BB Cash Flow Statement


* In Millions (except for per share items) of USD
Period Ending: LTM
(Last Twelve Months)
2024
02-29
2023
02-28
2022
02-28
2021
02-28
2020
02-29
2019
02-28
2018
02-28
2017
02-28
2016
02-29
2015
02-28
2014
02-28
2013
02-28
2012
02-29
2011
02-28
2010
02-28
2009
02-28
2008
02-29
2007
02-28
2006
02-28
2005
02-28
2004
02-29
2003
02-28
2002
02-28
2001
02-28
2000
02-29
1999
02-28
1998
02-28
1997
02-28
Report Filing: 2024-04-04 2023-02-28 2022-04-01 2021-03-31 2020-04-07 2019-02-28 2018-02-28 2017-02-28 2016-02-29 2015-02-28 2014-02-28 2013-02-28 2012-02-29 2011-02-28 2010-02-28 2009-02-28 2008-02-29 2007-02-28 2006-02-28 2005-02-28 2004-02-29 2003-02-28 2002-02-28 2001-02-28 2000-02-29 1999-02-28 1998-02-28 1997-02-28
Net Income/Starting Line -129219783 -734000000 12000000 -1104000000 -152000000 93000000 405000000 -1206000000 -208000000 -304000000 -5873000000 -646000000 1164000000 3411000000 2457144000 1892616000 1297942917 631477578 381448855 213387000 51829000 -148989619.92048 -28472199.863979 -6211000 10498000 6306756 399114 219202
Cash From Operating Activities -2981994 -263000000 -28000000 82000000 26000000 100000000 704000000 -224000000 257000000 813000000 -159000000 2303000000 2912000000 4009000000 3034874000 1451845000 1581726078 735559015 149843854 277982000 63835000 2792485 17700772 5146000 -15747000 1701823 199557 -12932924.156072
Depreciation and Amortization 58645901 105000000 176000000 198000000 212000000 149000000 177000000 239000000 616000000 694000000 1270000000 1918000000 1523000000 927000000 615621000 327896000 177924735 126336109 85731598 66760000 54529000 31174749 17735764 9123000 4683000 2702895 1496681 438404
Deferred Income Tax -245715641 0 0 -3000000 32000000 -25000000 -7000000 33000000 -105000000 62000000 -149000000 89000000 -5000000 92000000 51363000 -36623000 -67455831.037649 101560814 77809663 -143651000 0 29270053 -16916959.611653 5011000 3650000 0 0 -73067.368113
Stock Based Compensation 33000000 34000000 36000000 44000000 63000000 0 49000000 60000000 60000000 50000000 68000000 86000000 97000000 72000000 58038000 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Non-Cash Items 434377270 325000000 -253000000 1003000000 -108000000 -169000000 192000000 753000000 -219000000 252000000 3266000000 371000000 343000000 3000000 13417000 31203000 38794828 19060150 0.8788500428199768 -137000 1082000 163145 5352721 14742000 -3162000 100107 99778 73067
Changes in Working Capital -154069741 7000000 1000000 -56000000 -21000000 -15000000 -112000000 -103000000 113000000 59000000 1259000000 485000000 -210000000 -496000000 -160709000 -769114000 131206024 -142560683.4978 -395811166.67399 141623000 -43605000 91174156 40001446 -17519000 -31416000 -7407936.360623 -1796017.42552 -13371328.364752
Accounts Receivable -88465851 18000000 44000000 29000000 18000000 -9000000 49000000 157000000 200000000 469000000 1381000000 709000000 898000000 -1352000000 -480610000 0 0 0 0 0 0 0 0 0 0 0 0 0
Inventory -1 0 0 5000000 -4000000 46000000 23000000 117000000 -21000000 123000000 359000000 426000000 -409000000 42000000 60789000 -286133000 -140802159.983675 -121219874.407279 -41964785.340774 -49653000 -11561000 6207525 30559701 -31192000 -17040000 -9309973.483593 299336 -8475814.701154
Accounts Payable -6957988 2000000 2000000 -11000000 -17000000 -15000000 -82000000 -167000000 14000000 -240000000 -590000000 296000000 -90000000 216000000 167281000 0 0 0 0 0 0 0 0 0 0 0 0 0
