WLK 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
2000
12-31
1999
12-31
Report Filing: 2024-02-22 2023-02-22 2022-02-23 2021-02-24 2020-02-19 2019-02-20 2018-02-21 2017-02-22 2016-02-24 2015-02-25 2014-02-21 2013-02-22 2012-02-23 2011-02-24 2010-02-24 2009-02-19 2008-02-20 2007-02-26 2006-02-23 2005-03-16 2004-03-26 2002-12-31 2000-12-31 1999-12-31
Net Income/Starting Line 479000000 2297000000 2070000000 373000000 462000000 1034000000 1339000000 419859000 665045000 685016000 610425000 385555000 258966000 221393000 52995000 -29543000 114729000 194559000 226817000 120722000 14756000 -7062000 54999000 37800000
Cash From Operating Activities 2336000000 3395000000 2394000000 1297000000 1301000000 1409000000 1538000000 833852000 1078836000 1032376000 752729000 624054000 362296000 283284000 235522000 186089000 62166000 237184000 318447000 150781000 78087000 -21326000 173377000 132884000
Depreciation and Amortization 1097000000 1056000000 840000000 773000000 713000000 641000000 601000000 377666000 245757000 208486000 157808000 144541000 131397000 128732000 123199000 111926000 104274000 87112000 82697000 83172000 88180000 88018000 78757000 86462000
Deferred Income Tax -175000000 -21000000 23000000 146000000 54000000 62000000 -534000000 100677000 39784000 58967000 93732000 -5793000 14114000 14153000 31207000 -13879000 5286000 13852000 45745000 65188000 7112000 -4716000 0 0
Stock Based Compensation 43000000 36000000 31000000 29000000 25000000 22000000 23000000 14193000 10196000 9261000 6966000 6127000 6391000 6164000 5638000 4178000 2873000 1082000 0 0 0 0 0 0
Other Non-Cash Items 560000000 51000000 44000000 54000000 50000000 24000000 19000000 -40042000 -7983000 6049000 7153000 -6518000 -6391000 -6164000 1869000 20515000 -1652000 4910000 2991000 3930000 7087000 9589000 39621000 8622000
Changes in Working Capital 332000000 -24000000 -614000000 -78000000 -3000000 -374000000 90000000 -38501000 126037000 64597000 -123355000 100142000 -42181000 -80994000 20614000 92892000 -163344000 -64331000 -39803000 -122231000 -39048000 -107155000 0 0
Accounts Receivable 225000000 325000000 -528000000 -161000000 59000000 -58000000 -40000000 50291000 62722000 33161000 -14830000 6450000 -45766000 -33478000 5667000 148852000 -200657000 -7411000 0 -39315000 -42177000 0 0 0
Inventory 250000000 -140000000 -309000000 29000000 112000000 -123000000 -32000000 -61985000 99430000 51087000 -46633000 91479000 -40749000 -80611000 -41450000 199904000 -71595000 -47275000 -20054000 -119056000 -9894000 -42639000 0 0
Accounts Payable -26000000 -153000000 242000000 67000000 -89000000 -100000000 86000000 11950000 -21604000 -97237000 13820000 -12725000 20311000 25644000 67044000 -202865000 77441000 59150000 0 30816000 25197000 0 0 0
Deferred Revenue -117000000 -56000000 -19000000 -13000000 -85000000 -93000000 76000000 -38757000 -14511000 77586000 -75712000 14938000 24023000 7451000 -10647000 -52999000 31467000 -68795000 -19749000 5324000 -12174000 -64516000 0 0
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
Cash From Investing Activities -1037000000 -2479000000 -3213000000 -509000000 -1954000000 -754000000 -652000000 -2562800000 -1006176000 -773205000 -1002238000 -466971000 -202785000 -80275000 -103186000 -171952000 -124805000 -404336000 -87590000 -79963000 -41581000 -38686000 -87693000 -25251000
Investments in Property Plant and Equipment -1034000000 -1108000000 -658000000 -525000000 -787000000 -702000000 -577000000 -628483000 -491426000 -431104000 -679358000 -391190000 -176843000 -81269000 -99769000 -172561000 -135725000 -136258000 -85760000 -52710000 -44931000 -43587000 0 0
Payments for Acquisitions -25000000 -1383000000 -2578000000 26000000 -1176000000 -68000000 -13000000 -2437829000 43647000 -611087000 -201647000 2304000 0 914000 -6297000 8043000 8043000 -235674000 0 -33294000 0 0 0 0
