AT&T Inc. 5.625% Global Notes d
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 AT&T Inc. 5.625% Global Notes d generated cash of $38,314,000,000, which is more than the previous year. Cash used in financing activities reached the amount of -$15,614,000,000 last year. Net change in cash is therefore $3,040,000,000.

Cash Flow

AT&T Inc. 5.625% Global Notes d (NYSE:TBC): Cash Flow
2014 31.33B -18.33B -7.73B
2015 35.88B -49.14B 9.78B
2016 39.34B -24.21B -14.46B
2017 38.01B -18.94B 25.93B
2018 43.60B -63.14B -25.98B
2019 48.66B -16.69B -25.08B
2020 43.13B -13.54B -32.00B
2021 41.95B -32.08B 1.57B
2022 32.02B -25.80B -23.74B
2023 38.31B -19.66B -15.61B

TBC Cash Flow Statement (2014 โ€“ 2023)

2023 2022 2021 2020 2019 2018 2017 2016 2015 2014
Cash at beginning of period
3.79B19.22B9.87B12.29B5.26B50.93B5.78B5.12B8.60B3.33B
Operating activities
Net income
14.4B-8.34B21.47B-3.82B13.90B19.95B29.45B13.33B13.34B6.51B
Adjustments to reconcile net income to cash generated by operating activities:
Depreciation and amortization
15.75B18.02B22.86B28.51B28.21B28.43B24.38B25.84B20.35B18.27B
Stock-based compensation expense
0518M447M422M819M463M480M653M451M318M
Deferred income tax benefit 0518M447M422M819M463M480M653M451M318M
Changes in operating assets and liabilities:
Accounts receivable, net
0881M-634M2.21B3.36B-1.24B-2.22B-1.00B30M-2.65B
Inventories
001.10B-1.63B000000
Accounts payable
0-1.10B-1.10B1.63B-1.52B1.60B816M118M00
Cash generated by operating activities
38.31B32.02B41.95B43.13B48.66B43.60B38.01B39.34B35.88B31.33B
Investing activities
Purchases Of Investments
-902M00-160M-365M-185M000-1.89B
Investments In Property Plant And Equipment
-17.85B-19.62B-16.52B-15.67B-19.63B-20.75B-21.55B-21.51B-20.01B-21.19B
Acquisitions Net
-1.05B-10.00B-16.71B1.63B2.87B-42.21B2.30B-2.31B-30.75B4.98B
Cash generated by investing activities
-19.66B-25.80B-32.08B-13.54B-16.69B-63.14B-18.94B-24.21B-49.14B-18.33B
Financing activities
Common Stock Issued
3M28M96M105M9.67B745M33M000
Payments for dividends
-8.13B-9.85B-15.06B-14.95B-14.88B-13.41B-12.03B-11.79B-10.2B-9.55B
Repurchases of common stock
-194M-890M-202M-5.49B-2.41B-609M-463M-512M-269M-1.61B
Repayments of term debt
-6.83B-42.95B-10.65B-49.44B-16.77B-55.56B36.45B-683M23.92B5.63B
Cash used in financing activities
-15.61B-23.74B1.57B-32.00B-25.08B-25.98B25.93B-14.46B9.78B-7.73B
Net Change In Cash
3.04B-15.52B11.44B-2.42B6.93B-45.53B44.71B667M-3.48B5.26B
Cash at end of period
6.83B3.70B21.31B9.87B12.19B5.4B50.50B5.78B5.12B8.60B
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