Fundamentals - Cash Flow

  Year Ending Dec 2022 (Update) Year Ending Dec 2021 (Update) Year Ending Dec 2020 (Update) Year Ending Dec 2019 (Update)
Net Income/Starting Line 665.70 737.30 -173.70 433.60
Depreciation – Supplemental 460.90 416.00 391.30 355.00
Depreciation/Depletion 460.90 416.00 391.30 355.00
Deferred Taxes -154.00 125.90 -134.50 27.60
Unusual Items -282.10 -344.40
Equity in Net Earnings (Loss) -- -169.80 668.00 -113.90
Other Non-Cash Items 2.80 76.50 96.70 134.90
Non-Cash Items -279.30 -437.70 764.70 21.00
Accounts Receivable -115.10 3.60 5.90 17.80
Inventories -130.10 -3.40 -8.90 4.20
Other Assets 327.90 -1,087.90 -74.70 -78.80
Accounts Payable 155.40 7.50 59.80 -34.50
Other Liabilities -88.30 -74.60 -117.10 -64.40
Changes in Working Capital 149.80 -1,154.80 -135.00 -155.70
Cash from Operating Activities 843.10 -313.30 712.80 681.50
Purchase of Fixed Assets -1,050.90 -778.50 -650.50 -635.50
Capital Expenditures -1,050.90 -778.50 -650.50 -635.50
Acquisition of Business
Sale of Business -- 35.00
Sale of Fixed Assets -- --
Sale/Maturity of Investment 1.07M -- -- 18.50
Purchase of Investments -3.40 -5.60 -4.40 -7.70
Other Investing Cash Flow
Other Investing Cash Flow Items, Total 1.06M 29.40 -4.40 10.80
Cash from Investing Activities 12.90 -749.10 -654.90 -624.70
Other Financing Cash Flow -- -- -0.10
Financing Cash Flow Items -- -- -0.10
Cash Dividends Paid - Common -329.30 -324.90 -314.90 -299.20
Total Cash Dividends Paid -329.30 -324.90 -314.90 -299.20
Sale/Issuance of Common
Repurchase/Retirement of Common -- -- -14.70
Common Stock, Net -- -- -14.70
Options Exercised -0.90 -3.40 -7.10 -10.30
Issuance (Retirement) of Stock, Net -0.90 -3.40 -21.80 -10.30
Short Term Debt Reduction
Short Term Debt, Net -486.90 391.90 -17.00 112.00
Long Term Debt Issued 49.30 997.80 297.10 296.50
Long Term Debt Reduction -0.10 -0.10 -0.10 -250.10
Long Term Debt, Net 49.20 997.70 297.00 46.40
Issuance (Retirement) of Debt, Net -437.70 1.39M 280.00 158.40
Cash from Financing Activities -767.90 1.06M -56.80 -151.10
Net Change in Cash 88.10 -1.10 1.10 -94.30
Net Cash - Beginning Balance -- 1.10 -- 94.30
Net Cash - Ending Balance 88.10 -- 1.10 --
Cash Interest Paid 164.00 156.40 153.40 152.20
Cash Taxes Paid 276.00 8.70 3.90 5.50

In millions of USD (except for per share items)

For a more complete picture of our financial results, please review our SEC Filings

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