OKE 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
08-31
1997
08-31
1996
08-31
1995
08-31
1994
08-31
Report Filing: 2024-02-27 2023-02-28 2022-03-01 2021-02-23 2020-02-25 2019-02-26 2018-02-27 2017-02-28 2016-02-23 2015-02-25 2014-02-25 2013-02-26 2012-02-21 2010-12-31 2010-02-23 2009-02-25 2008-02-27 2007-03-01 2006-03-13 2005-03-08 2004-03-03 2003-03-10 2002-03-14 2001-03-26 1999-12-31 1998-09-22 1997-08-31 1996-08-31 1995-08-31 1994-08-31
Net Income/Starting Line 2659000000 1722221000 1499706000 612809000 1278577000 1155032000 593519000 743499000 379195000 663108000 576961000 730013000 759744000 541330000 491204000 311909000 304921000 306312000 546545000 242178000 214292000 155976000 101565000 143492000 35344000 101795000 59300000 52800000 42800000 36200000
Cash From Operating Activities 4471000000 2905955000 2546272000 1899068000 1946779000 2186719000 1315412000 1351614000 1006980000 1285610000 1294767000 990943000 1359972000 834042000 1452694000 475677000 1029660000 873390000 -179659000 204809000 4082000 812281000 405351000 -95187000 -7032000 346526000 152100000 105100000 109500000 80300000
Depreciation and Amortization 769000000 626132000 621701000 578662000 476535000 428557000 406335000 391585000 354620000 306038000 384377000 335852000 312288000 307317000 288991000 243927000 227964000 235543000 183394000 188725000 160861000 149964000 158420000 143983000 43227000 101653000 0 0 0 0
Deferred Income Tax 829000000 463419000 472057000 186730000 372729000 361010000 437917000 211638000 137737000 156728000 151515000 229398000 256688000 142303000 198713000 165191000 65017000 115384000 16372000 91238000 111788000 165723000 134933000 26143000 28317000 -7623000 -3000000 -2000000 -15300000 10000000
Stock Based Compensation 63000000 53000000 54000000 29400000 37147000 0 26262000 40563000 16435000 26226000 46194000 36692000 66371000 24372000 23148000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Non-Cash Items 19000000 37988000 94091000 35327000 -54313000 4051000 43982000 6782000 267965000 75205000 126359000 15271000 2652000 -20406000 -27803000 239157000 205347000 142708000 -340357000 322000 21103000 140717000 188000 51141000 40831000 84432000 74800000 67400000 51900000 54400000
Changes in Working Capital 358000000 3395000 -141773000 -160501000 -163896000 206405000 -192603000 -42453000 -148972000 58305000 9361000 -356283000 -37771000 -160874000 478441000 -515298000 209912000 56944000 -597455000 -331984000 -510251000 349865000 -57842000 -315963000 -111524000 167922000 21000000 -13100000 30100000 -20300000
Accounts Receivable 107000000 -87274000 -610531000 -1297000 -19688000 383993000 -330521000 -285806000 157051000 381513000 -189809000 -14774000 -55861000 92469000 -181426000 433859000 474224000 717861000 -536141000 -468438000 -157824000 -238867987000 853828000 0 0 0 0 0 0 0
Inventory 118000000 -62149000 -105038000 77116000 -8259000 38456000 -202259000 -11950000 6050000 160860000 99937000 33343000 65845000 -164722000 266674000 -370662000 88860000 -14107000 -320632000 -96510000 -428408000 27334000 -11906000 -41669000 0 1232000 13200000 -9400000 12300000 -1500000
Accounts Payable -62000000 -26106000 622425000 -80257000 -62946000 -320132000 261305000 287632000 -205143000 -417993000 165076000 -30981000 102621000 -43883000 154039000 -340584000 -499996000 -499996000 518406000 322387000 100961000 239167000000 -701153000 0 0 0 0 0 0 0
Deferred Revenue 195000000 178924000 -48629000 -156063000 -73003000 104088000 78872000 -32329000 -106930000 -66075000 -65843000 -343871000 -150376000 -44738000 239154000 -237911000 146824000 -146814000 -259088000 -89423000 -24980000 23518000 -198611000 -274294000 -111524000 166690000 7800000 -3700000 17800000 -18800000
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
Cash From Investing Activities -6454000000 -1139236000 -665292000 -2270529000 -3768758000 -2114888000 -567633000 -615445000 -1190719000 -2566223000 -2642031000 -1814199000 -1371626000 -134356000 -787794000 -1454301000 -1151784000 -237351000 -533413000 -422395000 -622823000 -75215000 -341052000 -745580000 -91171000 -299714000 -88800000 -72000000 -63300000 -68400000
Investments in Property Plant and Equipment -1595000000 -1202057000 -696854000 -2195381000 -3848349000 -2141475000 -512393000 -624634000 -1188312000 -1779150000 -2256585000 -1866153000 -1336067000 -582748000 -791245000 -1473136000 -883703000 -376306000 -250493000 -264110000 -215148000 -210652000 -341567000 -311403000 -92165000 -301515000 -90500000 -89600000 -81000000 -73900000
Payments for Acquisitions -5015000000 -3000000 -1000000 0 -4028000 -1748000 -87861000 -68275000 -27540000 -815997000 -430197000 -30768000 -64491000 -1331000 0 2450000 -299560000 -149006000 -1327907000 -176709000 -690302000 -4036000 -16015000 -494904000 0 -24421000 0 0 0 0
