Interpublic Group of Comp...

NYSE: IPG · Real-Time Price · USD
26.11
0.26 (1.01%)
At close: Aug 15, 2025, 3:59 PM
25.96
-0.59%
After-hours: Aug 15, 2025, 07:03 PM EDT

Interpublic of Companies Cash Flow Statement

Financials in USD. Fiscal year is January - December.
Fiscal Year 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 Mar 31, 2025 Dec 31, 2024 Sep 30, 2024 Jun 30, 2024 Mar 31, 2024 Dec 31, 2023 Sep 30, 2023 Jun 30, 2023 Mar 31, 2023 Dec 31, 2022 Sep 30, 2022 Jun 30, 2022 Mar 31, 2022 Dec 31, 2021 Sep 30, 2021 Jun 30, 2021 Mar 31, 2021
Net Income
511.7M 707.4M 812.3M 1.03B 1.09B 1.11B 952.4M 964.2M 927.3M 956.1M 1.02B 1.01B 1.04B 972.8M 721.8M 755.7M 444M
Depreciation & Amortization
254.7M 258.9M 260.8M 261.5M 263M 276.1M 282.9M 297.4M 298M 287.5M 290.5M 279.4M 305.4M 306.8M 305.4M 307M 287M
Stock-Based Compensation
60.6M 64.8M 63.1M 57.3M 52M 46.7M 48M 48.6M 48.6M 50M 50.2M 53.2M 62.3M 70.1M 68.5M 73.4M 64.1M
Other Working Capital
-337.3M -421.6M -469.7M -448.2M -413.3M -562.5M -365.2M -263.8M -264.1M -238.7M -315.4M -477.7M -325.1M 55.9M 42.3M 12.1M -56.2M
Other Non-Cash Items
658.7M 785.8M 710.3M 475.1M 288.5M 13.8M 150.7M 98.3M 89.9M 107.1M 8M 40.1M 17.8M 90M 266.9M 328.1M 465.7M
Deferred Income Tax
-92.8M -28.1M -14.3M -9.8M -3.1M 5.1M -58.5M -55.9M -32.7M -27M -16.8M -54.9M -6.5M -8.2M -2.4M 21.3M -17M
Change in Working Capital
-36.2M -296.5M -313.2M -280M -487.5M -896.7M -448M -602.2M -636.3M -764.9M -541.9M -190.3M 271.5M 644.1M 770.5M 944.3M 630.7M
Operating Cash Flow
1.18B 1.06B 1.08B 1.1B 944.9M 554.7M 927.5M 750.4M 694.8M 608.8M 808.2M 1.13B 1.69B 2.08B 2.13B 2.43B 1.87B
Capital Expenditures
-128.2M -141.8M -159.4M -169.9M -181.5M -179.3M -186.7M -185.1M -180.3M -178.1M -190.4M -205.5M -197.7M -195.3M -178.9M -157.7M -151.2M
Cash Acquisitions
-12.7M 7.9M 27.3M 30.1M 38.6M 51M -239.9M -238.5M -256.6M -252.6M -4.1M -20.4M n/a n/a -18.7M -2.4M -3.6M
Purchase of Investments
-26.4M -26.4M 51.6M 52M 98.6M 98.6M 46.4M 46.4M n/a n/a -16.3M 45M 45M 45M 61.3M n/a n/a
Sales Maturities Of Investments
5.6M 5.6M 116.4M 116.4M 135.8M 135.8M 19.1M 19.1M -2.6M n/a 4.7M 8.6M 8.6M 34.8M 32.7M 28.8M 28.8M
Other Investing Acitivies
2.4M 3.6M -48.8M -50.1M -193.6M -192.9M -148.5M -137.9M 3.5M 600K 9.7M -59.7M -70.2M -69.8M -95.2M -34.7M -29.2M
Investing Cash Flow
-159.3M -151.1M -12.9M -20.1M -100.7M -85.4M -508.2M -496M -436M -430.1M -196.4M -232M -214.3M -185.3M -198.8M -166M -155.2M
Debt Repayment
-233.4M -249.7M -246.4M -269.3M 279.2M 299.6M 258.8M 250.1M -73.2M -59.3M -531.9M -516.2M -471.5M -557M -556.5M -557.1M -821.1M
Common Stock Repurchased
-257.7M -230.1M -361.3M -352.3M -334.8M -350.2M -317.5M -300.2M -334.8M -320.1M -222.1M -149.4M -66.2M -25.5M -25.1M -24.5M -25.6M
Dividend Paid
-495.2M -496.5M -491.6M -487M -482.5M -479.1M -473.4M -467.8M -462.2M -457.3M -451.4M -444.6M -436.9M -427.7M -420.9M -414.1M -407.2M
Other Financial Acitivies
-54.2M -29.8M -28.8M -25.3M -35.1M -104.2M -103.6M -102.2M -92.7M -62M -64.1M -103.1M -107.5M -74.5M -73.8M -43.1M -52.5M
Financial Cash Flow
-1.04B -1.02B -1.14B -1.15B -587.1M -634.3M -636.5M -620.8M -963.6M -899.4M -1.27B -1.21B -1.08B -1.08B -1.08B -1.04B -1.3B
Net Cash Flow
-66.1M -202.4M -42M -79.4M 255.9M -154.3M -191.4M -349.7M -717.9M -719.1M -721.8M -358.3M 385.9M 760.7M 866.6M 1.26B 463.3M
Free Cash Flow
1.05B 913.4M 922.5M 930.9M 763.4M 375.4M 740.8M 565.3M 514.5M 430.7M 617.8M 927.3M 1.49B 1.88B 1.95B 2.27B 1.72B