GE Cash Flow Statement


* In Millions (except for per share items) of USD
Period Ending: LTM
(Last Twelve Months)
2023
12-31
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
1999
12-31
1998
12-31
1997
12-31
1996
12-31
1995
12-31
1994
12-31
1993
12-31
1992
12-31
1991
12-31
1990
12-31
1989
12-31
Report Filing: 2024-02-02 2023-02-10 2022-02-11 2021-02-12 2020-02-24 2019-02-26 2018-02-23 2017-02-24 2016-02-26 2014-12-31 2014-02-27 2013-02-26 2012-02-24 2011-02-25 2010-02-19 2009-02-18 2008-02-20 2007-02-27 2006-03-03 2005-03-01 2004-03-01 2003-03-07 2002-03-08 2001-03-23 2000-03-17 1999-03-25 1998-03-27 1997-03-21 1996-03-20 1995-03-24 1994-03-11 1992-12-31 1991-12-31 1990-12-31 1989-12-31
Net Income/Starting Line 9029000000 -795000000 -6591000000 5546000000 -4912000000 -22443000000 -5786000000 8831000000 -6126000000 15233000000 13057000000 13641000000 14151000000 13158000000 11434000000 18089000000 22468000000 20666000000 18275000000 16593000000 15589000000 15133000000 14128000000 12735000000 10717000000 9296000000 8203000000 7280000000 6573000000 4726000000 5177000000 4725000000 4435000000 4303000000 3939000000
Cash From Operating Activities 5179000000 5916000000 3332000000 3597000000 8772000000 4246000000 10426000000 -244000000 19891000000 27710000000 28579000000 31331000000 33359000000 36123000000 24593000000 48601000000 45967000000 30646000000 37641000000 36484000000 30289000000 29488000000 32195000000 22690000000 24593000000 19360000000 14240000000 17851000000 14946000000 13392000000 10187000000 10249000000 7497000000 9036000000 6623000000
Depreciation and Amortization 2079000000 2902000000 3009000000 6018000000 5595000000 8224000000 5139000000 4997000000 4847000000 9283000000 9762000000 9346000000 9185000000 10013000000 10636000000 11492000000 10278000000 9158000000 8538000000 8385000000 6956000000 5998000000 7089000000 7736000000 6691000000 5860000000 4082000000 3785000000 3594000000 3207000000 3261000000 2818000000 2832000000 2508000000 2256000000
Deferred Income Tax 1162000000 -3000000 -286000000 -474000000 726000000 583000000 -4845000000 814000000 383000000 -1186000000 -3295000000 -1171000000 -203000000 1046000000 -2705000000 -1284000000 623000000 1950000000 -1121000000 -1702000000 1127000000 2414000000 1426000000 1153000000 1502000000 1143000000 284000000 1145000000 1047000000 1228000000 461000000 707000000 866000000 183000000 281000000
Stock Based Compensation -9130000000 322000000 6510000000 5047000000 539000000 23015000000 -968000000 -6343000000 8034000000 4188000000 4360000000 3970000000 4841000000 7522000000 -131000000 8278000000 7528000000 1466000000 7695000000 3888000000 3752000000 3087000000 2481000000 2045000000 1671000000 0 0 0 0 2824000000 -677000000 321000000 0 2422000000 141000000
Other Non-Cash Items 401000000 1898000000 1592000000 -13166000000 6372000000 -5406000000 13601000000 -11702000000 14656000000 3187000000 4295000000 8937000000 7178000000 4540000000 -216000000 11020000000 657000000 530000000 2410000000 770000000 1244000000 -1267000000 -5511000000 -1806000000 -1801000000 -2984000000 -1483000000 2434000000 458000000 -2399000000 -4407000000 -2111000000 -2131000000 91000000 -230000000
Changes in Working Capital 1638000000 1592000000 -902000000 626000000 452000000 273000000 3285000000 3159000000 -1903000000 -2995000000 400000000 -3392000000 -1793000000 -156000000 5575000000 1006000000 4413000000 -3124000000 1844000000 8550000000 1621000000 4123000000 12582000000 827000000 5813000000 6045000000 3154000000 3207000000 3274000000 3806000000 6372000000 3789000000 1495000000 -471000000 236000000
Accounts Receivable -833000000 -2719000000 -177000000 -1319000000 -2851000000 -430000000 1551000000 1514000000 -52000000 -1913000000 -485000000 -774000000 -466000000 -126000000 3273000000 -24000000 980000000 -2152000000 -360000000 -849000000 534000000 -409000000 197000000 -537000000 0 0 0 0 0 0 0 0 0 0 0
