SLB 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: 2024-01-24 2023-01-25 2022-01-26 2021-01-27 2020-01-22 2019-01-23 2018-01-24 2017-01-25 2016-01-27 2015-01-29 2014-01-31 2013-01-31 2012-02-01 2011-02-04 2010-02-05 2009-02-11 2008-02-13 2007-02-16 2006-02-24 2005-03-04 2004-03-03 2003-02-27 2002-02-28 2001-03-08 2000-03-30 1999-03-30 1998-03-30 1997-03-31 1995-12-31 1994-12-31 1993-12-31 1992-12-31 1991-12-31 1990-12-31 1989-12-31
Net Income/Starting Line 4275000000 3492000000 1928000000 -10486000000 -10107000000 2177000000 -1513000000 -1627000000 2135000000 5711000000 6843000000 5468000000 5013000000 4266000000 3142000000 5396951000 5176516000 3709851000 2198995000 1014052000 472557000 -2417529000 522217000 734596000 366700000 1014200000 1295700000 851500000 649200000 536100000 582800000 661600000 815700000 570300000 420000000
Cash From Operating Activities 6637000000 3720000000 4651000000 2944000000 5431000000 5713000000 5663000000 6261000000 8572000000 11219000000 9786000000 6688000000 6169000000 5494000000 5266000000 6897682000 6258938000 4781409000 3003885000 1896665000 2104584000 2216558000 1568172000 1709118000 1520600000 2303100000 1708000000 1402100000 1194300000 943100000 1455500000 998800000 1008200000 977600000 770900000
Depreciation and Amortization 1759000000 2147000000 2120000000 2566000000 3589000000 3556000000 3837000000 4094000000 4078000000 4094000000 3666000000 3500000000 3281000000 2759000000 2476000000 2268508000 1953987000 1561410000 1350969000 1307931000 1570851000 1545053000 1896119000 1270754000 1020900000 1136300000 972500000 885200000 820200000 776200000 790200000 708800000 659600000 552300000 519700000
Deferred Income Tax 28000000 -39000000 -31000000 -1248000000 -1011000000 -39000000 8000000 -60000000 -63000000 -273000000 -105000000 -76000000 -35000000 -109000000 373000000 -5698000 21866000 4598000 30482000 6774000 -12286000 -48702000 14216000 -20757000 -21700000 -76000000 46500000 -26200000 0 0 0 0 0 0 0
Stock Based Compensation 293000000 313000000 324000000 397000000 405000000 345000000 343000000 267000000 326000000 329000000 315000000 335000000 272000000 198000000 186000000 171559000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Non-Cash Items 498000000 -484000000 -94000000 12554000000 12882000000 79000000 3671000000 3833000000 2372000000 1922000000 -386000000 -359000000 -317000000 -1597000000 -693000000 -95649000 144106000 138235000 -202480000 26232000 -21830000 -144158000 -141132000 831922000 -182500000 -42300000 31600000 -73200000 -26600000 2400000 7600000 -132600000 -265700000 -110800000 -52200000
Changes in Working Capital -216000000 -1709000000 404000000 -839000000 -327000000 -405000000 -683000000 -246000000 -276000000 -564000000 -547000000 -2180000000 -2045000000 -23000000 -218000000 -837989000 -831022000 -496423000 -382053000 -668142000 -313656000 138241000 -939757000 -1102599000 -29000000 -136300000 -657500000 -262800000 -248500000 -371600000 74900000 -239000000 -201400000 -34200000 -116600000
Accounts Receivable -659000000 -1728000000 -36000000 2411000000 50000000 403000000 180000000 885000000 1593000000 -177000000 -1514000000 -2302000000 0 0 155000000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Inventory -254000000 -737000000 75000000 86000000 -314000000 -10000000 108000000 800000000 625000000 -36000000 188000000 -643000000 -991000000 -67000000 64000000 -299142000 -356294000 -222142000 -180099000 -166698000 96606000 72383000 -259290000 -194640000 -43600000 -122600000 -184400000 -144800000 -99300000 -37400000 2700000 17400000 -3700000 18700000 -1300000
