0HF3 Cash Flow Statement - Amerisourcebergen Corp - Alpha Spread
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Amerisourcebergen Corp
LSE:0HF3

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Amerisourcebergen Corp
LSE:0HF3
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Price: 229.82 USD -2.13% Market Closed
Market Cap: 47.6B USD
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Cash Flow Statement

Cash Flow Statement
Amerisourcebergen Corp

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Cash Flow Statement
Currency: USD
Jun-2014 Sep-2014 Dec-2014 Mar-2015 Jun-2015 Sep-2015 Dec-2015 Mar-2016 Jun-2016 Sep-2016 Dec-2016 Mar-2017 Jun-2017 Sep-2017 Dec-2017 Mar-2018 Jun-2018 Sep-2018 Dec-2018 Mar-2019 Jun-2019 Sep-2019 Dec-2019 Mar-2020 Jun-2020 Sep-2020 Dec-2020 Mar-2021 Jun-2021 Sep-2021 Dec-2021 Mar-2022 Jun-2022 Sep-2022 Dec-2022 Mar-2023 Jun-2023 Sep-2023 Dec-2023 Mar-2024 Jun-2024
Operating Cash Flow
Net Income
260
274
33
(661)
(434)
(138)
391
1 508
1 643
1 428
1 346
1 154
855
365
979
855
1 081
1 616
1 146
886
913
854
649
1 592
1 577
(3 400)
(3 208)
(3 745)
(3 736)
1 545
1 615
1 737
1 804
1 667
1 693
1 566
1 682
1 733
1 859
1 852
1 861
Depreciation & Amortization
185
197
202
212
233
256
294
336
367
392
409
416
424
432
438
457
495
510
534
545
512
498
472
436
422
408
403
407
440
515
591
665
710
710
705
770
871
981
1 084
1 119
1 123
Change in Deffered Taxes
(15)
38
18
43
50
21
(572)
(267)
(184)
(131)
530
322
316
319
(571)
(639)
(654)
(796)
91
28
(3)
29
12
(18)
(23)
(1 545)
(1 502)
(1 382)
(1 234)
335
293
245
88
196
153
83
49
(119)
(103)
(93)
(135)
Stock-Based Compensation
42
43
51
55
57
61
64
67
71
65
72
66
60
62
66
65
64
62
61
56
57
59
58
67
68
74
91
96
98
100
94
95
95
93
106
110
116
125
132
137
0
Other Non-Cash Items
426
867
1 128
1 877
1 676
1 557
1 805
648
668
461
(130)
190
175
(79)
(70)
81
65
283
255
665
691
595
772
526
587
475
330
83
(90)
(95)
(142)
(148)
61
270
339
428
451
442
417
386
314
Cash Taxes Paid
0
197
0
0
0
300
0
0
0
18
0
0
0
105
0
0
0
104
0
0
0
118
0
0
0
139
0
0
0
94
0
0
0
244
0
0
0
463
62
0
0
Cash Interest Paid
0
63
0
0
0
92
0
0
0
124
0
0
0
125
0
0
0
162
0
0
0
167
0
0
0
151
0
0
0
171
0
0
0
220
0
0
0
271
66
0
0
Change in Working Capital
(255)
89
1 985
1 518
2 067
2 227
1 859
1 689
492
1 028
(158)
(167)
(291)
467
1 169
304
1 141
(202)
(146)
468
225
369
104
(300)
(982)
6 269
6 943
6 296
7 577
366
269
846
(118)
(140)
(343)
66
195
875
829
(686)
1 149
Cash from Operating Activities
602
N/A
1 465
+144%
3 365
+130%
2 991
-11%
3 593
+20%
3 922
+9%
3 777
-4%
3 916
+4%
2 986
-24%
3 179
+6%
1 997
-37%
1 915
-4%
1 478
-23%
1 504
+2%
1 945
+29%
1 059
-46%
2 126
+101%
1 411
-34%
1 880
+33%
2 592
+38%
2 337
-10%
2 344
+0%
2 008
-14%
2 236
+11%
1 581
-29%
2 207
+40%
2 967
+34%
1 661
-44%
2 956
+78%
2 665
-10%
2 626
-1%
3 345
+27%
2 546
-24%
2 703
+6%
2 548
-6%
2 913
+14%
3 249
+12%
3 911
+20%
4 086
+4%
2 578
-37%
4 311
+67%
Investing Cash Flow
Capital Expenditures
(263)
(265)
(258)
(244)
(223)
(232)
(269)
(306)
(385)
(465)
(512)
(547)
(526)
(466)
(403)
(373)
(343)
(336)
(342)
(329)
(319)
(310)
(298)
(293)
(331)
(370)
(368)
(377)
(392)
(438)
(453)
(496)
(488)
(496)
(492)
(466)
(457)
(458)
(457)
(467)
(480)
Other Items
(121)
(120)
(135)
(2 701)
(2 587)
(2 700)
(5 357)
(2 810)
(2 823)
(2 705)
(42)
(17)
(29)
(32)