Purchases of Securities -207000000 0 0 0 -4027999 -1748000 -87861000 -68275000 -27540000 0 0 0 0 0 -12031000 0 4022000 -59772000 -23864000 0 0 102390000 7911000 0 0 0 0 0 0 0
Proceeds from Sales and Maturities of Securities 0 0 0 0 4027999 0 0 0 33915000 0 0 0 23644000 17847000 4500000 0 31125000 1334000 556434000 0 0 57461000 7425000 0 0 0 0 0 10900000 0
Other Investing Activities 363000000 65821000 32562000 -75148000 83619000 28335000 32621000 77464000 25133000 28924000 44751000 82722000 5288000 431876000 10982000 16385000 -3668000 346399000 512417000 18424000 282627000 -20378000 1194000 60727000 994000 26222000 1700000 17600000 6800000 5500000
Cash From Financing Activities 2101000000 -1692883000 -2259085000 874999000 1830962000 -97049000 -959461000 -584792000 108589000 1304499000 912959000 1332062000 55432000 -698051000 -1145559000 1469577000 72961000 -618776000 711529000 214872000 557391000 -691773000 -36319000 840944000 93873000 -61103000 -49400000 -45000000 -38300000 -17000000
Debt Repayment -3927000000 -895814000 -604894000 -1457222000 -1057348000 -932650000 -994776000 -1108040000 -7753000 -557679000 -260576000 -386276000 -442435000 -262715000 -1507105000 -1651360000 -781158000 -389031000 -1060004000 -42636000 0 0 0 0 0 0 -19200000 0 0 0
Common Stock Issued 0 32442000 32791000 969759000 29040000 1203981000 471358000 21971000 396329000 1132289000 604531000 475556000 17906000 343613000 258959000 163464000 20730000 10829000 16372000 189777000 237028000 3673000 10661000 0 0 6257000 7400000 0 0 0
Common Stock Repurchased 0 0 0 3024777000 4405435000 1181100000 694892000 1563937000 782550000 1690828000 1247822000 -150000000 -300108000 -7000 -254000 -29000 -390213000 -281444000 -228149000 -823000 -350000000 0 0 -453000 -39610000 0 -9500000 0 0 0
Dividends Paid -1839000000 -1672000000 -1667000000 -1605366000 -1457628000 0 -829414000 -517601000 -509197000 -443817000 -304742000 -261969000 -227020000 -193542000 -172774000 -162785000 -150188000 -135451000 -110157000 -89229000 -70963000 -74301000 -73841000 -70475000 -28060000 -54803000 -28000000 -27900000 -30500000 -30000000
Other Financing Activities 7867000000 842071000 -19551000 -56949000 -88537000 -214422000 -301521000 -545059000 -553340000 -517122000 -374076000 1654751000 1007089000 -585400000 275615000 3120287000 1373790000 176321000 2093467000 157783000 741326000 -621145000 26861000 911872000 161543000 -12557000 -100000 -17100000 -7800000 13000000
Effect of Forex Changes on Cash -227000 0 0 0 0 0 0 -121000 -43000 3361000 0 8859000 -8166000 0 0 0 0 43090000 0 0 0 0 0 0 0 0 -100000 0 100000 -100000
Net Change in Cash 117773000 73836000 -378105000 503538000 8983000 -25218000 -211682000 151256000 -75193000 27247000 -434305000 517665000 35612000 1635000 -480659000 490953000 -49163000 60353000 -1543000 -2714000 -61350000 45293000 27980000 177000 -4330000 -14291000 13800000 -11900000 8000000 -5200000
Cash at Beginning of Period 220227000 146391000 524496000 20958000 11975000 37193000 248875000 97619000 172812000 145565000 583618000 65953000 30341000 29399000 510058000 19105000 68268000 7915000 9458000 12172000 73522000 28229000 249000 72000 4402000 14377000 600000 12500000 4500000 9700000
Cash at End of Period 338000000 220227000 146391000 524496000 20958000 11975000 37193000 248875000 97619000 172812000 149313000 583618000 65953000 31034000 29399000 510058000 19105000 68268000 7915000 9458000 12172000 73522000 28229000 249000 72000 86000 14400000 600000 12500000 4500000
Free Cash Flow 2876000000 1703898000 1849418000 -296313000 -1901570000 45244000 803019000 726980000 -181332000 -493540000 -961818000 -875210000 23905000 251294000 661449000 -997459000 145957000 497084000 -430152000 -59301000 -211066000 601629000 63784000 -406590000 -99197000 45011000 61600000 15500000 28500000 6400000
Operating Cash Flow 4471000000 2905955000 2546272000 1899068000 1946779000 2186719000 1315412000 1351614000 1006980000 1285610000 1294767000 990943000 1359972000 834042000 1452694000 475677000 1029660000 873390000 -179659000 204809000 4082000 812281000 405351000 -95187000 -7032000 346526000 152100000 105100000 109500000 80300000
Capital Expenditure -1595000000 -1202057000 -696854000 -2195381000 -3848349000 -2141475000 -512393000 -624634000 -1188312000 -1779150000 -2256585000 -1866153000 -1336067000 -582748000 -791245000 -1473136000 -883703000 -376306000 -250493000 -264110000 -215148000 -210652000 -341567000 -311403000 -92165000 -301515000 -90500000 -89600000 -81000000 -73900000

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