Booz Allen Hamilton Holding Corp
NYSE:BAH

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Booz Allen Hamilton Holding Corp Logo
Booz Allen Hamilton Holding Corp
NYSE:BAH
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Price: 149.22 USD -0.44% Market Closed
Market Cap: 19.1B USD
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Cash Flow Statement

Cash Flow Statement
Booz Allen Hamilton Holding Corp

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Cash Flow Statement
Currency: USD
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 Sep-2024
Operating Cash Flow
Net Income
231
236
233
226
217
272
294
298
304
252
253
255
266
286
305
339
358
415
419
432
453
433
483
495
516
549
609
572
591
575
467
513
529
430
271
295
294
409
606
610
829
Depreciation & Amortization
68
65
63
62
61
62
62
61
60
59
60
60
62
64
65
66
66
67
69
72
76
79
81
82
83
84
84
91
108
126
146
158
160
162
166
167
169
168
164
164
165
Change in Deffered Taxes
0
0
(3)
0
0
0
4
0
0
0
16
0
0
0
14
0
0
0
23
65
(7)
22
65
58
148
103
232
219
240
234
(130)
(118)
(320)
(375)
(354)
(357)
(291)
(225)
(101)
(88)
(63)
Stock-Based Compensation
24
26
26
26
25
24
25
25
24
23
21
21
22
22
23
24
25
30
31
32
34
35
43
48
53
57
60
61
63
64
70
71
74
76
80
84
86
91
95
97
0
Other Non-Cash Items
(4)
(11)
(12)
(17)
2
0
2
2
19
22
23
19
14
20
15
18
23
29
24
43
57
74
106
110
128
126
127
132
112
109
117
116
107
101
107
111
135
155
163
165
157
Cash Taxes Paid
144
152
123
121
121
122
143
143
99
96
90
105
135
138
128
123
121
91
53
45
80
82
110
109
32
72
177
175
167
169
127
128
328
188
256
256
185
355
336
333
381
Cash Interest Paid
52
51
50
55
54
54
57
58
56
54
49
48
49
60
63
74
75
77
77
80
84
84
84
76
71
54
61
49
56
56
65
67
80
98
116
133
151
153
156
157
175
Change in Working Capital
125
4
29
(30)
(79)
(69)
(112)
(122)
(9)
16
31
25
(15)
(39)
(29)
(98)
5
(119)
(35)
(35)
(86)
(26)
(184)
(103)
(24)
122
(334)
(447)
(437)
(643)
138
32
30
303
413
361
(51)
(156)
(573)
(467)
(70)
Cash from Operating Activities
394
N/A
269
-32%
310
+15%
237
-23%
198
-17%
263
+33%
249
-5%
242
-3%
378
+56%
351
-7%
382
+9%
375
-2%
343
-8%
346
+1%
369
+7%
338
-8%
466
+38%
405
-13%
500
+23%
578
+16%
492
-15%
583
+19%
551
-5%
641
+16%
851
+33%
984
+16%
719
-27%
568
-21%
612
+8%
401
-35%
737
+84%
702
-5%
504
-28%
621
+23%
603
-3%
577
-4%
257
-55%
352
+37%
259
-27%
382
+48%
1 017
+166%
Investing Cash Flow
Capital Expenditures
(23)
(26)
(36)
(46)
(57)
(64)
(67)
(60)
(52)
(51)
(54)
(59)
(76)
(86)
(78)
(87)
(81)
(73)
(95)
(102)
(115)
