E. I. du Pont de Nemours ... (CTA-PA)
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Cashflow (Annual)

Get detailed ratio statement breakdowns, uncovering price to free cash flow ratio, price per earnings, and much more.
Year FY23 FY22 FY21 FY20 FY19 FY18 FY17 FY16 FY07 FY05 FY04
Net Income 924.00M 1.16B 1.77B 701.00M -941.00M -5.03B 2.71B 2.07B - - -
Depreciation & Amortization 1.21B 1.22B 1.24B 1.18B 1.60B 2.79B 1.56B 1.26B - - -
Stock-Based Compensation - - - - - - - - - - -
Other Working Capital -538.00M -641.00M 667.00M 186.00M -418.00M -1.56B 1.41B -77.00M - - -
Other Non-Cash Items 858.00M 326.00M 198.00M 563.00M 736.00M 1.38B 4.70B 4.62B - - -
Deferred Income Tax -438.00M -286.00M 174.00M -330.00M -477.00M 31.00M -3.02B - - - -
Change in Working Capital -786.00M -1.55B 656.00M 359.00M -556.00M -2.94B -583.00M -1.07B - - -
Operating Cash Flow 1.77B 872.00M 2.73B 2.06B 1.07B 483.00M 247.00M 3.36B - - -
Capital Expenditures -595.00M -605.00M -573.00M -475.00M -1.16B -1.50B -1.11B -1.02B - - -
Acquisitions -1.46B -48.00M -4.00M -1.00M 1.00M 1.00M 1.32B 316.00M - - -
Purchase of Investments -148.00M -344.00M -204.00M -995.00M -138.00M -1.26B -6.53B -2.65B - - -
Sales Maturities Of Investments 189.00M 295.00M 345.00M 721.00M 160.00M 2.19B 6.92B 2.18B - - -
Other Investing Acitivies 23.00M 70.00M 74.00M 76.00M 236.00M 66.00M -214.00M -340.00M - - -
Investing Cash Flow -1.99B -632.00M -362.00M -674.00M -904.00M -505.00M 386.00M -1.51B - - -
Debt Repayment 325.00M -1.17B 11.00M 436.00M -3.65B -4.80B 4.03B -240.00M - - -
Common Stock Repurchased -756.00M -1.00B -950.00M -275.00M -25.00M - -916.00M -916.00M - - -
Dividend Paid -439.00M -418.00M -397.00M -388.00M -10.00M -10.00M -998.00M -1.33B - - -
Other Financial Acitivies 771.00M 1.41B 70.00M 530.00M 1.26B - -893.00M -48.00M - - -
Financial Cash Flow -99.00M -1.18B -1.27B 303.00M -2.93B -2.62B 2.40B -2.38B - - -
Net Cash Flow -460.00M -1.22B 963.00M 1.70B -2.85B -2.89B 3.26B -542.00M - - -
Free Cash Flow 1.17B 267.00M 2.15B 1.59B -93.00M -1.02B -866.00M 2.34B - - -