SWT Cash Flow Statement


* In Millions (except for per share items) of USD
Period Ending: LTM
(Last Twelve Months)
2022
01-01
2021
01-02
2019
12-28
2018
12-29
2017
12-30
2016
12-31
2015
12-31
2014
12-31
2013
12-28
2012
12-29
2011
12-31
2010
12-31
2009
12-31
2008
12-31
2007
12-29
2006
12-31
2005
12-31
2004
12-31
2003
12-31
2002
12-31
2001
12-29
2000
12-30
1999
12-31
1998
12-31
1997
12-31
1996
12-28
1995
12-30
1994
12-31
1993
12-31
1992
12-31
1991
12-31
1990
12-31
1989
12-31
Report Filing: 2022-02-22 2021-02-18 2020-02-21 2019-02-26 2018-02-27 2017-02-15 2016-02-19 2015-02-19 2014-02-21 2013-02-20 2012-02-23 2011-02-18 2010-02-22 2009-02-26 2008-02-25 2007-02-27 2006-03-01 2005-03-07 2004-03-16 2002-12-31 2002-02-22 2001-03-30 2000-03-30 1999-04-01 1998-04-01 1997-03-19 1996-03-27 1995-03-29 1994-03-31 1992-12-31 1991-12-31 1990-12-31 1989-12-31
Net Income/Starting Line 1687500000 1234700000 958000000 605800000 1226000000 965300000 883700000 760900000 490300000 883800000 691200000 198200000 224300000 313300000 336600000 289500000 269600000 366900000 107900000 185000000 158300000 194400000 150000000 137800000 -41900000 96900000 59100000 125300000 92600000 98100000 95100000 106600000 117700000
Cash From Operating Activities 663100000 2022100000 1505700000 1260900000 1418600000 1485200000 1182300000 1295900000 868000000 966200000 998900000 739300000 539400000 516600000 544100000 439100000 362300000 371500000 464300000 285100000 221600000 236200000 222300000 56200000 241200000 259900000 178100000 128500000 146500000 185000000 180000000 208000000 182300000
Depreciation and Amortization 577100000 578100000 560200000 506500000 460700000 408000000 414000000 449800000 441300000 445300000 410100000 348700000 200100000 183000000 162200000 121200000 96500000 95000000 86500000 71200000 82900000 83300000 85600000 79700000 72400000 74700000 81200000 81800000 80700000 78500000 74900000 74300000 69800000
Deferred Income Tax -386900000 -241700000 -17900000 191100000 -103000000 -25700000 -1300000 37100000 -134800000 -48600000 -73400000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Stock Based Compensation 118300000 109100000 88800000 76500000 78700000 81200000 67900000 57100000 66400000 89700000 68900000 85100000 20700000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Non-Cash Items 81800000 166100000 38700000 48500000 -182100000 61900000 58100000 102800000 74300000 -357600000 -29400000 171900000 6300000 -13200000 61400000 62800000 50200000 -132600000 127300000 36100000 89700000 42200000 36400000 32500000 220600000 86300000 117800000 18300000 -14500000 -9800000 9500000 500000 2600000
Changes in Working Capital -1414700000 175800000 -122100000 -167500000 -61700000 -5500000 -240100000 -111800000 -69500000 -46400000 -68500000 -64600000 88000000 33500000 -16100000 -34400000 -54000000 42200000 142600000 -7200000 -109300000 -83700000 -49700000 -193800000 -9900000 2000000 -80000000 -96900000 -12300000 18200000 500000 26600000 -7800000
Accounts Receivable -280600000 -39600000 137800000 -48800000 -200600000 -69400000 -41300000 81600000 11300000 -55200000 10100000 22500000 130500000 129100000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Inventory -1970400000 -401500000 137700000 -401600000 -303000000 -23900000 -54700000 -175900000 -101900000 11400000 -90200000 35300000 152800000 26500000 47400000 -62700000 -19300000 -43500000 24100000 -8400000 -14600000 -29200000 -12500000 -78000000 8600000 -10500000 -4500000 -69800000 -15500000 -6600000 500000 12600000 -9300000
Accounts Payable 758300000 310400000 -169100000 211000000 240400000 159700000 -9700000 71700000 105000000 109100000 214200000 77300000 -57300000 -32900000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Deferred Revenue 78000000 306500000 -228500000 71900000 201500000 -71900000 -134400000 -89200000 -83900000 -111700000 -202600000 -199700000 -138000000 -89200000 -63500000 28300000 -34700000 85700000 118500000 1200000 -94700000 -54500000 -37200000 -115800000 -18500000 12500000 -75500000 -27100000 3200000 24800000 0 14000000 1500000
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
Cash From Investing Activities -2623800000 -1577100000 -1208600000 -989100000 -2289100000 -284000000 -205000000 -382200000 -1198400000 182700000 -1464300000 269600000 -115200000 -464600000 -716900000 -626300000 -383500000 -136900000 -52000000 -395500000 -169800000 -70000000 -67900000 -151100000 -125400000 -61800000 -85300000 -70200000 -50700000 -138100000 -109100000 -64900000 -84100000
Investments in Property Plant and Equipment -519100000 -348100000 -424700000 -492100000 -442400000 -347000000 -311400000 -291000000 -365600000 -386000000 -302100000 -185500000 -93400000 -140800000 -86900000 -80500000 -53300000 -54800000 -39400000 -37200000 -55700000 -59800000 -77900000 -156800000 -73300000 -78700000 -66500000 -66400000 -69700000 -170900000 -115800000 -78200000 -118200000
Payments for Acquisitions -2038500000 -1265300000 -608800000 -527600000 -1844200000 -35300000 -17600000 -7100000 -840400000 553300000 -1152500000 -550300000 -24300000 -370400000 -642500000 -570900000 -286600000 -301200000 -22300000 -355900000 -79300000 0 0 0 -81500000 -5300000 -3300000 -5100000 0 0 0 0 0
