791300000 3273600000 1330800000 206400000 336600000 450400000 454400000 422500000 374300000 488200000 103500000 40500000 35200000 55800000 146300000 76200000 253700000 66200000 94100000 61600000 61500000 52500000 78700000 87000000 100000000 238400000 116800000 104400000 74400000 49500000 36200000
Cash at End of Period 1617000000 2711000000 4468900000 5253000000 2248700000 2791300000 3273600000 1501300000 206400000 336600000 450400000 454400000 422500000 374300000 488200000 103500000 42300000 35200000 55800000 146300000 76200000 253700000 66200000 94100000 61600000 61500000 52500000 79000000 87000000 99900000 238400000 116800000 104400000 74400000 49500000
Free Cash Flow -1420100000 303700000 877700000 755700000 980200000 973500000 528200000 1753000000 823000000 502900000 43200000 277700000 401500000 491500000 143800000 594500000 442400000 84900000 446300000 380400000 423100000 436300000 375700000 406300000 200000000 202800000 163100000 -195000000 -152000000 139900000 93800000 171700000 112900000 60000000 31100000
Operating Cash Flow 3206300000 3230200000 3341900000 3264700000 2969900000 2541900000 1567900000 2660700000 2437800000 2187100000 1567400000 1798700000 1753200000 1522400000 1322900000 1679600000 1497400000 1346200000 1375800000 1085900000 1036000000 1063900000 1084000000 1174000000 1088900000 973700000 1033300000 756000000 718000000 751000000 584400000 599200000 619300000 527500000 444800000
Capital Expenditure -4626400000 -2926500000 -2464200000 -2509000000 -1989700000 -1568400000 -1039700000 -907700000 -1614800000 -1684200000 -1524200000 -1521000000 -1351700000 -1030900000 -1179100000 -1085100000 -1055000000 -1261300000 -929500000 -705500000 -612900000 -627600000 -708300000 -767700000 -888900000 -770900000 -870200000 -951000000 -870000000 -611100000 -490600000 -427500000 -506400000 -467500000 -413700000

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