Inventory -1524000000 -1925000000 -702000000 1105000000 -1109000000 -902000000 747000000 -1389000000 -314000000 -872000000 -1368000000 -1274000000 -1168000000 342000000 1101000000 -719000000 -1494000000 -1779000000 -578000000 -468000000 874000000 -87000000 -485000000 -924000000 266000000 150000000 -386000000 -76000000 55000000 -56000000 750000000 820000000 404000000 26000000 -167000000
Accounts Payable 1062000000 2793000000 1029000000 1056000000 2977000000 2199000000 -335000000 1198000000 -541000000 305000000 360000000 -424000000 1235000000 805000000 -480000000 -1078000000 469000000 -119000000 1238000000 5370000000 802000000 227000000 4676000000 3297000000 0 0 0 0 0 0 0 0 0 0 0
Deferred Revenue 2933000000 3443000000 -1052000000 -216000000 1435000000 -594000000 1322000000 1836000000 -996000000 -515000000 1893000000 -920000000 -1394000000 -1177000000 1681000000 2827000000 4458000000 926000000 1544000000 4497000000 -589000000 4392000000 8194000000 -1009000000 5547000000 5895000000 3540000000 3283000000 3219000000 3862000000 5622000000 2969000000 1091000000 -497000000 403000000
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 3977000000 2270000000 21308000000 16642000000 8939000000 18239000000 2322000000 49202000000 59488000000 -5030000000 29117000000 11302000000 19882000000 32436000000 42997000000 -40901000000 -72424000000 -51402000000 -35049000000 -38414000000 -22903000000 -61949000000 -40114000000 -37699000000 -42179000000 -40133000000 -18275000000 -20212000000 -25217000000 -16411000000 -15591000000 -13553000000 -16361000000 -15909000000 -13089000000
Investments in Property Plant and Equipment -1595000000 -1174000000 -1361000000 -3403000000 -6095000000 -8056000000 -7920000000 -7199000000 -7309000000 -13727000000 -13458000000 -15126000000 -12650000000 -9800000000 -8634000000 -16010000000 -17870000000 -16650000000 -14441000000 -13118000000 -9767000000 -13351000000 -15520000000 -13967000000 -27156000000 -8982000000 -8388000000 -7760000000 -6447000000 -7492000000 -4739000000 -4824000000 -5000000000 -4523000000 -7334000000
Payments for Acquisitions 8639000000 4702000000 2596000000 20928000000 4615000000 8794000000 -2859000000 3086000000 -9744000000 311000000 18381000000 2162000000 -2325000000 1850000000 3848000000 -17701000000 -2895000000 1240000000 -11498000000 -18703000000 -14407000000 -21570000000 -12429000000 -2332000000 0 0 0 0 0 0 0 0 0 0 0
Purchases of Securities -986000000 -876000000 -1290000000 -1352000000 -1616000000 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 -4164000000 0 0 0 0
Proceeds from Sales and Maturities of Securities 986000000 0 1290000000 1352000000 1616000000 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
Other Investing Activities -3067000000 -382000000 20073000000 -883000000 10419000000 17501000000 13101000000 53315000000 76541000000 8386000000 24194000000 24266000000 34857000000 40386000000 47783000000 -7190000000 -51659000000 -35992000000 -9110000000 -6593000000 1271000000 -27028000000 -12165000000 -21400000000 -15023000000 -31151000000 -9887000000 -12452000000 -18770000000 -8919000000 -6688000000 -8729000000 -11361000000 -11386000000 -5755000000
Cash From Financing Activities -8613000000 -5585000000 -45177000000 -19852000000 -16133000000 -31033000000 -19146000000 -89131000000 -76054000000 -16958000000 -45573000000 -51074000000 -46863000000 -61586000000 -43513000000 24636000000 28212000000 23230000000 -6119000000 4594000000 -3632000000 32938000000 8806000000 14650000000 21823000000 19229000000 5705000000 3729000000 10503000000 2554000000 5493000000 4462000000 8860000000 6590000000 6268000000
Debt Repayment -3360000000 -11202000000 -36521000000 -29876000000 -16567000000 -21166000000 -25622000000 -58768000000 -47038000000 -53380000000 -61461000000 -103942000000 -85706000000 -100154000000 -85178000000 -91699000000 0 0 0 0 0 0 0 0 0 0 0 0 0 -7357000000 -8079000000 0 0 0 0
Common Stock Issued 1956000000 0 107000000 28000000 0 0 0 0 -17015000000 2842000000 0 0 55046000000 50901000000 623000000 12006000000 0 0 0 0 0 0 0 0 0 0 0 0 0 771000000 406000000 425000000 410000000 708000000 509000000
