Comcast Corp.

CMCSA ·Communication Services, Telecom Services, United States
Financial Statements Cash Flow Statement
Annual Quarterly

Cash Flow Statement

Line Item FY2025 FY2024 FY2023 FY2022 FY2021 FY2020 FY2019 FY2018
Operating Activities
Net Income $20.00B $16.19B $15.39B $5.37B $14.16B $10.53B $13.06B $11.73B
Depreciation & Amortization $16.21B $14.80B $14.34B $13.82B $13.80B $13.10B $12.95B $11.02B
Depreciation $9.33B $8.73B $8.85B $8.72B $8.63B $8.32B $8.66B $8.28B
Amortization $6.88B $6.07B $5.48B $5.10B $5.18B $4.78B $4.29B $2.74B
Stock-Based Compensation $1.29B $1.29B $1.24B $1.34B $1.32B $1.19B $1.02B $826.0M
Net Cash from Operating Activities $33.64B $27.67B $28.50B $26.41B $29.15B $24.74B $25.70B $24.30B
Investing Activities
Capital Expenditures $11.75B $12.18B $12.24B $10.63B $9.17B $9.18B $9.95B $9.77B
Business Acquisitions $1.31B $119.0M $0 $12.0M $1.37B $233.0M $370.0M $38.22B
Net Cash from Investing Activities $-16.16B $-15.67B $-7.16B $-14.14B $-13.45B $-12.05B $-14.84B $-50.85B
Financing Activities
Dividends Paid $4.89B $4.81B $4.77B $4.74B $4.53B $4.14B $3.74B $3.35B
Stock Repurchases $7.16B $9.10B $11.29B $13.33B $4.67B $534.0M $504.0M $5.32B
Net Cash from Financing Activities $-14.35B $-10.88B $-19.85B $-16.18B $-18.62B $-6.51B $-9.18B $27.14B
Net Change in Cash $3.18B $1.10B $1.50B $-4.00B $-2.99B $6.18B $1.68B $338.0M
Free Cash Flow $21.89B $15.49B $16.26B $15.79B $19.97B $15.56B $15.74B $14.52B
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