Nasdaq, Inc. (0K4T.L)

USD 79.36

(-0.18%)

Annual Cash Flows

(In USD)
Breakdown 2023 2022 2021 2020 2019 2018
Operating Cash Flow 1.69 Billion 1.7 Billion 1.08 Billion 1.25 Billion 963 Million 1.02 Billion
Net Income 1.05 Billion 1.12 Billion 1.18 Billion 933 Million 774 Million 458 Million
Depreciation & Amortization 323 Million 258 Million 278 Million 202 Million 190 Million 210 Million
Deferred income taxes 68 Million 38 Million 94 Million 41 Million 35 Million 301 Million
Stock-based compensation 122 Million 106 Million 90 Million 87 Million 79 Million 69 Million
Change in working capital -198 Million 168 Million -469 Million -9 Million -48 Million 103 Million
Other non-cash items 390 Million 753 Million 666 Million 692 Million 518 Million 679 Million
Investing Cash Flow -5.99 Billion 49 Million -2.65 Billion -231 Million -240 Million 196 Million
Investments in PPE -158 Million -152 Million -163 Million -188 Million -127 Million -111 Million
Acquisitions -5.76 Billion -41 Million -2.24 Billion -157 Million -74 Million 185 Million
Investment purchases -786 Million -322 Million -448 Million -283 Million -579 Million -421 Million
Sales/Maturities of investments 719 Million 531 Million 285 Million 424 Million 554 Million 543 Million
Other Investing Activities -70 Million 33 Million -87 Million -27 Million -14 Million 382 Million
Financing Cash Flow 4.22 Billion 1.03 Billion 1.41 Billion 1.38 Billion -937 Million -1.02 Billion
Debt repayment -5.34 Billion -334 Million -442 Million -1.91 Billion -430 Million -320 Million
Dividends payments -441 Million -383 Million -350 Million -320 Million -305 Million -280 Million
Common Stock Repurchased -341 Million -308 Million -468 Million -222 Million -200 Million -394 Million
Common Stock Issuance 29 Million 23 Million 26 Million 50 Million 37 Million 17 Million
Other Financing Activities -346 Million 2.03 Billion 1.76 Billion -37 Million -39 Million -50 Million
Accounts receivables 3 Million -101 Million -6 Million -167 Million -42 Million -35 Million
Accounts payables 149 Million 19 Million -17 Million 5 Million -49 Million 33 Million
Inventory - - - - - -
Other working capital -201 Million 250 Million -446 Million 153 Million 43 Million 105 Million
Cash at beginning of period 6.99 Billion 422 Million 2.78 Billion 362 Million 586 Million 399 Million
Cash at end of period 7.11 Billion 524 Million 422 Million 2.78 Billion 362 Million 586 Million
Capital Expenditure -158 Million -152 Million -163 Million -188 Million -127 Million -111 Million
Effect of forex changes on cash 202 Million -1.29 Billion -331 Million 353 Million -188 Million -10 Million
Net cash flow / Change in cash 124 Million 102 Million -2.36 Billion 2.42 Billion -224 Million 187 Million
Free Cash Flow 1.53 Billion 1.55 Billion 920 Million 1.06 Billion 836 Million 917 Million

Cash Flow Charts