Common Stock Repurchased -7028000000 -1048000000 -107000000 -28000000 0 0 0 0 -1099000000 -1218000000 0 0 -3300000000 -1263000000 57218000000 -1249000000 -12319000000 0 0 0 0 0 0 0 -1002000000 -2819000000 -2815000000 -2323000000 -2523000000 -1124000000 -770000000 -1206000000 -1112000000 -2485000000 -490000000
Dividends Paid -589000000 -639000000 -575000000 -648000000 -649000000 -4474000000 -8650000000 -8806000000 -9295000000 -8851000000 -7821000000 -7189000000 -6458000000 -4790000000 -8986000000 -12408000000 -11492000000 -10420000000 -9352000000 -8278000000 -7643000000 -7157000000 -6358000000 -5401000000 -4587000000 -3913000000 -3411000000 -3050000000 -2770000000 -2462000000 -2153000000 -1925000000 -1780000000 -1678000000 -1479000000
Other Financing Activities 408000000 7304000000 -8081000000 10672000000 1083000000 -5393000000 15126000000 -21557000000 -1607000000 43649000000 23709000000 60057000000 -6445000000 -6280000000 -7190000000 117986000000 52023000000 33650000000 3233000000 12872000000 4011000000 40095000000 15164000000 20051000000 27412000000 25961000000 11931000000 9102000000 15796000000 12726000000 16089000000 7168000000 11342000000 10045000000 7728000000
Effect of Forex Changes on Cash 120000000 -369000000 -213000000 145000000 -50000000 -628000000 891000000 -1146000000 -3464000000 -3492000000 -795000000 1278000000 -841000000 -333000000 0 0 0 0 0 0 0 0 0 0 0 0 0 2361000000 0 0 5404000000 3304000000 8864000000 6873000000 6466000000
Net Change in Cash -732000000 -395000000 -21485000000 531000000 891000000 -9704000000 -6259000000 -42750000000 -20534000000 2097000000 11096000000 -7266000000 5416000000 6640000000 24077000000 32336000000 1755000000 2474000000 -3527000000 2664000000 3754000000 477000000 887000000 -359000000 4237000000 -1544000000 1670000000 3729000000 232000000 -465000000 5493000000 4462000000 8860000000 6590000000 6268000000
Cash at Beginning of Period 19092000000 16859000000 37608000000 37077000000 35548000000 44724000000 49558000000 90879000000 91017000000 88787000000 77459000000 84622000000 79085000000 72444000000 48367000000 16031000000 14276000000 11801000000 15328000000 12664000000 8910000000 8433000000 8195000000 8554000000 4317000000 5861000000 4191000000 2823000000 2591000000 3056000000 3129000000 1971000000 1975000000 2258000000 2456000000
Cash at End of Period 18360000000 16464000000 16123000000 37608000000 36439000000 35020000000 43299000000 48129000000 70483000000 90884000000 88555000000 77356000000 84501000000 79084000000 72444000000 48367000000 16031000000 14275000000 11801000000 15328000000 12664000000 8910000000 9082000000 8195000000 8554000000 4317000000 5861000000 6552000000 2823000000 2591000000 8622000000 6433000000 10835000000 8848000000 8724000000
Free Cash Flow 3584000000 4742000000 1971000000 194000000 2677000000 -3810000000 2506000000 -7443000000 12582000000 13983000000 15121000000 16205000000 20709000000 26323000000 15959000000 32591000000 28097000000 13996000000 23200000000 23366000000 20522000000 16137000000 16675000000 8723000000 -2563000000 10378000000 5852000000 10091000000 8499000000 5900000000 5448000000 5425000000 2497000000 4513000000 -711000000
Operating Cash Flow 5179000000 5916000000 3332000000 3597000000 8772000000 4246000000 10426000000 -244000000 19891000000 27710000000 28579000000 31331000000 33359000000 36123000000 24593000000 48601000000 45967000000 30646000000 37641000000 36484000000 30289000000 29488000000 32195000000 22690000000 24593000000 19360000000 14240000000 17851000000 14946000000 13392000000 10187000000 10249000000 7497000000 9036000000 6623000000
Capital Expenditure -1595000000 -1174000000 -1361000000 -3403000000 -6095000000 -8056000000 -7920000000 -7199000000 -7309000000 -13727000000 -13458000000 -15126000000 -12650000000 -9800000000 -8634000000 -16010000000 -17870000000 -16650000000 -14441000000 -13118000000 -9767000000 -13351000000 -15520000000 -13967000000 -27156000000 -8982000000 -8388000000 -7760000000 -6447000000 -7492000000 -4739000000 -4824000000 -5000000000 -4523000000 -7334000000

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