XOM 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: 2023-12-31 2023-02-22 2022-02-23 2021-02-24 2020-02-26 2019-02-27 2018-02-28 2017-02-22 2016-02-24 2015-02-25 2014-02-26 2013-02-27 2012-02-24 2011-02-25 2010-02-26 2009-02-27 2008-02-28 2007-02-28 2006-02-28 2005-02-28 2004-03-15 2003-03-26 2002-03-27 2001-03-28 2000-03-23 1999-03-30 1998-03-18 1997-03-13 1996-03-08 1995-03-10 1994-03-11 1992-12-31 1991-12-31 1990-12-31 1989-12-31
Net Income/Starting Line 36010000000 57577000000 23598000000 -23251000000 14774000000 21421000000 19710000000 7840000000 16150000000 32520000000 32580000000 44880000000 42206000000 31398000000 19658000000 45220000000 40610000000 39500000000 36130000000 25330000000 21510000000 11460000000 15320000000 17720000000 7910000000 6440000000 8460000000 7510000000 6470000000 5100000000 5280000000 4810000000 5600000000 5010000000 2975000000
Cash From Operating Activities 55369000000 76797000000 48129000000 14668000000 29716000000 36014000000 30066000000 22082000000 30344000000 45116000000 44914000000 56170000000 55345000000 48413000000 28438000000 59725000000 52002000000 49286000000 48138000000 40551000000 28498000000 21268000000 22889000000 22937000000 15013000000 11056000000 14676000000 13162000000 13847000000 9851000000 11503000000 9611000000 10942000000 10646000000 7915000000
Depreciation and Amortization 20641000000 24040000000 20607000000 20709000000 18898000000 18745000000 17893000000 18708000000 18048000000 17297000000 17182000000 15888000000 0 0 0 12379000000 12250000000 11416000000 10253000000 9767000000 9047000000 8310000000 7944000000 8130000000 8304000000 5340000000 5474000000 5329000000 5386000000 5015000000 4884000000 5044000000 4824000000 5545000000 5002000000
Deferred Income Tax 634000000 3758000000 303000000 -8856000000 -944000000 -60000000 -8577000000 -4386000000 -1832000000 1540000000 754000000 3142000000 142000000 -1135000000 0 1399000000 124000000 1717000000 -429000000 -1134000000 1827000000 297000000 650000000 10000000 -1439000000 408000000 346000000 835000000 1043000000 260000000 64000000 -1285000000 -43000000 -90000000 -668000000
Stock Based Compensation -45111000000 648000000 612000000 672000000 741000000 0 856000000 880000000 855000000 831000000 854000000 854000000 0 0 0 -699000000 -1812000000 -431000000 717000000 825000000 -1483000000 -551000000 951000000 -2675000000 703000000 -78000000 932000000 909000000 1122000000 -432000000 1000000 1554000000 0 0 392000000
Other Non-Cash Items 45553000000 -9032000000 -1153000000 27047000000 -4676000000 -2736000000 5820000000 1518000000 -7190000000 -8847000000 -4339000000 -5639000000 14009000000 14305000000 9939000000 -6000000 -309000000 -2453000000 -2198000000 114000000 -2189000000 1307000000 -207000000 -326000000 -260000000 -232000000 435000000 -379000000 -164000000 197000000 250000000 -40000000 401000000 773000000 535000000
Changes in Working Capital -2358000000 -194000000 4162000000 -1653000000 923000000 -1356000000 -5636000000 -2478000000 4313000000 1775000000 -2117000000 -2955000000 -1012000000 3845000000 -1159000000 1432000000 1139000000 -463000000 3665000000 5649000000 -214000000 445000000 -1769000000 78000000 -205000000 -822000000 -971000000 -1042000000 -10000000 -289000000 1024000000 -472000000 160000000 -592000000 -321000000
Accounts Receivable 4370000000 -11019000000 -12098000000 5384000000 -2640000000 0 -3954000000 -2090000000 4692000000 3118000000 -305000000 -1082000000 -3117000000 -2987000000 0 -36643000000 -45275000000 -39082000000 -36120000000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Inventory -3472000000 -6947000000 -489000000 -315000000 72000000 -3107000000 -1682000000 -388000000 -379000000 -1343000000 -1812000000 -1873000000 -2208000000 -1148000000 459000000 -1285000000 72000000 -1057000000 -434000000 -223000000 -100000000 353000000 154000000 -297000000 50000000 6000000 -253000000 246000000 37000000 180000000 156000000 -71000000 263000000 -399000000 -181000000