Accounts Payable 724000000 704000000 160000000 -3330000000 -161000000 -824000000 -737000000 -1680000000 -2656000000 -36000000 654000000 928000000 0 0 -645000000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Deferred Revenue -27000000 52000000 205000000 -6000000 98000000 26000000 -234000000 -251000000 162000000 -315000000 125000000 -163000000 -1054000000 44000000 208000000 -538847000 -474728000 -274281000 -201954000 -501444000 -410262000 65858000 -680467000 -907959000 14600000 -13700000 -473100000 -118000000 -149200000 -334200000 72200000 -256400000 -197700000 -52900000 -115300000
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 -2783000000 -1388000000 -919000000 -2353000000 -2011000000 -1040000000 -1779000000 -624000000 -10252000000 -5580000000 -6005000000 -6162000000 -3525000000 -2938000000 -4024000000 -5142555000 -4600296000 -5096731000 -2044485000 1681889000 -1486619000 -1420454000 -4335584000 -1829232000 -1611000000 -4076500000 -2060000000 -1392500000 -941100000 -799100000 -1367200000 -761700000 -659600000 -743500000 -224400000
Investments in Property Plant and Equipment -2092000000 -1715000000 -1180000000 -1217000000 -1955000000 -2260000000 -2383000000 -2685000000 -2896000000 -4297000000 -4337000000 -5046000000 -4016000000 -2914000000 -2625000000 -4068184000 -3191041000 -2467807000 -1592511000 -1215847000 -1025264000 -1365996000 -2052635000 -1323015000 -927300000 -1887400000 -1496000000 -1158000000 -938800000 -782800000 -691100000 -809500000 -921300000 -675400000 -662300000
Payments for Acquisitions -105000000 897000000 6000000 401000000 563000000 287000000 -847000000 -2398000000 -443000000 -1008000000 -1210000000 -845000000 -186000000 -702000000 -514000000 -345164000 -1118690000 -584097000 -108782000 -42834000 356774000 -176586000 -5231449000 -920603000 0 0 0 0 0 0 0 0 37900000 0 0
Purchases of Securities -692000000 -587000000 -474000000 -1444000000 -781000000 -981000000 -1609000000 -1031000000 -6801000000 -740000000 -648000000 -1228000000 4016000000 2914000000 0 0 -88815000 -2406331000 -706762000 1712614000 -1145700000 630293000 933777000 149494000 -295100000 -2292200000 -846200000 -218900000 0 0 -181300000 -172600000 -120200000 0 0
Proceeds from Sales and Maturities of Securities 214000000 249000000 787000000 1217000000 317000000 1943000000 3277000000 5544000000 2896000000 446000000 4337000000 5046000000 351000000 1023000000 0 0 0 700986000 361847000 1368333000 554440000 51334000 2430911000 551619000 0 0 0 0 129200000 50200000 0 157600000 353700000 28100000 108400000
Other Investing Activities -108000000 -232000000 -58000000 -1310000000 -155000000 -29000000 -217000000 -54000000 -3008000000 19000000 -4147000000 -4089000000 -3690000000 -3259000000 -885000000 -729207000 -201750000 -339482000 1723000 -140377000 -226869000 -559499000 -416188000 -286727000 -388600000 103100000 282200000 -15600000 -131500000 -66500000 -494800000 62800000 -9700000 -96200000 329500000
Cash From Financing Activities -2512000000 -2382000000 -2824000000 -873000000 -3718000000 -5020000000 -5033000000 -5428000000 1374000000 -5896000000 -2199000000 -339000000 -2700000000 -1409000000 -1188000000 -1824408000 -1630428000 290506000 -990720000 -3590416000 -558338000 -812284000 2784398000 148243000 117700000 1731300000 331500000 55100000 -238400000 -150000000 -64900000 -235800000 -357500000 -240200000 -534300000
Debt Repayment -1578000000 -1650000000 -2076000000 -5163000000 -4799000000 -2861000000 -2961000000 -5630000000 -3771000000 -2878000000 -3141000000 -1817000000 -5111000000 -1882000000 -1754000000 -601094000 -201367000 -1516240000 0 -2925552000 0 0 0 0 0 0 0 0 -55600000 -229100000 0 0 0 0 0
Common Stock Issued 1277000000 223000000 137000000 6139000000 4179000000 1074000000 1646000000 3668000000 10010000000 3666000000 5128000000 3863000000 7322000000 179000000 96000000 177189000 622058000 441545000 0 278108000 1572105000 175085000 121760000 229370000 623500000 139200000 145600000 180100000 73700000 61600000 70800000 69800000 72800000 62600000 39800000
