Analog Devices, Inc. (0HFN.L)

USD 187.63

(-6.02%)

Annual Cash Flows

(In USD)
Breakdown 2024 2023 2022 2021 2020 2019
Operating Cash Flow 4.27 Billion 4.81 Billion 4.47 Billion 2.73 Billion 2 Billion 2.25 Billion
Net Income - 3.31 Billion 2.74 Billion 1.39 Billion 1.22 Billion 1.36 Billion
Depreciation & Amortization - 2.29 Billion 2.29 Billion 1.07 Billion 810.92 Million 811.25 Million
Deferred income taxes - -452.94 Million -326.75 Million -406.92 Million -113.94 Million -91.25 Million
Stock-based compensation - 299.82 Million 323.48 Million 243.61 Million 149.51 Million 150.3 Million
Change in working capital - -645.59 Million -883.66 Million -86.36 Million -104.18 Million -35.28 Million
Other non-cash items - 8.66 Million 316.27 Million 519.69 Million 45.41 Million 55.07 Million
Investing Cash Flow -1.21 Billion -1.26 Billion -657.36 Million 2.14 Billion -180.52 Million -293.18 Million
Investments in PPE -1.21 Billion -1.26 Billion -699.3 Million -343.67 Million -165.69 Million -275.37 Million
Acquisitions - - - 2.42 Billion -14.19 Million -11.17 Million
Investment purchases - - - 35.71 Million - -
Sales/Maturities of investments - - - 30.12 Million - -
Other Investing Activities - -4.92 Million 41.94 Million -4.23 Million -635 Thousand -6.64 Million
Financing Cash Flow - -4.06 Billion -4.29 Billion -3.95 Billion -1.42 Billion -2.12 Billion
Debt repayment - -4.8 Billion -919.11 Million -3.99 Billion -1.1 Billion -2.17 Billion
Dividends payments - -1.67 Billion -1.54 Billion -1.1 Billion -886.15 Million -777.48 Million
Common Stock Repurchased - -2.96 Billion -2.57 Billion -3.1 Billion -244.48 Million -613 Million
Common Stock Issuance - 5.4 Billion 33.88 Million 4.4 Billion 814.04 Million 1.44 Billion
Other Financing Activities - -20.84 Million 716.07 Million -155.93 Million -4.01 Million -2.83 Million
Accounts receivables - 330.72 Million -343.9 Million -114.5 Million -101.62 Million 5.89 Million
Accounts payables - -499.31 Million 171.77 Million 208.44 Million 103.1 Million -6.37 Million
Inventory - -242.29 Million -470.72 Million -65.11 Million 1.76 Million -42.77 Million
Other working capital - -234.7 Million -240.8 Million -115.19 Million -107.42 Million 7.96 Million
Cash at beginning of period - 1.47 Billion 1.97 Billion 1.05 Billion 648.32 Million 816.59 Million
Cash at end of period 3.06 Billion 958.06 Million 1.47 Billion 1.97 Billion 1.05 Billion 648.32 Million
Capital Expenditure -1.21 Billion -1.26 Billion -699.3 Million -343.67 Million -165.69 Million -275.37 Million
Effect of forex changes on cash - 4.06 Billion -34.7 Million 3.17 Million 182 Thousand -1.38 Million
Net cash flow / Change in cash 3.06 Billion -512.51 Million -507.39 Million 922.1 Million 407.53 Million -168.26 Million
Free Cash Flow 3.06 Billion 3.55 Billion 3.77 Billion 2.39 Billion 1.84 Billion 1.97 Billion

Cash Flow Charts