RTX 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: 2024-02-05 2023-02-07 2022-02-11 2021-02-08 2020-02-06 2019-02-07 2018-02-09 2017-02-09 2016-02-11 2015-02-05 2014-02-06 2013-02-07 2012-02-09 2011-02-10 2010-02-11 2009-02-11 2008-02-07 2007-02-08 2006-02-09 2005-02-10 2004-02-05 2003-02-10 2002-02-11 2001-02-12 2000-02-14 1999-02-16 1998-02-17 1997-02-07 1996-03-28 1995-03-29 1994-03-31 1992-12-31 1991-12-31 1990-12-31 1989-12-31
Net Income/Starting Line 3380000000 5327000000 4145000000 -2928000000 5948000000 5654000000 4920000000 5436000000 4356000000 6623000000 6074000000 5200000000 5374000000 4711000000 4179000000 4689000000 4224000000 3732000000 3069000000 2788000000 2361000000 2236000000 1938000000 1808000000 1531000000 1255000000 1072000000 906000000 750000000 585000000 487000000 35000000 -1021000000 750600000 702100000
Cash From Operating Activities 7883000000 7168000000 7071000000 3606000000 8883000000 6322000000 5631000000 3880000000 6326000000 7336000000 6877000000 6646000000 6590000000 5906000000 5353000000 6161000000 5330000000 4803000000 4334000000 3699000000 2875000000 2853000000 2885000000 2503000000 4469000000 2509000000 2131000000 2095000000 2044000000 1357000000 1508000000 1203000000 1890000000 1151300000 1176100000
Depreciation and Amortization 4211000000 4108000000 4557000000 4156000000 3783000000 2433000000 2140000000 1962000000 1863000000 1907000000 1821000000 1524000000 1347000000 1356000000 1258000000 1321000000 1173000000 1033000000 984000000 978000000 799000000 727000000 905000000 859000000 844000000 854000000 848000000 853000000 844000000 840000000 815000000 852000000 735000000 675000000 620200000
Deferred Income Tax -402000000 -1663000000 -88000000 -99000000 669000000 735000000 62000000 398000000 662000000 376000000 242000000 120000000 331000000 413000000 451000000 45000000 58000000 -214000000 262000000 209000000 254000000 318000000 -5000000 108000000 4000000 -252000000 -526000000 0 0 0 0 -626000000 -346000000 -141000000 103400000
Stock Based Compensation 425000000 420000000 442000000 330000000 356000000 251000000 192000000 152000000 158000000 240000000 275000000 210000000 229000000 154000000 153000000 211000000 198000000 180000000 153000000 -2788000000 -2361000000 -2236000000 0 97000000 1560000000 85000000 119000000 0 0 0 0 121000000 1566000000 0 -19900000
Other Non-Cash Items -1246000000 -1546000000 -1707000000 1336000000 -1642000000 -1996000000 -1631000000 -2907000000 134000000 -563000000 -1336000000 -511000000 -273000000 -1253000000 -1753000000 125000000 -355000000 -119000000 303000000 2599000000 1766000000 1692000000 265000000 49000000 -74000000 282000000 376000000 86000000 256000000 236000000 -129000000 -239000000 54000000 48000000 -25600000
Changes in Working Capital 1515000000 522000000 -278000000 811000000 -231000000 -755000000 -52000000 -1161000000 -847000000 -1247000000 -199000000 103000000 -418000000 525000000 1065000000 -230000000 32000000 191000000 -437000000 -87000000 56000000 116000000 -218000000 -418000000 604000000 285000000 242000000 250000000 194000000 -304000000 335000000 1060000000 902000000 -181300000 -204100000
Accounts Receivable -1805000000 437000000 -570000000 1318000000 419000000 -2426000000 -448000000 -941000000 -438000000 7000000 -531000000 -165000000 -729000000 -319000000 955000000 -491000000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Inventory -1104000000 -1575000000 163000000 412000000 -1216000000 -537000000 -1074000000 -719000000 -844000000 -1091000000 -1096000000 -539000000 -314000000 -244000000 695000000 -562000000 -1111000000 -789000000 -430000000 -144000000 77000000 327000000 -154000000 -184000000 331000000 -99000000 174000000 -364000000 2000000 290000000 335000000 328000000 168000000 -182000000 317300000
Accounts Payable 4016000000 2075000000 -1243000000 -2048000000 797000000 2003000000 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