Common Stock Repurchased -694000000 -93000000 -24000000 -26000000 -278000000 -400000000 -969000000 -778000000 -2182000000 -4678000000 -2596000000 -972000000 -2998000000 -1717000000 -500000000 -1818841000 -1355000000 -1067842000 -611641000 -320224000 0 0 0 0 0 0 0 0 -40600000 -148100000 0 0 0 -81800000 -59400000
Dividends Paid -1317000000 -848000000 -699000000 -1734000000 -2769000000 -2770000000 -2778000000 -2647000000 -2419000000 -1968000000 -1608000000 -1432000000 -1300000000 -1040000000 -1006000000 -964140000 -771350000 -567673000 -481583000 -441219000 -437023000 -433134000 -430328000 -426465000 -410500000 -388400000 -370800000 -366800000 -327200000 -292400000 -290800000 -288600000 -286200000 -285500000 -285400000
Other Financing Activities -200000000 -14000000 -162000000 -89000000 -51000000 -63000000 29000000 -41000000 -264000000 -38000000 18000000 19000000 -613000000 3051000000 1976000000 1382478000 75231000 3000716000 102504000 -181529000 -1693420000 -554235000 3092966000 345338000 -95300000 1980500000 556700000 241800000 111300000 458000000 155100000 -17000000 -144100000 64500000 -229300000
Effect of Forex Changes on Cash -97000000 261000000 5000000 -11000000 2000000 -19000000 19000000 -73000000 -31000000 -85000000 -15000000 13000000 -3000000 0 0 -2406000 3202000 -321000 -1229000 1173000 6455000 6586000 0 0 0 0 -100000 100000 -253200000 -144000000 -88300000 -237100000 -348600000 -234100000 -546500000
Net Change in Cash 1245000000 1724000000 913000000 -293000000 -296000000 -366000000 -1130000000 136000000 -337000000 -342000000 1567000000 200000000 -59000000 1147000000 54000000 -8305000 31416000 -25137000 -32549000 -10689000 66082000 -9594000 16986000 28129000 27300000 -42100000 -20600000 64800000 -238400000 -150000000 -64900000 -235800000 -357500000 -240200000 -534300000
Cash at Beginning of Period 1655000000 -11056000000 844000000 1137000000 1433000000 1799000000 2929000000 2793000000 3130000000 3472000000 1905000000 1705000000 1764000000 617000000 189000000 197233000 165817000 190954000 223503000 234192000 168110000 177704000 160718000 132589000 105300000 147400000 137300000 72500000 57700000 63700000 40300000 39000000 47900000 53900000 41700000
Cash at End of Period 2900000000 -9332000000 1757000000 844000000 1137000000 1433000000 1799000000 2929000000 2793000000 3130000000 3472000000 1905000000 1705000000 1764000000 243000000 188928000 197233000 165817000 190954000 223503000 234192000 168110000 177704000 160718000 132600000 105300000 116700000 137300000 -180700000 -86300000 -24600000 -196800000 -309600000 -186300000 -492600000
Free Cash Flow 4545000000 2005000000 3471000000 1727000000 3476000000 3453000000 3280000000 3576000000 5676000000 6922000000 5449000000 1642000000 2153000000 2580000000 2641000000 2829498000 3067897000 2313602000 1411374000 680818000 1079320000 850562000 -484463000 386103000 593300000 415700000 212000000 244100000 255500000 160300000 764400000 189300000 86900000 302200000 108600000
Operating Cash Flow 6637000000 3720000000 4651000000 2944000000 5431000000 5713000000 5663000000 6261000000 8572000000 11219000000 9786000000 6688000000 6169000000 5494000000 5266000000 6897682000 6258938000 4781409000 3003885000 1896665000 2104584000 2216558000 1568172000 1709118000 1520600000 2303100000 1708000000 1402100000 1194300000 943100000 1455500000 998800000 1008200000 977600000 770900000
Capital Expenditure -2092000000 -1715000000 -1180000000 -1217000000 -1955000000 -2260000000 -2383000000 -2685000000 -2896000000 -4297000000 -4337000000 -5046000000 -4016000000 -2914000000 -2625000000 -4068184000 -3191041000 -2467807000 -1592511000 -1215847000 -1025264000 -1365996000 -2052635000 -1323015000 -927300000 -1887400000 -1496000000 -1158000000 -938800000 -782800000 -691100000 -809500000 -921300000 -675400000 -662300000

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