NKE Cash Flow Statement


* In Millions (except for per share items) of USD
Period Ending: LTM
(Last Twelve Months)
2023
05-31
2022
05-31
2021
05-31
2020
05-31
2019
05-31
2018
05-31
2017
05-31
2016
05-31
2015
05-31
2014
05-31
2013
05-31
2012
05-31
2011
05-31
2010
05-31
2009
05-31
2008
05-31
2007
05-31
2006
05-31
2005
05-31
2004
05-31
2003
05-31
2002
05-31
2001
05-31
2000
05-31
1999
05-31
1998
05-31
1997
05-31
1996
05-31
1995
05-31
1994
05-31
1993
05-31
1992
05-31
1991
05-31
1990
05-31
1989
05-31
Report Filing: 2023-07-20 2022-07-21 2021-07-20 2020-07-24 2019-07-23 2018-07-25 2017-07-20 2016-07-21 2015-07-23 2014-07-25 2013-07-23 2012-07-24 2011-07-22 2010-07-20 2009-07-27 2008-07-28 2007-07-27 2006-07-28 2005-07-29 2004-07-30 2003-08-07 2002-08-14 2001-08-09 2000-08-29 1999-08-26 1998-08-26 1997-08-29 1996-08-30 1995-08-30 1994-05-31 1993-05-31 1992-05-31 1991-05-31 1990-05-31 1989-05-31
Net Income/Starting Line 5070000000 6046000000 5727000000 2539000000 4029000000 1933000000 4240000000 3760000000 3273000000 2693000000 2485000000 2223000000 2133000000 1906700000 1486700000 1883400000 1491500000 1392000000 1211600000 945600000 474000000 663300000 589700000 579100000 451400000 399600000 795800000 553200000 399700000 298800000 365000000 329200000 287000000 243000000 167000000
Cash From Operating Activities 5841000000 5188000000 6657000000 2485000000 5903000000 4955000000 3640000000 3096000000 4680000000 3003000000 3027000000 1899000000 1812000000 3164200000 1736100000 1936300000 1878700000 1667900000 1570700000 1514400000 917400000 1081500000 656500000 759900000 961000000 517500000 323100000 330000000 254900000 576500000 265300000 436600000 14200000 127100000 169400000
Depreciation and Amortization 859000000 840000000 797000000 1119000000 720000000 774000000 716000000 662000000 649000000 632000000 513000000 405000000 358000000 395500000 383300000 321500000 270200000 290900000 287700000 310400000 262500000 276600000 214100000 223600000 228800000 233500000 168300000 132400000 90200000 64500000 60400000 47700000 34500000 17100000 14800000
Deferred Income Tax -117000000 -650000000 -385000000 -380000000 34000000 647000000 -273000000 -80000000 -113000000 -11000000 21000000 -60000000 -76000000 8300000 -294100000 -300600000 34100000 -26000000 21300000 66200000 50400000 15200000 79800000 36800000 37900000 -113900000 -47100000 -73300000 -24700000 -23900000 4300000 8200000 -2700000 -900000 -8500000
Stock Based Compensation 755000000 638000000 611000000 429000000 325000000 218000000 215000000 236000000 191000000 177000000 174000000 130000000 105000000 159000000 170600000 141000000 0 0 0 0 0 0 0 0 0 0 0 -500000 0 0 0 0 0 0 0
Other Non-Cash Items -213000000 -26000000 -138000000 23000000 233000000 -99000000 -117000000 98000000 424000000 0 -124000000 0 0 0 401300000 -60600000 147700000 54200000 63100000 0 278600000 13900000 32400000 0 28000000 59300000 0 100000 -1300000 4600000 13000000 19300000 10600000 5600000 3800000
Changes in Working Capital -513000000 -1660000000 45000000 -1245000000 562000000 1482000000 -1141000000 -1580000000 256000000 -488000000 -42000000 -799000000 -708000000 694700000 -411700000 -48400000 -64800000 -43200000 -13000000 192200000 -148100000 112500000 -259500000 -79600000 214900000 -61000000 -593900000 -281900000 -209000000 232500000 -177400000 32200000 -315200000 -137700000 -7700000
Accounts Receivable 489000000 -504000000 -1606000000 1239000000 -270000000 187000000 -426000000 60000000 -216000000 -298000000 142000000 -323000000 -273000000 181700000 -238000000 -118300000 0 0 -93500000 82500000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Inventory -133000000 -1676000000 507000000 -1854000000 -490000000 -255000000 -231000000 -590000000 -621000000 -505000000 -197000000 -805000000 -551000000 284600000 32200000 -249800000 -49500000 -200300000 -103300000 -55900000 -102800000 55400000 -16700000 -275400000 197300000 -58000000 -416700000 -301400000 -69700000 160800000 -97500000 115400000 -275000000 -86600000 -24500000