Deferred Revenue 408000000 -415000000 1372000000 1129000000 -231000000 205000000 1470000000 499000000 435000000 -163000000 1428000000 807000000 625000000 1088000000 -585000000 823000000 1143000000 980000000 -7000000 57000000 -21000000 -211000000 -64000000 -234000000 273000000 384000000 68000000 614000000 192000000 -594000000 -335000000 732000000 734000000 700000 -521400000
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 335000000 0 0 0 0
Cash From Investing Activities -3039000000 -2829000000 -1364000000 3102000000 -3092000000 -16973000000 -3019000000 -2503000000 6473000000 -2305000000 -1113000000 -15821000000 -707000000 -3187000000 -1104000000 -2336000000 -3182000000 -1261000000 -4649000000 -1762000000 -1761000000 -1088000000 -1277000000 -2101000000 -4411000000 -2269000000 -1185000000 -802000000 -654000000 -289000000 -1026000000 -926000000 -1028000000 -960800000 -1294300000
Investments in Property Plant and Equipment -3166000000 -2775000000 -2322000000 -1967000000 -2607000000 -2302000000 -2394000000 -2079000000 -2089000000 -2304000000 -2410000000 -2932000000 -983000000 -865000000 -826000000 -1216000000 -1153000000 -954000000 -929000000 -795000000 -530000000 -586000000 -793000000 -937000000 -4309000000 -2107000000 -1427000000 -794000000 -984000000 -759000000 -846000000 -920000000 -1048000000 -1200400000 -1411700000
Payments for Acquisitions 6000000 28000000 791000000 5345000000 82000000 -14293000000 435000000 -499000000 -338000000 -58000000 1409000000 -15601000000 140000000 -2550000000 -545000000 337000000 -1739000000 -460000000 -3755000000 -1048000000 -1082000000 -376000000 -422000000 -1168000000 0 0 0 0 0 0 0 0 0 0 0
Purchases of Securities -117000000 -355000000 -16000000 -312000000 -658000000 -988000000 -1514000000 -438000000 -286000000 -202000000 -245000000 -100000000 0 0 0 -1252000000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 -20000000 0 0 0 -9400000
Proceeds from Sales and Maturities of Securities 226000000 179000000 158000000 368000000 336000000 143000000 222000000 249000000 160000000 331000000 110000000 75000000 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 12000000 94000000 25000000 -332000000 -245000000 467000000 232000000 264000000 9026000000 -72000000 23000000 2737000000 136000000 228000000 267000000 -205000000 -290000000 153000000 35000000 81000000 -149000000 -126000000 -62000000 4000000 -102000000 -162000000 242000000 -8000000 330000000 470000000 -160000000 -6000000 20000000 239600000 126800000
Cash From Financing Activities -4527000000 -5859000000 -6685000000 -5274000000 -4564000000 7965000000 -993000000 -1188000000 -10785000000 -4259000000 -5940000000 8021000000 -4005000000 -3153000000 -4191000000 -2238000000 -1955000000 -3342000000 335000000 -1402000000 -1696000000 -1251000000 -769000000 -582000000 375000000 -341000000 -1269000000 -1055000000 -874000000 -1098000000 -379000000 -435000000 -517000000 -254800000 186200000
Debt Repayment -10578000000 -3000000 -4254000000 -18123000000 -2830000000 -356000000 -1875000000 -331000000 -20000000 -552000000 -2883000000 -214000000 -616000000 -1892000000 -1737000000 -48000000 -330000000 -825000000 -504000000 -535000000 -1092000000 -231000000 -354000000 0 0 0 0 0 0 0 0 0 0 -681400000 -1028100000
Common Stock Issued 22477000000 0 3956000000 15779000000 1015000000 10935000000 4954000000 4017000000 1100000000 0 0 0 226000000 386000000 342000000 163000000 415000000 346000000 282000000 431000000 331000000 183000000 315000000 438000000 354000000 220000000 143000000 96000000 101000000 0 110000000 112000000 73000000 77300000 52200000
Common Stock Repurchased -12870000000 -2803000000 -2327000000 -47000000 -151000000 -325000000 -1453000000 -2254000000 -10000000000 -1500000000 -1200000000 0 -2175000000 -2200000000 -1100000000 -3160000000 -2001000000 -2068000000 -1181000000 -992000000 -401000000 -700000000 -599000000 -800000000 -822000000 -650000000 -849000000 -459000000 -221000000 -270000000 0 0 0 -84900000 -593700000