Accounts Payable -4727000000 18460000000 16820000000 -7142000000 3725000000 0 0 0 0 0 0 0 3117000000 2987000000 0 36643000000 45275000000 39082000000 36120000000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Deferred Revenue 1471000000 -688000000 -71000000 420000000 -234000000 1751000000 0 0 0 0 0 0 1196000000 4993000000 -1618000000 2717000000 1067000000 594000000 4099000000 5872000000 -114000000 92000000 -1923000000 375000000 -255000000 -828000000 -718000000 -1288000000 -47000000 -469000000 868000000 -401000000 -103000000 -193000000 -140000000
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 -20044000000 -14742000000 -10235000000 -18459000000 -23084000000 -16446000000 -15730000000 -12403000000 -23824000000 -26975000000 -34201000000 -25601000000 -22165000000 -24204000000 -22419000000 -15499000000 -9728000000 -14230000000 -10270000000 -14910000000 -10842000000 -9758000000 -8211000000 -3298000000 -10985000000 -7992000000 -6791000000 -6515000000 -6355000000 -5422000000 -6101000000 -7033000000 -6220000000 -5169000000 -9956000000
Investments in Property Plant and Equipment -21919000000 -18407000000 -12076000000 -17282000000 -24361000000 -19574000000 -15402000000 -16163000000 -26490000000 -32952000000 -33669000000 -34271000000 -30975000000 -26871000000 -22491000000 -19318000000 -15387000000 -15462000000 -13839000000 -11986000000 -12859000000 -11437000000 -9989000000 -8446000000 -10849000000 -8359000000 -7393000000 -7209000000 -7128000000 -6643000000 -6956000000 -7225000000 -7324000000 -6548000000 -6313000000
Payments for Acquisitions 3308000000 3772000000 2740000000 999000000 3692000000 4123000000 3103000000 4275000000 2389000000 4035000000 2707000000 7655000000 11133000000 3261000000 1545000000 5985000000 4204000000 3080000000 0 0 0 0 0 5770000000 0 0 0 0 0 0 1095000000 982000000 1052000000 0 0
Purchases of Securities -2995000000 -3090000000 -2817000000 -4857000000 -3905000000 -1981000000 -5507000000 -1417000000 -607000000 -1631000000 -4435000000 -972000000 -5340000000 -1254000000 -2768000000 -4608000000 -3684000000 -2604000000 0 0 0 0 0 -1689000000 -1537000000 -702000000 -857000000 -969000000 -910000000 -1650000000 -1323000000 -1079000000 -279000000 0 -23000000
Proceeds from Sales and Maturities of Securities 0 -3772000000 -2740000000 0 0 0 2404000000 -2858000000 -1782000000 -2404000000 1728000000 -6683000000 1674000000 155000000 571000000 1868000000 144000000 0 0 0 0 0 0 82000000 547000000 513000000 349000000 944000000 1017000000 1512000000 1246000000 518000000 234000000 104000000 0
Other Investing Activities 1562000000 6755000000 4658000000 2681000000 1490000000 986000000 -328000000 3760000000 2666000000 5977000000 -532000000 8670000000 1343000000 505000000 724000000 574000000 4995000000 756000000 3569000000 -2924000000 2017000000 1679000000 1778000000 985000000 854000000 556000000 1110000000 719000000 666000000 1359000000 -163000000 -229000000 97000000 1275000000 -3620000000
Cash From Financing Activities -33527000000 -39114000000 -35423000000 5285000000 -6618000000 -19446000000 -15130000000 -9293000000 -7037000000 -17888000000 -15476000000 -33868000000 -28256000000 -26924000000 -27283000000 -44027000000 -38345000000 -36210000000 -26941000000 -18268000000 -14763000000 -11353000000 -15041000000 -14165000000 -4779000000 -5698000000 -6712000000 -5239000000 -7136000000 -4234000000 -5280000000 -3123000000 -4557000000 -6033000000 1652000000
Debt Repayment -239000000 -8080000000 -32387000000 -3045000000 -4044000000 -4971000000 -5024000000 -7773000000 -532000000 -814000000 -769000000 -4861000000 -1369000000 -8660000000 -1714000000 -527000000 -598000000 -73000000 -1502000000 -1951000000 -2124000000 -307000000 -2772000000 -5705000000 -1834000000 -1176000000 -8000000 -254000000 -2705000000 -26000000 -709000000 -739000000 -637000000 0 -5192000000
Common Stock Issued 0 860000000 12733000000 23186000000 12706000000 0 0 6000000 5000000 30000000 50000000 193000000 924000000 1043000000 752000000 753000000 1079000000 1173000000 941000000 960000000 434000000 299000000 301000000 493000000 348000000 403000000 340000000 347000000 328000000 66000000 131000000 148000000 113000000 0 1006000000
