Morgan Stanley (MS-PL)
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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 FY15 FY14 FY13 FY12 FY11 FY10 FY09 FY08 FY07 FY06 FY05 FY04 FY03 FY02 FY01 FY00 FY99 FY98 FY97 FY96 FY95 FY94 FY93 FY92 FY91 FY90 FY89
Net Income 9.09B 11.18B 15.12B 11.18B 9.24B 8.88B 6.22B 6.12B 6.28B 3.67B 3.61B 716.00M 4.64B 5.70B 1.41B 1.71B 3.21B 7.47B 4.94B 4.49B 3.79B 2.99B 3.52B 5.46B 4.79B 3.39B 2.59B 951.40M 856.40M 740.90M 603.60M 510.50M 475.10M 270.40M 443.00M
Depreciation & Amortization 4.26B 4.00B 4.22B 3.77B 2.64B 1.84B 1.75B 1.74B 1.43B 1.16B 1.51B 1.58B 1.40B 1.42B 1.22B 794.00M 475.00M 876.00M 815.00M 805.00M 637.00M 787.00M 729.00M 727.00M 541.00M 575.00M 338.00M 83.30M 70.00M 58.80M 51.30M - - - -
Stock-Based Compensation 1.71B 1.88B 2.08B 1.31B 1.15B 920.00M 1.03B 1.14B 1.10B 1.26B 1.18B 891.00M 1.30B 1.26B 1.26B 1.88B 1.94B 1.96B - - - - - - - - - - - - - - - - -
Other Working Capital -46.08B -33.27B -3.68B 8.93B -7.31B 29.75B -28.61B -10.73B 27.04B 4.68B -43.34B 16.63B 28.23B 55.32B -93.70B 139.81B -42.81B -97.14B -6.88B -31.32B 2.35B -10.79B -29.77B 54.45B -5.61B 8.21B 5.22B -62.30M 169.40M 1.66B 340.50M 85.20M -3.32B 2.76B 451.30M
Other Non-Cash Items 983.00M 898.00M -143.00M 1.04B -33.00M 184.00M 182.00M 42.00M 316.00M -134.00M -46.00M 186.00M 832.00M -79.00M -274.00M -3.25B 756.00M 881.00M -29.15B 1.72B -4.62B 1.91B 1.85B -62.80B -28.84B 3.25B -8.65B 1.32B 800.90M 585.40M 457.60M 4.23B 3.47B -10.49B -9.88B
Deferred Income Tax -463.00M -849.00M 4.00M -250.00M 165.00M 449.00M 2.75B 1.58B 1.19B -231.00M -117.00M -639.00M 413.00M -129.00M -932.00M -1.22B -2.05B 212.00M -1.08B -195.00M 205.00M 55.00M -427.00M -219.00M -160.00M -55.00M -77.00M -83.40M -93.40M -155.60M -102.40M -110.30M -70.50M 22.70M 78.80M
Change in Working Capital -49.11B -23.50B 12.69B -42.28B 27.61B -4.97B -16.43B -8.17B -6.65B -4.59B 29.41B 21.81B -1.91B 32.13B -48.64B 73.51B -26.43B -72.20B -6.88B -31.32B 2.35B -10.79B -29.77B 54.45B -5.61B 8.21B 5.22B -62.30M 169.40M 1.66B 340.50M 170.40M -6.63B 5.51B 902.60M
Operating Cash Flow -33.54B -6.40B 33.97B -25.23B 40.77B 7.30B -4.50B 2.45B 3.67B 1.13B 35.55B 24.55B 6.68B 40.31B -45.95B 73.42B -22.09B -60.80B -31.35B -24.51B 2.35B -5.05B -24.09B -2.38B -29.27B 15.37B -588.00M 2.21B 1.48B 2.89B 1.35B 4.80B -2.76B -4.68B -8.46B
Capital Expenditures -3.41B -3.08B -2.31B -1.44B -1.83B -1.86B -1.63B -1.28B -1.37B -992.00M -1.32B -1.31B -1.30B -1.20B -2.88B -1.40B -1.47B - -540.00M -569.00M -603.00M -1.12B -2.00B -836.00M -656.00M - -301.00M - - - - -66.30M -211.40M -165.30M -70.60M
Acquisitions - - -2.65B 3.81B -17.36B -8.79B -12.13B -9.60B 998.00M 989.00M 1.15B 1.73B - 787.00M -1.59B 2.13B -693.00M -2.71B -323.00M -758.00M - - -183.00M -199.00M - - - - - - - - - - -