Purchases of Securities -70500000 -18700000 -260600000 0 -23300000 0 0 -61400000 0 0 -36000000 -29000000 -29000000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Proceeds from Sales and Maturities of Securities 0 41000000 8000000 25700000 0 104700000 137700000 0 3600000 0 0 74000000 0 19100000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Investing Activities 4300000 14000000 77500000 4900000 20800000 -6400000 -13700000 -22700000 4000000 15400000 26300000 960400000 31500000 27500000 12500000 25100000 -43600000 219100000 9700000 -2400000 -34800000 -10200000 10000000 5700000 29400000 22200000 -15500000 1300000 19000000 32800000 6700000 13300000 34100000
Cash From Financing Activities 918700000 615900000 -292500000 -561600000 295200000 -433100000 -875600000 -766200000 155500000 -1337400000 -371800000 313600000 -249000000 -48200000 210600000 -298000000 417300000 -196400000 -338700000 115000000 -22800000 -151000000 -171500000 53600000 -40400000 -193100000 -85300000 -35600000 -131200000 -23400000 -103500000 -103200000 -79300000
Debt Repayment -1500000 -1154300000 -1150000000 -977500000 0 0 -16100000 -46600000 -302200000 -1441300000 -602600000 -779400000 -184400000 -118400000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Common Stock Issued 131400000 897000000 146000000 38500000 90800000 418500000 163500000 71300000 154600000 126400000 119600000 396100000 61200000 19100000 96500000 64400000 38700000 27700000 4300000 17400000 25400000 8900000 10000000 21900000 40500000 36500000 5700000 4200000 4600000 3600000 184600000 3300000 100500000
Common Stock Repurchased -784300000 -26200000 -27500000 -527100000 -28700000 -374100000 -1282300000 -28200000 -39200000 -1073900000 -11100000 -12600000 -2600000 -103300000 -206900000 -201600000 0 0 0 0 -11000000 -108600000 -21400000 -42000000 -83000000 -65700000 -13200000 -16300000 -42300000 -25000000 -37200000 -64800000 -107100000
Dividends Paid -493700000 -450600000 -402000000 -384900000 -362900000 -330900000 -319900000 -321300000 -312700000 -304000000 -275900000 -201600000 -103600000 -99000000 -99800000 -96100000 -94900000 -89400000 -86100000 -85600000 -80500000 -78300000 -77500000 -73900000 -68600000 -67600000 -75200000 -61500000 -60500000 -57500000 -52300000 -35500000 -44400000
Other Financing Activities 2066800000 1350000000 1141000000 1289400000 596000000 -146600000 579200000 -441400000 655000000 1355400000 398200000 911100000 -19600000 253400000 420800000 -64700000 473500000 -134700000 -256900000 183200000 43300000 27000000 -82600000 147600000 70700000 -96300000 -2600000 38000000 -33000000 55500000 -198600000 -6200000 -28300000
Effect of Forex Changes on Cash -61500000 22800000 -1400000 -53900000 81000000 -101700000 -132900000 -147100000 -44900000 -2400000 1300000 22200000 13900000 -32600000 26000000 4000000 11700000 7400000 9100000 1900000 -7400000 -9600000 -5000000 -800000 -7200000 3600000 -1400000 2900000 -2000000 -700000 -3800000 -600000 0
Net Change in Cash -1103500000 1083700000 3200000 -343700000 -494300000 666400000 -31200000 400000 -219800000 -190900000 -835900000 1344700000 189100000 -28800000 63800000 -481200000 407800000 45600000 82700000 6500000 21600000 5600000 -22100000 -42100000 68200000 8600000 6100000 25600000 -37400000 22800000 -36400000 39300000 18900000
Cash at Beginning of Period 1398300000 314600000 311400000 655100000 1131800000 465400000 496600000 496200000 716000000 906900000 1742800000 400700000 211600000 240400000 176600000 657800000 250000000 204400000 121700000 115200000 93600000 88000000 110100000 152200000 84000000 75400000 69300000 43700000 81100000 58300000 94700000 55400000 36600000
Cash at End of Period 294800000 1398300000 314600000 311400000 637500000 1131800000 465400000 496600000 496200000 716000000 906900000 1745400000 400700000 211600000 240400000 176600000 657800000 250000000 204400000 121700000 115200000 93600000 88000000 110100000 152200000 84000000 75400000 69300000 43700000 81100000 58300000 94700000 55500000
Free Cash Flow 144000000 1674000000 1081000000 768800000 976200000 1138200000 870900000 1004900000 502400000 580200000 696800000 553800000 446000000 375800000 457200000 358600000 309000000 316700000 424900000 247900000 165900000 176400000 144400000 -100600000 167900000 181200000 111600000 62100000 76800000 14100000 64200000 129800000 64100000
Operating Cash Flow 663100000 2022100000 1505700000 1260900000 1418600000 1485200000 1182300000 1295900000 868000000 966200000 998900000 739300000 539400000 516600000 544100000 439100000 362300000 371500000 464300000 285100000 221600000 236200000 222300000 56200000 241200000 259900000 178100000 128500000 146500000 185000000 180000000 208000000 182300000
Capital Expenditure -519100000 -348100000 -424700000 -492100000 -442400000 -347000000 -311400000 -291000000 -365600000 -386000000 -302100000 -185500000 -93400000 -140800000 -86900000 -80500000 -53300000 -54800000 -39400000 -37200000 -55700000 -59800000 -77900000 -156800000 -73300000 -78700000 -66500000 -66400000 -69700000 -170900000 -115800000 -78200000 -118200000

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