Bank of Montreal

NYSE: BMO · Real-Time Price · USD
114.15
-0.02 (-0.02%)
At close: Aug 15, 2025, 9:58 AM

Bank of Montreal Cash Flow Statement

Financials in CAD. Fiscal year is November - October.
Fiscal Year Q2 2025 Q1 2025 Q4 2024 Q3 2024 Q2 2024 Q1 2024 Q4 2023 Q3 2023 Q2 2023 Q1 2023 Q4 2022 Q3 2022 Q2 2022 Q1 2022 Q4 2021 Q3 2021 Q2 2021 Q1 2021
Period Ending Apr 30, 2025 Jan 31, 2025 Oct 31, 2024 Jul 31, 2024 Apr 30, 2024 Jan 31, 2024 Oct 31, 2023 Jul 31, 2023 Apr 30, 2023 Jan 31, 2023 Oct 31, 2022 Jul 31, 2022 Apr 30, 2022 Jan 31, 2022 Oct 31, 2021 Jul 31, 2021 Apr 30, 2021 Jan 31, 2021
Net Income
8.27B 8.17B 7.32B 6.64B 6.34B 5.5B 4.34B 7.21B 7.01B 10.74B 13.54B 11.21B 12.12B 8.67B 7.75B 7.18B 6.14B 5.52B
Depreciation & Amortization
2.14B 2.12B 2.11B 2.18B 2.2B 2.24B 2.09B 1.88B 1.69B 1.49B 1.48B 1.5B 1.51B 1.54B 1.56B 1.58B 1.59B 1.61B
Stock-Based Compensation
n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Other Working Capital
-6.66B 1.51B 13.86B 14.53B 23.57B -5.29B -436M 11.33B 31M 34.79B -10.31B -14.77B -24.18B -9.41B 34.63B 7.07B 41.05B 50.21B
Other Non-Cash Items
4.01B 3.58B 3.25B 2.4B 2B 2.44B 2B 1.84B 1.44B 411M 61M -475M -786M -54M 208M 882M 2.17B 2.6B
Deferred Income Tax
653M 212M 153M -195M -888M -542M -746M -724M -256M 200M 475M 502M 672M 262M 184M 191M 10M 203M
Change in Working Capital
-6.66B 1.51B 13.86B 14.53B 24.55B -3.89B 1.9B 13.69B 1.36B 35.45B -10.6B -15.21B -24.54B -9.74B 34.34B 6.61B 40.81B 49.94B
Operating Cash Flow
8.41B 15.59B 26.7B 25.56B 34.21B 5.75B 9.59B 23.89B 11.25B 48.29B 4.96B -2.47B -11.02B 686M 44.05B 16.44B 50.72B 59.87B
Capital Expenditures
-1.67B -1.56B -1.56B -1.67B -1.63B -1.7B -1.68B -1.63B -1.62B -1.55B -1.45B -1.26B -1.14B -1.02B -983M -954M -911M -1.01B
Cash Acquisitions
n/a n/a n/a 5M -150M -15.06B -15.1B -15.11B -14.95B -34M 1.23B 1.23B 1.29B 1.28B 63M 63M n/a -186M
Purchase of Investments
-82.14B -81.23B -86.98B -77.06B -62.92B -59.02B -50.15B -53.64B -58.13B -58.7B -96.6B -88.89B -91.16B -89.46B -49.62B -51.55B -57.6B -81.07B
Sales Maturities Of Investments
71.64B 77.05B 63.5B 55.79B 51.1B 47.16B 44.09B 48.56B 47.98B 47.65B 64.03B 59.54B 58.81B 63.08B 50.1B 54.73B 54.74B 59.53B
Other Investing Acitivies
1.52B 1.51B 854M 872M 609M 332M 888M 2.2B 2.08B 3.2B 2.65B 1.06B 1.06B -781M -355M -1.47B -2.72B -2.12B
Investing Cash Flow
-10.98B -4.57B -24.53B -21.63B -12.59B -27.69B -21.16B -18.86B -23.87B -8.7B -29.47B -27.7B -30.58B -26.39B -299M 1.33B -5.98B -24.25B
Debt Repayment
940M -325M -357M -1.97B -52M -2.59B -3.1B 866M -1.94B 3.97B 7.81B 9.01B 8.63B 3.05B -1.25B -6.17B -6.02B 321M
Common Stock Repurchased
-1.44B -480M -1M -1M -2M -12M -11M -413M -916M -1.52B -1.52B -1.12B -615M n/a n/a -76M -76M -134M
Dividend Paid
-4.93B -4.38B -3.84B -3.31B -2.81B -2.78B -2.7B -2.68B -2.54B -2.52B -2.6B -2.71B -2.86B -2.99B -2.98B -2.73B -2.5B -2.5B
Other Financial Acitivies
-6.02B -8.73B -12.07B -9.2B -9.51B -2.27B 2.07B 2.46B 7.96B 3.13B 6.93B 6.93B 3.77B 3.79B n/a n/a -5.33B -5.39B
Financial Cash Flow
-11.57B -12.71B -15.09B -12.88B -10.95B -7.57B 268M 5.21B 8.06B 12.36B 15.98B 16.17B 12.54B 3.68B -5.12B -8.28B -13.3B -7.11B
Net Cash Flow
-14.51B 1.8B -12.84B -6.5B 11.37B -28.68B -9.53B 11.68B -1.79B 53.22B -5.79B -14.24B -28.31B -22.97B 35.85B 7.24B 27B 27.35B
Free Cash Flow
6.74B 14.04B 25.14B 23.89B 32.58B 4.05B 7.91B 22.26B 9.63B 46.75B 3.51B -3.73B -12.15B -333M 43.07B 15.48B 49.8B 58.86B