Deferred Revenue -58645901 -13000000 -45000000 -79000000 -18000000 -37000000 -102000000 -210000000 -80000000 -293000000 109000000 -946000000 -609000000 598000000 91831000 -482981000 272008184 -21340809.090520993 -353846381.333216 191276000 -32044000 84966631 9441744 13673000 -14376000 1902037 -2095353.4288930001 -4895513.663598001
Other Working Capital 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 -0.016324996948242188 0.0 0.0 0 0 0 1 0 0 0.12296999990940094 0.0033730000723153353 0.0
Cash From Investing Activities 45723923 176000000 207000000 -65000000 -188000000 -375000000 -630000000 724000000 -439000000 -1173000000 -1040000000 -2240000000 -3024000000 -1698000000 -1470127000 -1823523000 -1157572112.029385 -364522494.76697 67213141 -878075000 -196832000 21415062 -181666613.006882 -83947000 -185539000 -56360379.18462 -5886946.318156 -6064591.553412
Investments in Property Plant and Equipment -20873964 -41000000 -39000000 -44000000 -44000000 -49000000 -45000000 -69000000 -102000000 -508000000 -1363000000 -1418000000 -3119000000 -1596000000 -1430816000 -1521434000 -728329164.370983 -314297004.570892 -202100664.41095 -109363000 -21815000 -39705342.678078 -73899350.467027 -68146000 -24419000 -8709330.460723 -5886946.318156 -6064591.553412
Payments for Acquisitions 176999999 16360850 0 -36000000 1000000 -1402000000 30000000 -5000000 -698000000 -119000000 -7000000 -60000000 -226000000 -494000000 -143375000 -48425000 -6219530.660137 -116172629.330599 -3788750.714066 -3888000 0 -22009591.616686 -9706681.891071 0 0 0 0 0
Purchases of Securities -155063739 -517000000 -917000000 -1044000000 -1181000000 -2897000000 -3526000000 -1796000000 -3090000000 -3751000000 -1928000000 -1768000000 -605000000 -1287000000 -1339933000 -1424398000 -2013899227.629834 -263187646.631637 -301875101.287516 -842170000 -211060000 -232136631.848507 -925663925.02605 -388672000 -259968000 -76582042.426251 0 0
Proceeds from Sales and Maturities of Securities 221661627 717000000 1139000000 1047000000 1036000000 3972000000 2938000000 2499000000 3447000000 2857000000 2209000000 1006000000 926000000 1679000000 1443997000 1170734000 1590875811 329134785 574977657 94407000 67817000 346291244 834707647 393683000 98848000 28930993 0 0
Other Investing Activities -177000000 639150 24000000 12000000 -177000000 1000000 -27000000 95000000 4000000 348000000 49000000 -1822000000 0 0 0 0 -1.0203030109405518 0.00000005960464477539063 -0.000001043081283569336 -17061000 -31774000 -31024615.54013102 -7104303.389925063 -20812000 0 0.0000009909272193908691 0 0
Cash From Financing Activities -164009724 6000000 10000000 -227000000 7000000 5000000 2000000 -722000000 -78000000 16000000 1224000000 -36000000 -149000000 -2087000000 -843381000 25367000 80651268 -153638027.254475 -367565753.833985 53952000 948881000 -23982347.193207 -4335964.534626 587489000 191632000 600643 75632289 25500511
Debt Repayment -169973719 0 0 -611000000 -2000000 0 0 -1315000000 0 0 -1250000000 0 0 0 -6099000 0 0 0 0 0 0 0 0 0 0 0 0 0
Common Stock Issued 5963989 6000000 10000000 19000000 9000000 5000000 8000000 5000000 4000000 67000000 3000000 0 9000000 67000000 30246000 27024000 72743435 44527342 23230684 54151000 994640000 1156028 1490643 615551000 198535000 0 82117908 28569340
Common Stock Repurchased 0 0 0 0 0 0 -18000000 0 -93000000 0 -16000000 -25000000 -156000000 -2153000000 -869471000 0 0 -203902511.854415 -390567814.738322 0 0 -24523829.098996 -5523680.811635 0 0 0 0 0
Dividends Paid 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 -299336.003373 0