Purchases of Securities -25000000 -180000000 -24000000 -18000000 -862000000 0 -66000000 -155422000 -605098000 -117332000 -367150000 -127834000 -30265000 -10177000 0 0 -308000 -221084000 -1867000 0 -15100000 0 0 0
Proceeds from Sales and Maturities of Securities 25000000 180000000 24000000 44000000 862000000 0 0 662938000 48900000 340214000 245599000 48086000 251000 9494000 0 0 190000 216510000 0 0 0 0 0 0
Other Investing Activities 22000000 12000000 23000000 -36000000 9000000 16000000 4000000 -4004000 -2199000 46104000 318000 1663000 4072000 763000 2880000 -7434000 2995000 -27830000 37000 6041000 18450000 4901000 -87693000 -25251000
Cash From Financing Activities -245000000 -587000000 1437000000 -216000000 630000000 -1427000000 160000000 1533217000 -286812000 164640000 -79268000 -192906000 36091000 181698000 23017000 51188000 34907000 -18097000 -36358000 -64803000 -10248000 -7960000 -83286000 -129517000
Debt Repayment 0 -250000000 -1661000000 -1254000000 -18000000 -1179000000 -957000000 -125000000 -73615000 -5524000 0 -250000000 0 -3331000 -2203000 -852812000 0 0 0 0 0 0 0 0
Common Stock Issued 44000000 0 -1661000000 1282000000 63000000 14000000 111000000 2028512000 54023000 286088000 0 259187000 0 0 0 0 328000 1849000 1184000 192652000 0 0 0 0
Common Stock Repurchased -23000000 -101000000 -30000000 -54000000 -30000000 -106000000 978000000 -67406000 -162459000 -52630000 -32918000 -10784000 -2518000 0 0 0 0 0 0 -11485000 0 0 0 0
Dividends Paid -221000000 -169000000 -145000000 -137000000 -132000000 -120000000 -103000000 -96560000 -91551000 -77656000 -55236000 -285521000 -18265000 -16014000 -14510000 -13456000 -11778000 -8802000 -6342000 -1379000 0 0 0 0
Other Financing Activities -45000000 -67000000 4934000000 -53000000 747000000 -36000000 131000000 -206329000 -13210000 14362000 8886000 94212000 56874000 201043000 39730000 917456000 46357000 -11144000 -31200000 -244591000 -10248000 -7960000 -83286000 -129517000
Effect of Forex Changes on Cash 19000000 -24000000 -14000000 15000000 -2000000 -7000000 26000000 -7341000 -3924000 -4511000 0 0 0 0 0 0 0 0 0 0 0 0 -85684000 -107633000
Net Change in Cash 1076000000 305000000 604000000 587000000 -25000000 -779000000 1072000000 -203072000 -218076000 419300000 -328777000 -35823000 195602000 384707000 155353000 65325000 -27732000 -185249000 194499000 6015000 26258000 -67972000 -83286000 -129517000
Cash at Beginning of Period 2228000000 1941000000 1337000000 750000000 775000000 1554000000 459000000 662525000 880601000 461301000 790078000 825901000 630299000 245592000 90239000 24914000 52646000 237895000 43396000 37381000 11123000 79095000 0 0
Cash at End of Period 3304000000 2246000000 1941000000 1337000000 750000000 775000000 1531000000 459453000 662525000 880601000 461301000 790078000 825901000 630299000 245592000 90239000 24914000 52646000 237895000 43396000 37381000 11123000 -83286000 -129517000
Free Cash Flow 1302000000 2287000000 1736000000 772000000 514000000 707000000 961000000 205369000 587410000 601272000 73371000 232864000 185453000 202015000 135753000 13528000 -73559000 100926000 232687000 98071000 33156000 -64913000 173377000 132884000
Operating Cash Flow 2336000000 3395000000 2394000000 1297000000 1301000000 1409000000 1538000000 833852000 1078836000 1032376000 752729000 624054000 362296000 283284000 235522000 186089000 62166000 237184000 318447000 150781000 78087000 -21326000 173377000 132884000
Capital Expenditure -1034000000 -1108000000 -658000000 -525000000 -787000000 -702000000 -577000000 -628483000 -491426000 -431104000 -679358000 -391190000 -176843000 -81269000 -99769000 -172561000 -135725000 -136258000 -85760000 -52710000 -44931000 -43587000 0 0

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