Accounts Payable -225000000 1365000000 1326000000 24000000 1525000000 1515000000 0 0 0 0 0 470000000 151000000 0 0 118300000 0 0 93500000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Deferred Revenue -131000000 -845000000 -182000000 -654000000 -203000000 35000000 -484000000 -1050000000 1093000000 315000000 13000000 -141000000 -35000000 228400000 -205900000 201400000 -15300000 157100000 90300000 165600000 -45300000 57100000 -242800000 195800000 17600000 -3000000 -177200000 19500000 -139300000 71700000 -79900000 -83200000 -40200000 -51100000 16800000
Other Working Capital -513000000 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 564000000 -1524000000 -3800000000 -1028000000 -264000000 276000000 -1008000000 -1034000000 -175000000 -1207000000 -1067000000 514000000 -1021000000 -1267500000 -798100000 -413800000 92900000 -1276600000 -360400000 -946500000 -215600000 -302800000 -342300000 -440000000 -416500000 -595000000 -496300000 -230000000 -581400000 -91600000 -172900000 -109900000 -211200000 -89400000 -40500000
Investments in Property Plant and Equipment -969000000 -758000000 -695000000 -1086000000 -1119000000 -1028000000 -1105000000 -1143000000 -963000000 -880000000 -636000000 -597000000 -432000000 -335100000 -455700000 -449200000 -313500000 -333700000 -257100000 -213900000 -185900000 -282800000 -317600000 -419900000 -384100000 -505900000 -465900000 -216400000 -154100000 -95300000 -97000000 -106500000 -164800000 -87200000 -42000000
Payments for Acquisitions 0 0 0 0 5000000 3000000 13000000 10000000 0 3000000 786000000 2000000 1000000 10100000 32000000 -325100000 28300000 1600000 -47200000 -289100000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Purchases of Securities -6059000000 -12913000000 -9961000000 -2426000000 -2937000000 -4783000000 -5928000000 -5217000000 -5086000000 -5386000000 -3702000000 -2705000000 -7639000000 -3724400000 -2908700000 -1865600000 -2133800000 -2619700000 -1527200000 -400800000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Proceeds from Sales and Maturities of Securities 7540000000 12166000000 6685000000 2453000000 3787000000 6109000000 6046000000 5310000000 5871000000 5058000000 2499000000 3851000000 7079000000 2793100000 2581300000 2246000000 2516200000 1709800000 1491900000 11600000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Investing Activities 52000000 -19000000 171000000 31000000 0 -25000000 -34000000 6000000 3000000 -2000000 -14000000 -37000000 -30000000 -11200000 -47000000 -19900000 -4300000 -34600000 -20800000 -54300000 -29700000 -20000000 -24700000 -20100000 -32400000 -89100000 -30400000 -13600000 -427300000 3700000 -75900000 -3400000 -46400000 -2200000 1500000
Cash From Financing Activities -7447000000 -4836000000 -1459000000 2491000000 -5293000000 -4835000000 -1942000000 -2671000000 -2790000000 -2914000000 -1040000000 -2118000000 -1972000000 -1061200000 -733900000 -1226100000 -1111500000 -850900000 -657000000 -398500000 -605200000 -478200000 -349900000 -252100000 -444100000 -271400000 313600000 -53800000 24900000 -250000000 -52300000 -192600000 228500000 -35700000 -118100000
Debt Repayment -500000000 -15000000 -197000000 -6183000000 -33000000 -29000000 -61000000 -113000000 -26000000 -77000000 -49000000 -203000000 -8000000 -32200000 -6800000 -35200000 -161300000 0 -9200000 -206900000 0 -511800000 0 0 0 0 0 0 0 0 0 0 0 0 0
Common Stock Issued 647000000 1151000000 1120000000 885000000 700000000 746000000 2298000000 1421000000 451000000 458000000 1314000000 403000000 386000000 159100000 363700000 343300000 322900000 225300000 226800000 0 44200000 59500000 56000000 23900000 54400000 32200000 26300000 21200000 6200000 4300000 7100000 4200000 3200000 1700000 2500000