Dividends Paid -3239000000 -3128000000 -2957000000 -2732000000 -2442000000 -2170000000 -2074000000 -2069000000 -2184000000 -2048000000 -1908000000 -1752000000 -1602000000 -1482000000 -1356000000 -1210000000 -1080000000 -951000000 -832000000 -660000000 -533000000 -462000000 -423000000 -580000000 -512000000 -453000000 -430000000 -356000000 -363000000 -340000000 -267000000 -264000000 -281000000 -253500000 -227400000
Other Financing Activities -317000000 75000000 -1103000000 -151000000 -156000000 -119000000 -545000000 -551000000 319000000 -159000000 51000000 9987000000 162000000 2035000000 -340000000 2017000000 1041000000 156000000 2570000000 354000000 -1000000 -41000000 292000000 360000000 1355000000 542000000 -133000000 -336000000 -391000000 -488000000 -222000000 -283000000 -309000000 687700000 1983200000
Effect of Forex Changes on Cash 18000000 -42000000 -1000000 -22000000 -19000000 -120000000 210000000 -120000000 -174000000 -156000000 -41000000 30000000 -1000000 68000000 64000000 -164000000 165000000 99000000 -38000000 107000000 125000000 8000000 -29000000 -29000000 -26000000 -4000000 -49000000 -11000000 -2000000 -5000000 -36000000 -11000000 -23000000 -1400000 -44100000
Net Change in Cash 296000000 -1633000000 -1000000000 1412000000 1166000000 -2866000000 1796000000 37000000 1840000000 616000000 -217000000 -1124000000 1877000000 -366000000 122000000 1423000000 358000000 299000000 -18000000 642000000 -457000000 522000000 810000000 -209000000 407000000 -105000000 -372000000 227000000 514000000 -35000000 67000000 -169000000 322000000 -65700000 23900000
Cash at Beginning of Period 6291000000 7853000000 8832000000 7420000000 6212000000 9018000000 7189000000 7120000000 5235000000 4619000000 4836000000 5960000000 4083000000 4449000000 4327000000 2904000000 2546000000 2247000000 2265000000 1623000000 2080000000 1558000000 748000000 957000000 550000000 655000000 1127000000 900000000 386000000 421000000 354000000 523000000 201000000 266500000 242600000
Cash at End of Period 6587000000 6220000000 7832000000 8832000000 7378000000 6152000000 8985000000 7157000000 7075000000 5235000000 4619000000 4836000000 5960000000 4083000000 4449000000 4327000000 2904000000 2546000000 2247000000 2265000000 1623000000 2080000000 1558000000 748000000 957000000 550000000 755000000 1127000000 900000000 386000000 421000000 354000000 523000000 200800000 266500000
Free Cash Flow 4717000000 4393000000 4749000000 1639000000 6276000000 4020000000 3237000000 1801000000 4237000000 5032000000 4467000000 3714000000 5607000000 5041000000 4527000000 4945000000 4177000000 3849000000 3405000000 2904000000 2345000000 2267000000 2092000000 1566000000 160000000 402000000 704000000 1301000000 1060000000 598000000 662000000 283000000 842000000 -49100000 -235600000
Operating Cash Flow 7883000000 7168000000 7071000000 3606000000 8883000000 6322000000 5631000000 3880000000 6326000000 7336000000 6877000000 6646000000 6590000000 5906000000 5353000000 6161000000 5330000000 4803000000 4334000000 3699000000 2875000000 2853000000 2885000000 2503000000 4469000000 2509000000 2131000000 2095000000 2044000000 1357000000 1508000000 1203000000 1890000000 1151300000 1176100000
Capital Expenditure -3166000000 -2775000000 -2322000000 -1967000000 -2607000000 -2302000000 -2394000000 -2079000000 -2089000000 -2304000000 -2410000000 -2932000000 -983000000 -865000000 -826000000 -1216000000 -1153000000 -954000000 -929000000 -795000000 -530000000 -586000000 -793000000 -937000000 -4309000000 -2107000000 -1427000000 -794000000 -984000000 -759000000 -846000000 -920000000 -1048000000 -1200400000 -1411700000

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