CS Cash Flow Statement


* In Millions (except for per share items) of CHF
Period Ending: LTM
(Last Twelve Months)
2022
12-31
2021
12-31
2020
12-31
2019
12-31
2018
12-31
2017
12-31
2016
12-31
2015
12-31
2014
12-31
2013
12-31
2012
12-31
2011
12-31
2010
12-31
2009
12-31
2008
12-31
2007
12-31
2006
12-31
2005
12-31
2004
12-31
2003
12-31
2002
12-31
2001
12-31
2000
12-31
Report Filing: 2023-03-14 2022-03-10 2021-03-18 2020-03-30 2019-03-22 2018-03-23 2017-03-24 2016-03-24 2015-03-20 2014-04-03 2013-03-22 2012-03-23 2011-03-25 2010-03-26 2009-03-24 2008-03-20 2007-03-26 2006-03-31 2005-03-30 2004-06-28 2003-03-27 2002-05-15 2000-12-31
Net Income/Starting Line -7306000000 -1626000000 2666000000 3425000000 2011000000 -948000000 -2707000000 -2945000000 2324000000 2965000000 1685000000 2790000000 5920000000 6724000000 -8218000000 7760000000 11327000000 5890941000 5620507200 769518360 -3311918920 1592684580 5795686400
Cash From Operating Activities 13820000000 36938000000 -6514000000 -18424000000 12760000000 -8542000000 26775000000 15068000000 -17620000000 22074000000 -12674000000 38630000000 8228000000 -14186000000 129871000000 -57893000000 -48545000000 -21027222000 -47261491200 -11289986760 57545282370 4385701380 -50204486600
Depreciation and Amortization 1737000000 3041000000 1356000000 1275000000 936000000 894000000 937000000 4889000000 1285000000 1345000000 1294000000 1196000000 1166000000 1114000000 1174000000 894000000 1029000000 1539573000 2022790000 4811658280 3419735980 3762260130 1293680000
Deferred Income Tax 3810000000 225000000 434000000 589000000 800000000 2238000000 -193000000 32000000 684000000 695000000 -226000000 196000000 1224000000 875000000 -4935000000 -1076000000 646000000 -399051000 -72934400 -1543993360 30409940 0 -279758300
Stock Based Compensation 779000000 922000000 -6155000000 -27647000000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Non-Cash Items 20824000000 32290000000 2206000000 7741000000 19854000000 6802000000 20382000000 24502000000 -4099000000 13979000000 -9514000000 36337000000 -8495000000 -9095000000 112430000000 -62142000000 -28315000000 -3314889000 -47026733600 61079435560 63776555530 2867829750 -1190185600
Changes in Working Capital -6024000000 2086000000 -7021000000 -3807000000 -10841000000 -17528000000 8356000000 -11410000000 -17814000000 3090000000 -5913000000 -1889000000 8413000000 -13804000000 29420000000 -3329000000 -33232000000 -24743796000 -7805120400 -76406605600 -6369500160 -3837073080 -55823909100
Accounts Receivable 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 -64327000000 -61793000000 0 0 0 0 0 0
Inventory 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Accounts Payable 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Deferred Revenue 0 0 0 0 0 0 0 0 0 0 0 0 0 0 29420000000 60998000000 28561000000 0 0 0 0 -3837073080 0
Other Working Capital -6024000000 2086000000 -7021000000 -3807000000 -10841000000 -17528000000 8356000000 -11410000000 -17814000000 3090000000 -5913000000 -1889000000 8413000000 -13804000000 0 0 0 -24743796000 -7805120400 -76406605600 -6369500160 0 -55823909100
Cash From Investing Activities 55542000000 -10082000000 16674000000 -1326000000 -7392000000 10814000000 -7953000000 34661000000 -10339000000 11519000000 42955000000 -25972000000 -21449000000 62071000000 5825000000 -28483000000 -16046000000 -80238225000 -40659788400 -37964144920 -110381170850 -20869488030 -152785225100
Investments in Property Plant and Equipment -1438000000 -1419000000 -1188000000 -1293000000 -1095000000 -1068000000 -1164000000 -1102000000 -1056000000 -903000000 -1242000000 -1739000000 -1689000000 -1387000000 -1473000000 -1550000000 -1530000000 -1085208000 -992591600 -882281920 -1678075780 -134663310 -3879422900
Payments for Acquisitions -286000000 -2049000000 -210000000 -285000000 -547000000 -1094000000 -1403000000 -594000000 -1264000000 -1792000000 -2039000000 -1782000000 -1674000000 -1907000000 -3859000000 -7626000000 -6209000000 1085208000 992591600 882281920 1678075780 0 -14870851600
Purchases of Securities -1230000000 -630000000 -402000000 -557000000 -683000000 -86000000 -88000000 -376000000 -1060000000 -677000000 -480000000 -1542000000 -2752000000 -2189000000 -1727000000 -928000000 -2980000000 -119590185000 -52887696400 -135157659520 -133928140300 -11838733710 -60932328000