Common Stock Repurchased -5480000000 -4014000000 -608000000 -3067000000 -4286000000 -4254000000 -3223000000 -3238000000 -2534000000 -2628000000 -1674000000 -1814000000 -1859000000 -741200000 -649200000 -1248000000 -985200000 -761100000 -556200000 -419800000 -196300000 -226900000 -157000000 -646300000 -299800000 -202300000 0 -18800000 -142900000 -140100000 0 0 0 0 0
Dividends Paid -2012000000 -1837000000 -1638000000 -1452000000 -1332000000 -1243000000 -1133000000 -1022000000 -899000000 -799000000 -703000000 -619000000 -555000000 -505400000 -466700000 -412900000 -343700000 -290900000 -236700000 -179200000 -137800000 -128900000 -129700000 -133100000 -136200000 -127300000 -100900000 -78800000 -65400000 -60300000 -53000000 -44500000 -39100000 -28100000 -20500000
Other Financing Activities -102000000 -121000000 -136000000 12308000000 -342000000 -55000000 177000000 281000000 218000000 132000000 72000000 115000000 64000000 58500000 25100000 126700000 55800000 -24200000 -81700000 407400000 -315300000 329900000 -119200000 503400000 -62500000 26000000 388200000 22600000 227000000 -53900000 -6400000 -152300000 264400000 -9300000 -100100000
Effect of Forex Changes on Cash -91000000 -143000000 143000000 -66000000 -129000000 45000000 -20000000 -105000000 -83000000 1000000 100000000 67000000 57000000 -47500000 -46900000 -19200000 42400000 25700000 6800000 24600000 -38100000 -29000000 85400000 -11600000 -10900000 12100000 42800000 -200000 -1100000 -7300000 -8900000 6200000 -2200000 2800000 -500000
Net Change in Cash -1133000000 -1315000000 1541000000 3882000000 217000000 441000000 670000000 -714000000 1632000000 -1117000000 1020000000 362000000 -1124000000 788000000 157200000 277200000 902500000 -433900000 560100000 194000000 58500000 271500000 49700000 56200000 89500000 -336800000 183200000 46000000 -302700000 227600000 31200000 140300000 29300000 4800000 10300000
Cash at Beginning of Period 8574000000 9889000000 8348000000 4466000000 4249000000 3808000000 3138000000 3852000000 2220000000 3337000000 2317000000 1955000000 3079000000 2291100000 2133900000 1856700000 954200000 1388100000 828000000 634000000 575500000 304000000 254300000 198100000 108600000 445400000 262100000 216100000 518800000 291300000 260100000 119800000 90400000 85700000 75400000
Cash at End of Period 7441000000 8574000000 9889000000 8348000000 4466000000 4249000000 3808000000 3138000000 3852000000 2220000000 3337000000 2317000000 1955000000 3079100000 2291100000 2133900000 1856700000 954200000 1388100000 828000000 634000000 575500000 304000000 254300000 198100000 108600000 445300000 262100000 216100000 518900000 291300000 260100000 119700000 90500000 85700000
Free Cash Flow 4872000000 4430000000 5962000000 1399000000 4784000000 3927000000 2535000000 1953000000 3717000000 2123000000 2391000000 1302000000 1380000000 2829100000 1280400000 1487100000 1565200000 1334200000 1313600000 1300500000 731500000 798700000 338900000 340000000 576900000 11600000 -142800000 113600000 100800000 481200000 168300000 330100000 -150600000 39900000 127400000
Operating Cash Flow 5841000000 5188000000 6657000000 2485000000 5903000000 4955000000 3640000000 3096000000 4680000000 3003000000 3027000000 1899000000 1812000000 3164200000 1736100000 1936300000 1878700000 1667900000 1570700000 1514400000 917400000 1081500000 656500000 759900000 961000000 517500000 323100000 330000000 254900000 576500000 265300000 436600000 14200000 127100000 169400000
Capital Expenditure -969000000 -758000000 -695000000 -1086000000 -1119000000 -1028000000 -1105000000 -1143000000 -963000000 -880000000 -636000000 -597000000 -432000000 -335100000 -455700000 -449200000 -313500000 -333700000 -257100000 -213900000 -185900000 -282800000 -317600000 -419900000 -384100000 -505900000 -465900000 -216400000 -154100000 -95300000 -97000000 -106500000 -164800000 -87200000 -42000000

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