TSLA 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
Report Filing: 2024-01-29 2023-01-31 2022-02-07 2021-02-08 2020-02-13 2019-02-19 2018-02-23 2017-03-01 2016-02-24 2015-02-26 2014-02-26 2013-03-07 2012-02-27 2011-03-03 2009-12-31 2008-12-31 2007-12-31
Net Income/Starting Line 14997000000 12587000000 5644000000 862000000 -775000000 -1062582000 -2240578000 -773046000 -888663000 -294040000 -74014000 -396213000 -254411000 -154328000 -55740000 -82782000 -78157000
Cash From Operating Activities 13256000000 14724000000 11497000000 5943000000 2405000000 2097802000 -60654000 -123829000 -524499000 -57337000 257994000 -234861000 -114364000 -127817000 -80825000 -52412000 -53469000
Depreciation and Amortization 4667000000 3747000000 2911000000 2322000000 2154000000 1901050000 1636003000 947099000 422590000 231931000 106083000 28825000 16919000 10623000 6940000 4157000 2895000
Deferred Income Tax -6349000000 -196000000 58000000 433000000 0 0 0 0 138428000 27896000 7439000 39507000 4923000 885000 1603000 -1245000 2421000
Stock Based Compensation 1812000000 1560000000 2121000000 1734000000 898000000 749024000 466760000 334225000 197999000 156496000 80737000 50145000 29419000 21156000 1434000 437000 198000
Other Non-Cash Items -90000000 934000000 245000000 408000000 477000000 452359000 573764000 61754000 98436000 77205000 12754000 56000 -111000 5022000 2481000 6492000 -36000
Changes in Working Capital -1781000000 -3908000000 518000000 184000000 -349000000 57951000 -496603000 -693861000 -493289000 -256825000 124995000 42819000 88897000 -11175000 -37543000 20529000 19210000
Accounts Receivable -586000000 -1124000000 -130000000 -652000000 -367000000 -496732000 -24635000 -216565000 46267000 -183658000 -21917000 -17303000 -2829000 -3222000 -168000 -3261000 -59000
Inventory -1195000000 -6465000000 -1709000000 -422000000 -429000000 -1023264000 -178850000 -2465703000 -1573860000 -1050264000 -463270000 -194726000 -13638000 -20115000 -7925000 -14542000 -2108000
Accounts Payable 2605000000 6029000000 1378000000 930000000 -296000000 1722850000 388206000 750640000 675380000 252781000 -243000 187821000 31859000 -212000 902000 8815000 523000
Deferred Revenue -2605000000 -2348000000 979000000 328000000 743000000 -144903000 -681324000 1237767000 358924000 724316000 610425000 67027000 73505000 12374000 -30352000 29517000 20854000
Other Working Capital 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Cash From Investing Activities -15584000000 -11973000000 -7868000000 -3132000000 -1436000000 -2337428000 -4418967000 -1416430000 -1673551000 -990444000 -249417000 -238150000 -175928000 -180297000 -14244000 -10590000 -9762000
Investments in Property Plant and Equipment -8899000000 -7172000000 -8014000000 -3242000000 -1437000000 -2319516000 -4081354000 -1440471000 -1634850000 -969885000 -264224000 -239228000 -197896000 -40203000 -11884000 -9630000 -9802000
Payments for Acquisitions -64000000 -45000000 2000000 -13000000 -45000000 -17912000 -114523000 213523000 -12260000 0 0 -31220000 0 0 0 0 0
Purchases of Securities -19112000000 -5835000000 -132000000 0 0 0 0 -1297469000 0 -205841000 0 -14992000 -64952000 0 0 0 0
Proceeds from Sales and Maturities of Securities 12491000000 22000000 -2000000 0 0 0 0 16667000 0 189131000 0 40000000 40000000 0 0 0 0
Other Investing Activities 0 1057000000 278000000 123000000 46000000 0 -223090000 1091320000 -26441000 -3849000 14807000 7290000 46920000 -140094000 -2360000 -960000 40000
Cash From Financing Activities 2589000000 -3527000000 -5203000000 9973000000 1529000000 573755000 4414864000 3743976000 1523523000 2143130000 635422000 419635000 446000000 338045000 155419000 55068000 45041000
Debt Repayment -1815000000 -3866000000 -14615000000 -12201000000 -389000000 -6087029000 -4263788000 -1904483000 -203780000 -11179000 -460762000 -15542000 -416000 -315000 -322000 -191000 0
Common Stock Issued 700000000 541000000 707000000 12269000000 848000000 -14973000 400175000 1701734000 750000000 -35149000 415000000 221496000 231468000 268842000 0 21000 0
Common Stock Repurchased 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Dividends Paid 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Financing Activities 3704000000 -202000000 8705000000 9905000000 1070000000 6675757000 8278477000 3946725000 977303000 2189458000 681184000 213681000 214948000 69518000 155741000 55238000 45041000
Effect of Forex Changes on Cash 4000000 -444000000 -183000000 334000000 8000000 -22700000 39455000 -7409000 -34278000 -35525000 0 0 0 0 0 0 0
Net Change in Cash 265000000 -1220000000 -1757000000 13118000000 2506000000 311429000 -25302000 2196308000 -708805000 1059824000 643999000 -53376000 155708000 29931000 60350000 -7934000 -18190000
Cash at Beginning of Period 16924000000 18144000000 19901000000 6783000000 4277000000 3964959000 3393216000 1196908000 1905713000 845889000 201890000 255266000 99558000 69627000 9277000 17211000 35401000
Cash at End of Period 17189000000 16924000000 18144000000 19901000000 6783000000 4276388000 3367914000 3393216000 1196908000 1905713000 845889000 201890000 255266000 99558000 69627000 9277000 17211000
Free Cash Flow 4357000000 7552000000 3483000000 2701000000 968000000 -221714000 -4142008000 -1564300000 -2159349000 -1027222000 -6230000 -474089000 -312260000 -168020000 -92709000 -62042000 -63271000
Operating Cash Flow 13256000000 14724000000 11497000000 5943000000 2405000000 2097802000 -60654000 -123829000 -524499000 -57337000 257994000 -234861000 -114364000 -127817000 -80825000 -52412000 -53469000
Capital Expenditure -8899000000 -7172000000 -8014000000 -3242000000 -1437000000 -2319516000 -4081354000 -1440471000 -1634850000 -969885000 -264224000 -239228000 -197896000 -40203000 -11884000 -9630000 -9802000

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