Cardinal Health, Inc. (CAH)

USD 115.91

(0.08%)

Annual Cash Flows

(In USD)
Breakdown 2024 2023 2022 2021 2020 2019
Operating Cash Flow 3.76 Billion 2.83 Billion 3.12 Billion 2.42 Billion 1.96 Billion 2.72 Billion
Net Income 852 Million 262 Million -932 Million 612 Million -3.69 Billion 1.36 Billion
Depreciation & Amortization 710 Million 692 Million 692 Million 783 Million 913 Million 1 Billion
Deferred income taxes -104 Million -31 Million 7 Million 496 Million -961 Million -83 Million
Stock-based compensation 121 Million 96 Million 81 Million 89 Million 90 Million 82 Million
Change in working capital 1.51 Billion 464 Million 1.12 Billion 289 Million 6.06 Billion 755 Million
Other non-cash items 271 Million 1.35 Billion 2.15 Billion 160 Million -450 Million -397 Million
Investing Cash Flow -1.84 Billion -454 Million 567 Million -378 Million 493 Million 338 Million
Investments in PPE -511 Million -481 Million -387 Million -400 Million -375 Million -328 Million
Acquisitions -1.16 Billion -10 Million 901 Million -3 Million 2 Million 681 Million
Investment purchases -554 Million -7 Million -78 Million -22 Million -20 Million -18 Million
Sales/Maturities of investments 351 Million 32 Million 100 Million 47 Million 886 Million 3 Million
Other Investing Activities 34 Million 12 Million 31 Million 25 Million 868 Million 748 Million
Financing Cash Flow -847 Million -3.05 Billion -2.46 Billion -1.31 Billion -2.2 Billion -2.29 Billion
Debt repayment -356 Million -579 Million -885 Million -570 Million -1.39 Billion -1.1 Billion
Dividends payments -499 Million -525 Million -559 Million -573 Million -569 Million -577 Million
Common Stock Repurchased -750 Million -2 Billion -1 Billion -200 Million -350 Million -600 Million
Common Stock Issuance - - - - - -
Other Financing Activities 46 Million 53 Million -19 Million 26 Million 118 Million -14 Million
Accounts receivables -996 Million -947 Million -1.52 Billion -904 Million 82 Million -751 Million
Accounts payables 1.82 Billion 2.71 Billion 3.42 Billion 2.32 Billion -162 Million 1.86 Billion
Inventory 1.11 Billion -340 Million -1.07 Billion -1.58 Billion -409 Million -551 Million
Other working capital -433 Million -1.43 Billion 293 Million 452 Million 6.55 Billion 193 Million
Cash at beginning of period 4.07 Billion 4.71 Billion 3.4 Billion 2.77 Billion 2.53 Billion 1.76 Billion
Cash at end of period 5.13 Billion 4.04 Billion 4.71 Billion 3.4 Billion 2.77 Billion 2.53 Billion
Capital Expenditure -511 Million -481 Million -387 Million -400 Million -375 Million -328 Million
Effect of forex changes on cash -9 Million -8 Million -25 Million 11 Million -13 Million 1 Million
Net cash flow / Change in cash 1.05 Billion -674 Million 1.31 Billion 636 Million 240 Million 768 Million
Free Cash Flow 3.25 Billion 2.35 Billion 2.73 Billion 2.02 Billion 1.58 Billion 2.39 Billion

Cash Flow Charts