Proceeds from Sales and Maturities of Securities 783000000 800000000 1491000000 2171000000 2880000000 2406000000 2114000000 2865000000 2823000000 4745000000 5666000000 11364000000 7203000000 7059000000 5397000000 8962000000 8391000000 59185980000 57483703200 102003933720 178833945790 0 55097831200
Other Investing Activities 57713000000 -6784000000 16983000000 -1362000000 -7947000000 10656000000 -7412000000 33868000000 -9782000000 10146000000 41050000000 -32273000000 -22537000000 60495000000 7487000000 -27341000000 -13718000000 -19834020000 -45255795200 -4810419120 -155286976340 -8896091010 -128200453800
Cash From Financing Activities -163883000000 -47000000 29740000000 22189000000 -15146000000 -12791000000 8767000000 -36168000000 33286000000 -24421000000 -77860000000 33056000000 33028000000 -84909000000 -82030000000 97135000000 59063000000 99259656000 91280820400 48195889040 52386650730 26137982220 202785957100
Debt Repayment -49644000000 -52965000000 -42768000000 -46290000000 -43851000000 -62554000000 -47132000000 -49365000000 -36471000000 -55135000000 -55936000000 -37127000000 -51390000000 -72472000000 -86569000000 -65306000000 -51295000000 -35880348000 -16983458800 -26239213000 -26827096160 -23587691880 -12341707200
Common Stock Issued 3924000000 20858000000 12364000000 9624000000 11693000000 16287000000 16892000000 24787000000 9691000000 10740000000 10285000000 12980000000 24758000000 17674000000 29111000000 36338000000 17333000000 0 0 0 0 0 0
Common Stock Repurchased -229000000 -21915000000 -13253000000 -11536000000 -12441000000 -12757000000 -16197000000 -19761000000 -10197000000 -10202000000 -8859000000 -11790000000 -26846000000 -19019000000 -25032000000 -41879000000 -23461000000 0 0 0 0 0 0
Dividends Paid -280000000 -257000000 -716000000 -696000000 -666000000 -590000000 -493000000 -427000000 -1252000000 -564000000 -1296000000 -1948000000 -2800000000 -375000000 -2946000000 -2512000000 -2346000000 -1797705000 -608546400 -272615200 -2550288150 -176226060 -1990650100
Other Financing Activities -117654000000 54232000000 74113000000 71087000000 30119000000 46823000000 55697000000 8598000000 71515000000 30740000000 -22054000000 70941000000 89306000000 -10717000000 3406000000 170494000000 118832000000 136937709000 108872825600 74707717240 81764035040 49901900160 217118314400
Effect of Forex Changes on Cash -1819000000 -1103000000 -2667000000 -607000000 10000000 -827000000 1244000000 -582000000 5790000000 -1216000000 -1231000000 -633000000 -6155000000 -1154000000 -2072000000 -1340000000 -515000000 3937830000 -2511678400 -2602236000 -92612090 -1662510 -11319700
Net Change in Cash -96340000000 25706000000 37233000000 1832000000 -9768000000 -11346000000 28833000000 12979000000 10657000000 6929000000 -48810000000 45106000000 13610000000 -38178000000 51576000000 9419000000 1463000000 1933356000 847862400 -3660478640 -541849840 9652533060 -213457200
Cash at Beginning of Period 164818000000 139112000000 101879000000 100047000000 109815000000 121161000000 92328000000 79349000000 68692000000 61763000000 110573000000 65467000000 51857000000 90035000000 38459000000 29040000000 27577000000 25709157000 24764647600 28443678640 3094902530 -6550289400 3146876600
Cash at End of Period 68478000000 164818000000 139112000000 101879000000 100047000000 109815000000 121161000000 92328000000 79349000000 68692000000 61763000000 110573000000 65467000000 51857000000 90035000000 38459000000 29040000000 27642513000 25612510000 24783200000 2553052690 3102243660 2933419400
Free Cash Flow 12382000000 35519000000 -7702000000 -19717000000 11665000000 -9610000000 25611000000 13966000000 -18676000000 21171000000 -13916000000 36891000000 6539000000 -15573000000 128398000000 -59443000000 -50075000000 -22112430000 -48254082800 -12172268680 55867206590 4251038070 -54083909500
Operating Cash Flow 13820000000 36938000000 -6514000000 -18424000000 12760000000 -8542000000 26775000000 15068000000 -17620000000 22074000000 -12674000000 38630000000 8228000000 -14186000000 129871000000 -57893000000 -48545000000 -21027222000 -47261491200 -11289986760 57545282370 4385701380 -50204486600
Capital Expenditure -1438000000 -1419000000 -1188000000 -1293000000 -1095000000 -1068000000 -1164000000 -1102000000 -1056000000 -903000000 -1242000000 -1739000000 -1689000000 -1387000000 -1473000000 -1550000000 -1530000000 -1085208000 -992591600 -882281920 -1678075780 -134663310 -3879422900

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