Purchase of Investments -23.08B -29.83B -69.57B -59.78B -42.59B -27.80B -23.96B -50.91B -47.29B -32.62B -30.56B -24.48B -20.60B -29.99B - - -14.07B - - - - - - - - - - - - - - - - - -
Sales Maturities Of Investments 28.39B 45.28B 61.57B 38.27B 29.16B 15.88B 25.58B 42.08B 43.59B 17.63B 16.18B 15.14B 20.00B 1.25B - - 4.27B - - - - - - - - - - - - - - - - - -
Other Investing Acitivies -4.98B -24.00B -36.94B -18.75B -953.00M -298.00M -251.00M 200.00M -15.92B -20.33B -9.92B -3.49B -129.00M - - - 525.00M 361.00M -3.26B -1.77B 2.37B -4.53B 1.29B -1.65B -6.00B 3.19B -2.23B -2.80B -6.03B -4.40B -2.77B - - - -
Investing Cash Flow -3.08B -11.63B -49.90B -37.90B -33.56B -22.88B -12.39B -19.51B -20.00B -35.32B -24.46B -12.41B -2.04B -29.16B -4.47B 729.00M -11.44B -2.35B -4.12B -3.10B 1.76B -5.66B -887.00M -2.69B -6.65B 3.19B -2.53B -2.80B -6.03B -4.40B -2.77B -66.30M -211.40M -165.30M -70.60M
Debt Repayment 13.62B 37.56B 20.15B 10.24B -6.25B 5.28B 19.59B 12.03B 6.80B 3.76B -21.53B -20.15B -5.05B -1.13B 3.06B -32.22B 49.69B 24.78B 13.85B 29.79B -1.60B 22.52B 12.38B 2.56B 10.93B 8.32B 1.32B 818.90M 3.53B 2.68B 683.10M -3.06B 1.31B 133.10M 1.46B
Common Stock Repurchased -6.18B -10.87B -12.07B -1.89B -5.95B -5.57B -4.29B -3.93B -2.77B -1.46B -691.00M -227.00M -317.00M -317.00M -11.00B -1.83B -4.26B -3.38B -3.69B -1.13B -350.00M -990.00M - - - - - - - - - - - - -
Dividend Paid -5.76B -5.40B -4.17B -2.74B -2.63B -2.38B -2.08B -1.75B -1.46B -904.00M -475.00M -469.00M -834.00M -1.16B -1.73B -1.23B -1.22B -1.17B -1.18B -1.10B -994.00M -1.00B -1.04B -924.00M -575.00M -519.00M -416.00M -134.00M -102.30M -81.10M -690.30M -102.90M -85.50M -69.50M -55.00M
Other Financial Acitivies -4.40B 2.42B 38.92B 78.17B 2.86B 26.87B 3.05B 1.01B 21.79B 21.75B 25.33B 8.95B 1.06B 1.19B -4.51B 16.34B -6.62B 33.10B 22.77B 2.83B -918.00M -7.04B 22.80B 13.69B 23.12B -14.80B 5.36B 1.02B 1.33B -505.70M 267.00M -668.00M 3.14B 5.47B 6.44B
Financial Cash Flow -2.73B 22.71B 41.55B 83.78B -11.97B 24.20B 16.26B 7.42B 24.36B 23.14B 2.63B -11.90B -5.15B 4.16B 3.02B -18.54B 38.52B 54.34B 32.08B 30.72B -3.64B 13.32B 32.76B 11.56B 31.37B -9.94B 5.99B 1.13B 4.68B 2.01B 1.12B -3.83B 4.37B 5.53B 7.84B
Net Cash Flow -38.90B 402.00M 22.07B 23.48B -5.03B 6.80B 3.04B -10.70B 7.10B -12.90B 12.98B -408.00M -303.00M 15.62B -46.68B 53.06B 4.99B -8.81B -3.40B 3.12B 480.00M 2.62B 7.78B 6.49B -4.55B 8.62B 2.87B 534.70M 130.40M 503.80M -305.00M 901.30M 1.40B 685.70M -693.80M
Free Cash Flow -36.95B -9.47B 31.66B -26.68B 38.95B 5.44B -6.13B 1.17B 2.30B 139.00M 34.24B 23.24B 5.38B 39.11B -48.83B 72.02B -23.56B -60.80B -31.89B -25.07B 1.75B -6.18B -26.09B -3.22B -29.93B 15.37B -889.00M 2.21B 1.48B 2.89B 1.35B 4.73B -2.97B -4.84B -8.53B