Other Financing Activities -165000000 6000000 10000000 365000000 7000000 5000000 12000000 588000000 11000000 -51000000 1237000000 -11000000 -2000000 -1000000 1943000 -1657000 7907832 5737142 -228623.28074896336 -199000 -45759000 -614546.8023450002 -302927.5780099998 -28062000 -6903000 600643 -6186282.321528003 -3068829.460763
Effect of Forex Changes on Cash -732205 -3000000 -1000000 2000000 -1000000 -3000000 6000000 -1000000 -16000000 -2000000 5000000 -5000000 -3000000 16000000 -6051000 -2541000 4046707 172974 -56906.446368 76000 -146000 -20017.521396 -3998.901846 8000 162000 -100106.72853899747 0 73067
Net Change in Cash -111415563 -84000000 188000000 -208000000 -156000000 -273000000 82000000 -223000000 -276000000 -346000000 30000000 22000000 -264000000 240000000 715315000 -348852000 508851942 217571468 -150565663.31238705 -546065000 815738000 205182 -168305803.368088 508696000 -9492000 -54158019.224395 69944900 6576063
Cash at Beginning of Period 286175156 406000000 218000000 426000000 582000000 855000000 734000000 957000000 1233000000 1579000000 1549000000 1527000000 1791000000 1551000000 835546000 1184398000 679277126 459471297 609348966 1156419000 340681000 340779338 508700507 126000 9618000 63668207 6685176 365336
Cash at End of Period 174759593 322000000 406000000 218000000 426000000 582000000 816000000 734000000 957000000 1233000000 1579000000 1549000000 1527000000 1791000000 1550861000 835546000 1188129069 677042765 458783303 610354000 1156419000 340984520 340394703 508822000 126000 9510188 76630077 6941399
Free Cash Flow -23855958 -304000000 -67000000 38000000 -18000000 51000000 659000000 -293000000 155000000 305000000 -1522000000 885000000 -207000000 2413000000 1604058000 -69589000 853396914 421262011 -52256809.772817016 168619000 42020000 -36912857.3354 -56198578.015710995 -63000000 -40166000 -7007507.4577399995 -5687388.982574 -18997515.709484
Operating Cash Flow -2981994 -263000000 -28000000 82000000 26000000 100000000 704000000 -224000000 257000000 813000000 -159000000 2303000000 2912000000 4009000000 3034874000 1451845000 1581726078 735559015 149843854 277982000 63835000 2792485 17700772 5146000 -15747000 1701823 199557 -12932924.156072
Capital Expenditure -20873964 -41000000 -39000000 -44000000 -44000000 -49000000 -45000000 -69000000 -102000000 -508000000 -1363000000 -1418000000 -3119000000 -1596000000 -1430816000 -1521434000 -728329164.370983 -314297004.570892 -202100664.41095 -109363000 -21815000 -39705342.678078 -73899350.467027 -68146000 -24419000 -8709330.460723 -5886946.318156 -6064591.553412

Disclaimer: The data contained in this website is not necessarily real-time nor accurate. All derived (stocks, indexes, futures) and Forex prices are not provided by exchanges but rather by our third party API www.financialmodellingprep.com, and so prices may not be accurate and may differ from the actual market price, meaning prices are indicative and not appropriate for trading purposes. Therefore, Discounting Cash Flows Inc. doesn't bear any responsibility for any trading losses you might incur as a result of using this data. Discounting Cash Flows Inc. or anyone involved with Discounting Cash Flows Inc. will not accept any liability for loss or damage as a result of reliance on the information including data, quotes, charts and buy/sell signals contained within this website. Please be fully informed regarding the risks and costs associated with trading the financial markets, it is one of the riskiest investment forms possible.