The Progressive
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 The Progressive generated cash of $10,643,300,000, which is more than the previous year. Cash used in financing activities reached the amount of $78,000,000 last year. Net change in cash is therefore -$121,300,000.

Cash Flow

The Progressive Corporation (NYSE:PGR): Cash Flow
2014 1.72B -836.9M -855.4M
2015 2.29B -1.92B -252.8M
2016 2.70B -2.46B -250.4M
2017 3.75B -3.40B -300.9M
2018 6.28B -7.33B 846.7M
2019 6.26B -4.33B -1.77B
2020 6.90B -6.11B -938.8M
2021 7.76B -3.11B -4.51B
2022 6.84B -7.95B 1.12B
2023 10.64B -10.84B 78M

PGR Cash Flow Statement (2014 – 2023)

2023 2022 2021 2020 2019 2018 2017 2016 2015 2014
Cash at beginning of period
220.9M202.1M76.5M227.4M75M275.3M226.4M224.1M108.4M75.1M
Operating activities
Net income
3.90B721.5M3.35B5.70B3.98B2.62B1.59B1.05B1.30B1.28B
Adjustments to reconcile net income to cash generated by operating activities:
Depreciation and amortization
299.7M336.6M337.4M331.8M306.1M262.4M236.1M199.5M150.5M97.1M
Stock-based compensation expense
121.3M122.7M100.7M89.4M90.2M77.2M95.4M85.2M66.2M51.4M
Deferred income tax benefit 121.3M122.7M100.7M89.4M90.2M77.2M95.4M85.2M66.2M51.4M
Changes in operating assets and liabilities:
Accounts receivable, net
0-1.86B-1.65B-1.29B-1.69B-1.49B-1.30B-906.7M-623.7M-368.8M
Inventories
006.67B3.28B3.98B3.81B2.99B2.08B1.54B624.4M
Accounts payable
12.5M199.5M399.7M328.9M611.6M746.6M400M308.9M37.9M92M
Cash generated by operating activities
10.64B6.84B7.76B6.90B6.26B6.28B3.75B2.70B2.29B1.72B
Investing activities
Purchases Of Investments
-25.86B-28.53B-34.01B-36.38B-29.14B-21.69B-14.84B-12.04B-9.95B-9.21B
Investments In Property Plant And Equipment
-252M-292M-243.5M-223.5M-363.5M-266M-155.7M-215M-130.7M-108.1M
Acquisitions Net
035.1M-313.2M21.9M53.3M-296.9M-18.1M6.2M-765.3M5.9M
Cash generated by investing activities
-10.84B-7.95B-3.11B-6.11B-4.33B-7.33B-3.40B-2.46B-1.92B-836.9M
Financing activities
Common Stock Issued
007497.3M0497.2M0495.6M0344.7M
Payments for dividends
-277.6M-260.8M-3.77B-1.57B-1.67B-668.4M-395.4M-519M-403.6M-892.6M
Repurchases of common stock
-140.7M-99M-223M-111.6M-91.3M-79M-62.5M-192.5M-208.5M-271.4M
Repayments of term debt
496.3M1.48B-520M-986.3M0-37.1M156.5M-43.7M342.3M-48.9M
Cash used in financing activities
78M1.12B-4.51B-938.8M-1.77B846.7M-300.9M-250.4M-252.8M-855.4M
Net Change In Cash
-121.3M18.8M125.6M-150.9M152.4M-200.3M48.9M-12.6M116M33.3M
Cash at end of period
99.6M220.9M202.1M76.5M227.4M75M275.3M211.5M224.4M108.4M
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