Common Stock Repurchased -17748000000 -15155000000 -155000000 -405000000 -594000000 -626000000 -747000000 -977000000 -4039000000 -13183000000 -15998000000 -21068000000 -22055000000 -13093000000 -19703000000 -35734000000 -31822000000 -29558000000 -18221000000 -9951000000 -5881000000 -4798000000 -5721000000 -2352000000 -670000000 -3055000000 -2586000000 -801000000 -628000000 -220000000 -323000000 -358000000 -466000000 -336000000 -1750000000
Dividends Paid -14941000000 -14939000000 -14924000000 -14865000000 -14652000000 -13798000000 -13001000000 -12453000000 -12090000000 -11568000000 -10875000000 -10092000000 -9020000000 -8498000000 -8023000000 -8058000000 -7621000000 -7628000000 -7478000000 -7111000000 -6945000000 -6386000000 -6448000000 -6374000000 -6091000000 -4127000000 -4351000000 -4193000000 -4047000000 -4079000000 -3879000000 -3832000000 -3645000000 -3397000000 -3170000000
Other Financing Activities -599000000 -1800000000 -690000000 414000000 -34000000 -51000000 3642000000 11904000000 9619000000 7647000000 12116000000 1960000000 3264000000 2284000000 1405000000 -461000000 617000000 -124000000 -681000000 -215000000 -247000000 -161000000 -401000000 -227000000 3468000000 2257000000 -107000000 -338000000 -84000000 25000000 -500000000 1658000000 78000000 -2300000000 10758000000
Effect of Forex Changes on Cash 105000000 -78000000 -33000000 -219000000 33000000 -257000000 314000000 -434000000 -394000000 -281000000 -175000000 217000000 -85000000 -153000000 520000000 -2743000000 1808000000 727000000 -787000000 532000000 504000000 525000000 -170000000 -82000000 53000000 28000000 -77000000 35000000 -5000000 -21000000 -37000000 -53000000 -1000000 23000000 -79000000
Net Change in Cash 1903000000 22863000000 2438000000 1275000000 47000000 -135000000 -480000000 -48000000 -911000000 -28000000 -4938000000 -3082000000 4839000000 -2868000000 -20744000000 -2544000000 5737000000 -427000000 10140000000 7905000000 3397000000 682000000 -533000000 5392000000 -698000000 -2606000000 1096000000 1443000000 351000000 174000000 85000000 -598000000 164000000 -533000000 -468000000
Cash at Beginning of Period 29665000000 6802000000 4364000000 3089000000 3042000000 3177000000 3657000000 3705000000 4616000000 4644000000 9582000000 12664000000 7825000000 10693000000 31437000000 33981000000 28244000000 28671000000 18531000000 10626000000 7229000000 6547000000 7080000000 1688000000 2386000000 4047000000 2951000000 1508000000 1157000000 983000000 898000000 1496000000 1332000000 1865000000 2333000000
Cash at End of Period 31568000000 29665000000 6802000000 4364000000 3089000000 3042000000 3177000000 3657000000 3705000000 4616000000 4644000000 9582000000 12664000000 7825000000 10693000000 31437000000 33981000000 28244000000 28671000000 18531000000 10626000000 7229000000 6547000000 7080000000 1688000000 1441000000 4047000000 2951000000 1508000000 1157000000 983000000 898000000 1496000000 1332000000 1865000000
Free Cash Flow 33450000000 58390000000 36053000000 -2614000000 5355000000 16440000000 14664000000 5919000000 3854000000 12164000000 11245000000 21899000000 24370000000 21542000000 5947000000 40407000000 36615000000 33824000000 34299000000 28565000000 15639000000 9831000000 12900000000 14491000000 4164000000 2697000000 7283000000 5953000000 6719000000 3208000000 4547000000 2386000000 3618000000 4098000000 1602000000
Operating Cash Flow 55369000000 76797000000 48129000000 14668000000 29716000000 36014000000 30066000000 22082000000 30344000000 45116000000 44914000000 56170000000 55345000000 48413000000 28438000000 59725000000 52002000000 49286000000 48138000000 40551000000 28498000000 21268000000 22889000000 22937000000 15013000000 11056000000 14676000000 13162000000 13847000000 9851000000 11503000000 9611000000 10942000000 10646000000 7915000000
Capital Expenditure -21919000000 -18407000000 -12076000000 -17282000000 -24361000000 -19574000000 -15402000000 -16163000000 -26490000000 -32952000000 -33669000000 -34271000000 -30975000000 -26871000000 -22491000000 -19318000000 -15387000000 -15462000000 -13839000000 -11986000000 -12859000000 -11437000000 -9989000000 -8446000000 -10849000000 -8359000000 -7393000000 -7209000000 -7128000000 -6643000000 -6956000000 -7225000000 -7324000000 -6548000000 -6313000000

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