Baxter International
Cash Flow

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Cash flow statement presents a set of outflows and inflows of cash within a company through operating, investing and financing activities. Over the last year, operating activities of Baxter International generated cash of $1,211,000,000, which is less than the previous year. Cash used in financing activities reached the amount of -$1,438,000,000 last year. Net change in cash is therefore -$1,234,000,000.

Cash Flow

Baxter International Inc. (SIX:BAX.SW): Cash Flow
2013 3.19B -5.36B 1.64B
2014 3.21B -1.54B -1.40B
2015 1.64B -1.80B -357M
2016 1.62B -715M -324M
2017 1.83B -1.31B 61M
2018 2.09B -938M -2.60B
2019 2.10B -1.1B 498M
2020 1.86B -1.17B -345M
2021 2.22B -11.2B 8.24B
2022 1.21B -931M -1.43B

BAX.SW Cash Flow Statement (2013 โ€“ 2022)

2022 2021 2020 2019 2018 2017 2016 2015 2014 2013
Cash at beginning of period
2.95B3.73B3.33B1.83B3.39B2.80B2.21B2.92B2.73B3.27B
Operating activities
Net income
-2.42B1.29B1.11B1.01B1.63B724M4.96B393M2.49B2.01B
Adjustments to reconcile net income to cash generated by operating activities:
Depreciation and amortization
1.40B890M823M789M785M761M800M759M1.00B823M
Stock-based compensation expense
154M146M130M122M115M107M115M126M159M150M
Deferred income tax benefit 154M146M130M122M115M107M115M126M159M150M
Changes in operating assets and liabilities:
Accounts receivable, net
-146M-170M-126M-65M0000-125M0
Inventories
-361M-37M-162M4M-197M76M80M-118M-439M-311M
Accounts payable
-76M104M143M-212M0000115M0
Cash generated by operating activities
1.21B2.22B1.86B2.10B2.09B1.83B1.62B1.64B3.21B3.19B
Investing activities
Purchases Of Investments
000000-48M000
Investments In Property Plant And Equipment
-679M-743M-709M-696M-681M-634M-719M-911M-1.89B-1.52B
Acquisitions Net
-263M-10.50B-494M-418M-257M-676M-11M50M356M-3.83B
Cash generated by investing activities
-931M-11.2B-1.17B-1.1B-938M-1.31B-715M-1.80B-1.54B-5.36B
Financing activities
Common Stock Issued
012.33B2.08B0258M980M1.66B01.28B4.14B
Payments for dividends
-573M-530M-473M-423M-376M-315M-268M-910M-1.09B-1.02B
Repurchases of common stock
-32M-600M-500M-1.27B-2.45B-564M-292M0-550M-913M
Repayments of term debt
0-2.82B-1.40B0-5M0-1.39B0-1.02B-540M
Cash used in financing activities
-1.43B8.24B-345M498M-2.60B61M-324M-357M-1.40B1.64B
Net Change In Cash
-1.23B-780M401M1.49B-1.56B593M588M-712M192M-537M
Cash at end of period
1.72B2.95B3.73B3.33B1.83B3.39B2.80B2.21B2.92B2.73B
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