Adobe Inc. (ADBE)

USD 441.31

(-3.06%)

Annual Cash Flows

(In USD)
Breakdown 2023 2022 2021 2020 2019 2018
Operating Cash Flow 7.3 Billion 7.83 Billion 7.22 Billion 5.72 Billion 4.42 Billion 4.02 Billion
Net Income 5.42 Billion 4.75 Billion 4.82 Billion 5.26 Billion 2.95 Billion 2.59 Billion
Depreciation & Amortization 872 Million 856 Million 788 Million 757 Million 624.74 Million 346.49 Million
Deferred income taxes -426 Million 328 Million 183 Million -1.5 Billion 2.7 Million -468.93 Million
Stock-based compensation 1.71 Billion 1.44 Billion 1.06 Billion 909 Million 787.7 Million 603.47 Million
Change in working capital -355 Million 336 Million 285 Million 186 Million 105.02 Million 487.77 Million
Other non-cash items 65 Million 122 Million 76 Million 116 Million -50.33 Million 469.72 Million
Investing Cash Flow 776 Million -570 Million -3.51 Billion -414 Million -455.08 Million -4.68 Billion
Investments in PPE -360 Million -442 Million -330 Million -419 Million -333.98 Million -266.57 Million
Acquisitions -1.13 Billion -126 Million -2.68 Billion - -100.7 Million -6.31 Billion
Investment purchases -53 Million -955 Million -1.57 Billion -221 Million -243.19 Million -13.59 Million
Sales/Maturities of investments 1.18 Billion 953 Million 1.06 Billion 1.09 Billion 788.22 Million 1.9 Billion
Other Investing Activities 1.13 Billion -2 Million -507 Million -865 Million -565.43 Million 1.89 Billion
Financing Cash Flow -5.18 Billion -6.82 Billion -4.3 Billion -3.48 Billion -2.94 Billion -5.56 Million
Debt repayment -500 Million - - -3.15 Billion - -1.7 Million
Dividends payments - - - - - -
Common Stock Repurchased -4.4 Billion -7.06 Billion -3.95 Billion -3.05 Billion -2.75 Billion -2.05 Billion
Common Stock Issuance 314 Million 278 Million 291 Million 270 Million 232.93 Million 190.99 Million
Other Financing Activities -596 Million 243 Million -642 Million 5.41 Billion -428.97 Million 4.1 Billion
Accounts receivables -159 Million -198 Million -430 Million 106 Million -187.82 Million -1.98 Million
Accounts payables -49 Million 66 Million -20 Million 96 Million 23.12 Million 54.92 Million
Inventory 208 Million - 450 Million -202 Million 164.69 Million 445.79 Million
Other working capital -355 Million 468 Million 285 Million 186 Million 105.02 Million -10.95 Million
Cash at beginning of period 4.23 Billion 3.84 Billion 4.47 Billion 2.65 Billion 1.64 Billion 2.3 Billion
Cash at end of period 7.14 Billion 4.23 Billion 3.84 Billion 4.47 Billion 2.65 Billion 1.64 Billion
Capital Expenditure -360 Million -442 Million -330 Million -419 Million -333.98 Million -266.57 Million
Effect of forex changes on cash 9 Million -51 Million -37 Million 3 Million -12.73 Million -1.73 Million
Net cash flow / Change in cash 2.9 Billion 392 Million -634 Million 1.82 Billion 1 Billion -663.29 Million
Free Cash Flow 6.94 Billion 7.39 Billion 6.89 Billion 5.3 Billion 4.08 Billion 3.76 Billion

Cash Flow Charts