Cash Flow

  Year Ending Dec 2025 (Update) Year Ending Dec 2024 (Update) Year Ending Dec 2023 (Reclassified) Year Ending Dec 2022 (Update)
Net Income/Starting Line -359.00 247.00 -2,587.00 -1,864.00
Depreciation – Supplemental 962.00 1.02M 1.14M 1.18M
Depreciation/Depletion 962.00 1.02M 1.14M 1.18M
Deferred Taxes -270.00 -304.00 -371.00 -237.00
Unusual Items 890.00 54.00 2.64M 2.36M
Other Non-Cash Items 48.00 173.00 73.00 13.00
Non-Cash Items 938.00 227.00 2.72M 2.37M
Accounts Receivable -68.00 -217.00 51.00 -117.00
Inventories -41.00 -34.00 605.00 -893.00
Other Assets
Accounts Payable -57.00 40.00 -39.00 -57.00
Accrued Expenses -106.00 190.00 -2.00 -34.00
Payable/Accrued 92.00
Other Liabilities
Other Assets & Liabilities, Net -149.00 -94.00 -60.00 -41.00
Changes in Working Capital -421.00 -115.00 555.00 -1,050.00
Cash from Operating Activities 850.00 1.07M 1.46M 397.00
Purchase of Fixed Assets -594.00 -463.00 -503.00 -504.00
Purchase/Acquisition of Intangibles -2.00 -5.00 -- -2.00
Capital Expenditures -596.00 -468.00 -503.00 -506.00
Acquisition of Business -- -110.00
Sale of Business 2.74M 875.00 1.05M 1.18M
Sale of Fixed Assets 21.00 21.00 27.00 8.00
Sale/Maturity of Investment --
Investment, Net --
Other Investing Cash Flow 101.00 -102.00 -16.00 173.00
Other Investing Cash Flow Items, Total 2.87M 794.00 1.06M 1.25M
Cash from Investing Activities 2.27M 326.00 558.00 745.00
Other Financing Cash Flow -45.00 -62.00 -84.00 -75.00
Financing Cash Flow Items -45.00 -62.00 -84.00 -75.00
Cash Dividends Paid - Common -409.00 -514.00 -826.00 -810.00
Total Cash Dividends Paid -409.00 -514.00 -826.00 -810.00
Sale/Issuance of Common --
Repurchase/Retirement of Common -38.00 --
Common Stock, Net -38.00 -- --
Issuance (Retirement) of Stock, Net -38.00 -- --
Short Term Debt Issued 314.00 -- 273.00
Short Term Debt Reduction -- -421.00
Short Term Debt, Net 314.00 -- -286.00 -44.00
Long Term Debt Issued --
Long Term Debt Reduction -2,913.00 -1,030.00 -655.00 -300.00
Long Term Debt, Net -2,913.00 -1,030.00 -655.00 -300.00
Issuance (Retirement) of Debt, Net -2,599.00 -1,030.00 -941.00 -344.00
Cash from Financing Activities -3,091.00 -1,606.00 -1,851.00 -1,229.00
Foreign Exchange Effects 91.00 -54.00 21.00 -77.00
Net Change in Cash 119.00 -264.00 183.00 -164.00
Net Cash - Beginning Balance 471.00 735.00 552.00 716.00
Net Cash - Ending Balance 590.00 471.00 735.00 552.00
Cash Interest Paid 229.00 308.00 370.00 310.00
Cash Taxes Paid 329.00 370.00 578.00 329.00

For a more complete picture of our financial results, please review our SEC Filings

In millions of USD (except for per share items)

Source: LSEG