(81)
(791)
(774)
(775)
(754)
(58)
(64)
(66)
(12)
(39)
(26)
(10)
(15)
(149)
(5 680)
(5 703)
(5 767)
(5 669)
122
128
(1 244)
(1 166)
(2 137)
(2 144)
(700)
(768)
(79)
Cash from Investing Activities
(385)
N/A
(384)
+0%
(393)
-2%
(2 946)
-649%
(2 810)
+5%
(2 931)
-4%
(5 627)
-92%
(3 116)
+45%
(3 208)
-3%
(3 169)
+1%
(554)
+83%
(564)
-2%
(555)
+2%
(498)
+10%
(483)
+3%
(1 164)
-141%
(1 117)
+4%
(1 111)
+1%
(1 096)
+1%
(387)
+65%
(382)
+1%
(376)
+2%
(311)
+17%
(332)
-7%
(357)
-7%
(380)
-6%
(383)
-1%
(526)
-37%
(6 072)
-1 054%
(6 142)
-1%
(6 219)
-1%
(6 165)
+1%
(365)
+94%
(368)
-1%
(1 737)
-371%
(1 631)
+6%
(2 594)
-59%
(2 603)
0%
(1 157)
+56%
(1 235)
-7%
(560)
+55%
Financing Cash Flow
Net Issuance of Common Stock
(521)
(626)
(899)
(608)
(787)
(1 665)
(1 490)
(721)
(824)
169
34
(769)
(186)
(227)
(0)
(4)
(264)
(501)
(725)
(866)
(796)
(598)
(496)
(618)
(413)
(195)
(78)
184
170
117
154
130
(130)
(390)
(1 214)
(1 227)
(1 082)
(1 120)
(709)
(762)
(1 217)
Net Issuance of Debt
566
566
143
2 577
1 753
1 496
2 505
481
658
713
(347)
(377)
(959)
(750)
147
166
707
636
(200)
(201)
(194)
(133)
(156)
(116)
(14)
(32)
(449)
2 037
2 599
2 217
2 641
(62)
(980)
(923)
(927)
(1 399)
(928)
(623)
(623)
534
(74)
Cash Paid for Dividends
(210)
(215)
(224)
(234)
(245)
(254)
(261)
(268)
(277)
(289)
(298)
(307)
(314)
(320)
(324)
(328)
(331)
(333)
(335)
(336)
(337)
(339)
(337)
(339)
(341)
(344)
(352)
(356)
(361)
(367)
(376)
(382)
(388)
(392)
(391)
(395)
(397)
(399)
(405)
(410)
(414)
Other
(358)
(229)
(41)
(140)
(211)
(210)
(225)
(103)
(26)
(29)
(19)
(19)
(19)
(16)
(38)
(43)
(43)
(45)
(22)
(18)
(17)
(17)
(17)
(15)
(36)
(34)
(48)
(50)
(31)
(14)
(28)
(26)
(26)
(48)
(78)
(80)
(81)
(81)
(73)
(80)
(76)
Cash from Financing Activities
(523)
N/A
(503)
+4%
(1 021)
-103%
1 595
N/A
510
-68%
(632)
N/A
529
N/A
(611)
N/A
(468)
+23%
565
N/A
(630)
N/A
(1 472)
-134%
(1 477)
0%
(1 313)
+11%
(215)
+84%
(208)
+3%
68
N/A
(243)
N/A
(1 281)
-427%
(1 421)
-11%
(1 344)
+5%
(1 087)
+19%
(1 005)
+8%
(1 088)
-8%
(803)
+26%
(604)
+25%
(926)
-53%
1 815
N/A
2 378
+31%
1 953
-18%
2 391
+22%
(340)
N/A
(1 524)
-348%
(1 753)
-15%
(2 610)
-49%
(3 102)
-19%
(2 489)
+20%
(2 222)
+11%
(1 810)
+19%
(717)
+60%
(1 781)
-148%
Change in Cash
Effect of Foreign Exchange Rates
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
(4)
(6)
(9)
(37)
(58)
29
36
80
73
4
(30)
(43)
Net Change in Cash
(306)
N/A
578
N/A
1 951
+238%
1 640
-16%
1 293
-21%
359
-72%
(1 321)
N/A
188
N/A
(690)
N/A
574
N/A
813
+42%
(121)
N/A
(554)
-358%
(307)
+45%
1 247
N/A
(313)
N/A
1 077
N/A
57
-95%
(498)
N/A
784
N/A
611
-22%
882
+44%
692
-21%
816
+18%
421
-48%
1 224
+191%
1 658
+36%
2 949
+78%
(739)
N/A
(1 528)
-107%
(1 209)
+21%
(3 169)
-162%
620
N/A
523
-16%
(1 770)
N/A
(1 784)
-1%
(1 754)
+2%
(841)
+52%
1 123
N/A
596
-47%
1 928
+223%
Free Cash Flow
Free Cash Flow
338
N/A
1 200
+255%
3 107
+159%
2 746
-12%
3 370
+23%
3 691
+10%
3 508
-5%
3 609
+3%
2 601
-28%
2 714
+4%
1 485
-45%
1 368
-8%
952
-30%
1 038
+9%
1 542
+49%
686
-56%
1 783
+160%
1 075
-40%
1 538
+43%
2 263
+47%
2 018
-11%
2 034
+1%
1 710
-16%
1 943
+14%
1 250
-36%
1 837
+47%
2 600
+41%
1 284
-51%
2 564
+100%
2 227
-13%
2 174
-2%
2 849
+31%
2 059
-28%
2 206
+7%
2 056
-7%
2 447
+19%
2 793
+14%
3 453
+24%
3 629
+5%
2 112
-42%
3 831
+81%

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