TotalEnergies SE

OTC: TTFNF · Real-Time Price · USD
62.92
1.14 (1.85%)
At close: Aug 15, 2025, 2:18 PM

TotalEnergies SE Cash Flow Statement

Financials in USD. Fiscal year is undefined.
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 Jun 30, 2025 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
12.83B 13.85B 15.62B 16.98B 21.34B 21.73B 21.67B 19.91B 19.97B 21.62B 21.04B 23.51B 21.51B 18B 16.37B 11.37B 6.79B -3.93B
Depreciation & Amortization
12.52B 12.12B 11.96B 12.96B 12.49B 12.64B 12.9B 12.02B 12.08B 12.29B 13.68B 15.15B 15.48B 15.45B 14.34B 13.92B 14.19B 22.6B
Stock-Based Compensation
n/a n/a n/a 291M 291M 291M 291M 251M 251M 251M 251M 168M 168M 168M 168M 214M 214M 214M
Other Working Capital
1.85B 3.78B 2.32B 1.39B -366.47M -213M 2.05B -6.01B 2.32B 2.69B 1.19B 7.21B -2.89B -4.72B -616M -1.51B 2.17B 1.93B
Other Non-Cash Items
954.7M 7.31B 12.56B 10.9B 11.13B 5.48B 168.26M 4.22B 4.12B 8.28B 11.45B 7.5B 7.06B 3.7B 317M 686M 17M -1.51B
Deferred Income Tax
n/a n/a n/a 567.64M 567.64M 567.64M 567.64M 2.46B 2.46B 2.46B 2.46B 1.37B 1.37B 1.37B 1.37B n/a n/a n/a
Change in Working Capital
1.9B 3.82B 2.4B 5.68B 3.88B 4.03B 6.27B -6.01B 2.32B 2.69B 1.19B 7.21B -2.89B -4.72B -616M -1.51B 2.17B 1.93B
Operating Cash Flow
28.2B 31.18B 30.77B 34.74B 37.06B 38.03B 41B 30.15B 38.5B 44.88B 47.37B 53.37B 41.16B 32.43B 30.41B 24.46B 23.17B 19.1B
Capital Expenditures
-16.83B -15.75B -14.93B -16.42B -16.06B -16.25B -17.82B -16.74B -15.92B -17.2B -15.69B -16.13B -15.87B -13.39B -12.34B -11.64B -11.08B -10.81B
Cash Acquisitions
-3.32B -1.44B -237.41M 6.56B 4.89B 4.4B 2.27B -4.05B -4.01B -3.66B -2.3B -2.47B -512M -834M -2.73B -3.33B -3.47B -3.12B
Purchase of Investments
-859.57M -1.34B -1.82B -2.91B 1.76B 6.11B 11.56B 16.74B 15.92B 17.2B 15.69B 11.39B 8.33B 2.87B -2.66B -2.45B -2.38B -2.07B
Sales Maturities Of Investments
273.35M 313.99M 346.79M 126.54M 397.18M 474.55M 489.75M 513M 509M 411M 577M 820M 693M 874M 722M 642M 542M 346M
Other Investing Acitivies
-60.16M -451.79M -680.51M -1.59B -4.64B -8.3B -12.97B -15.97B -15.09B -15.85B -13.39B -13.7B -13.91B -11.89B -11.65B -11.53B -10.73B -10.71B
Investing Cash Flow
-20.8B -18.66B -17.32B -14.23B -13.65B -13.58B -16.48B -19.5B -18.59B -19.1B -15.12B -15.35B -13.73B -11.85B -13.66B -14.22B -13.66B -13.49B
Debt Repayment
3.29B 606.04M 1.71B -3.86B -8.34B -9.77B -14.52B -9.2B -9.18B -9B -5.16B -4.97B -5.89B -6.23B -8.15B -5.42B -5.91B 7.18B
Common Stock Repurchased
-7.84B -8.14B -8B -8.98B -9.07B -9.07B -9.17B -8.75B -8.65B -8.59B -7.66B -6.77B -4.77B -2.83B -1.82B -165.93M -165M -167M
Dividend Paid
-7.73B -7.68B -7.89B -7.82B -7.81B -7.89B -7.83B -10.31B -10.22B -10.13B -10.05B -7.63B -7.8B -8.07B -8.23B -8.29B -7.06B -6.9B
Other Financial Acitivies
1.18B -502.42M -813.42M 513.58M -470.74M -53.03M 999.27M 4.28B -100M -996.54M 3.28B -8.85B -2.85B -2B -7.69B 1.98B 1.36B 1.94B
Financial Cash Flow
-10.64B -15.23B -14.33B -19.43B -24.85B -25.98B -29.73B -23.26B -27.54B -28.23B -19.27B -27.83B -20.93B -18.65B -25.5B -11.56B -11.44B 2.34B
Net Cash Flow
-2.79B -2.79B -1.41B 966.13M -2.34B -2.33B -5.75B -11.21B -7.28B -3.29B 11.68B 6.97B 4.21B 991M -9.93B -1.62B -1.08B 8.65B
Free Cash Flow
11.47B 15.53B 15.95B 18.42B 21B 21.77B 23.18B 13.4B 22.58B 27.68B 31.68B 37.24B 25.3B 19.04B 18.07B 12.83B 12.1B 8.29B