(127)
(128)
(121)
(106)
(91)
(87)
(76)
(79)
(85)
(80)
(85)
(80)
(80)
(76)
(73)
(74)
(75)
(67)
(89)
(96)
Other Items
4
(23)
(25)
0
(26)
(51)
(51)
(52)
(50)
(1)
(247)
(246)
(247)
(265)
(18)
(18)
(18)
0
6
6
6
6
0
0
0
(69)
(71)
(739)
(853)
(786)
(788)
(120)
38
(393)
(392)
(397)
(446)
(21)
(24)
(114)
(111)
Cash from Investing Activities
(19)
N/A
(50)
-156%
(61)
-22%
(71)
-17%
(82)
-16%
(116)
-40%
(118)
-2%
(112)
+5%
(103)
+8%
(52)
+49%
(301)
-476%
(306)
-2%
(323)
-6%
(352)
-9%
(97)
+73%
(105)
-9%
(99)
+6%
(73)
+26%
(89)
-22%
(96)
-8%
(110)
-14%
(122)
-11%
(128)
-5%
(121)
+6%
(106)
+12%
(160)
-51%
(158)
+1%
(815)
-415%
(932)
-14%
(871)
+7%
(868)
+0%
(205)
+76%
(42)
+79%
(473)
-1 023%
(468)
+1%
(469)
0%
(519)
-11%
(96)
+81%
(91)
+6%
(203)
-124%
(207)
-2%
Financing Cash Flow
Net Issuance of Common Stock
3
(23)
(51)
(81)
(78)
(49)
(49)
(18)
(18)
(15)
(26)
(68)
(187)
(219)
(249)
(252)
(176)
(230)
(229)
(190)
(149)
(84)
(158)
(230)
(255)
(259)
(282)
(320)
(399)
(457)
(390)
(336)
(255)
(181)
(188)
(235)
(287)
(371)
(360)
(354)
(506)
Net Issuance of Debt
(43)
(37)
(31)
(42)
(47)
(52)
(22)
(2)
(43)
(27)
51
239
279
264
151
(63)
(71)
(69)
(68)
328
332
326
421
(79)
254
255
155
760
430
433
435
(68)
(16)
(9)
(2)
80
595
595
594
519
(42)
Cash Paid for Dividends
(497)
(355)
(215)
(218)
(74)
(77)
(80)
(83)
(87)
(90)
(93)
(96)
(99)
(101)
(103)
(105)
(107)
(110)
(114)
(119)
(124)
(135)
(147)
(158)
(169)
(174)
(181)
(189)
(196)
(203)
(209)
(216)
(223)
(231)
(236)
(240)
(245)
(249)
(253)
(257)
(261)
Other
(23)
(10)
(5)
7
28
1
0
1
(8)
15
16
14
9
2
(1)
(1)
(1)
(1)
(1)
(1)
(2)
(82)
(82)
0
(81)
(2)
(3)
0
(2)
(1)
0
0
0
0
0
0
0
0
0
0
0
Cash from Financing Activities
(560)
N/A
(425)
+24%
(302)
+29%
(334)
-11%
(170)
+49%
(178)
-4%
(151)
+15%
(102)
+33%
(155)
-53%
(117)
+25%
(52)
+56%
89
N/A
2
-97%
(55)
N/A
(203)
-271%
(421)
-107%
(354)
+16%
(410)
-16%
(413)
-1%
18
N/A
57
+219%
24
-58%
35
+45%
(549)
N/A
(251)
+54%
(179)
+29%
(311)
-74%
249
N/A
(167)
N/A
(229)
-37%
(164)
+28%
(621)
-279%
(494)
+20%
(420)
+15%
(426)
-1%
(396)
+7%
63
N/A
(25)
N/A
(19)
+25%
(92)
-387%
(809)
-783%
Change in Cash
Net Change in Cash
(186)
N/A
(206)
-11%
(53)
+74%
(168)
-218%
(54)
+68%
(30)
+44%
(20)
+35%
28
N/A
120
+323%
182
+52%
30
-84%
158
+427%
23
-86%
(60)
N/A
70
N/A
(188)
N/A
13
N/A
(78)
N/A
(3)
+96%
499
N/A
439
-12%
485
+11%
458
-6%
(29)
N/A
494
N/A
644
+31%
249
-61%
1
-99%
(486)
N/A
(698)
-44%
(295)
+58%
(124)
+58%
(32)
+74%
(272)
-747%
(291)
-7%
(288)
+1%
(199)
+31%
231
N/A
149
-35%
88
-41%
1
-98%
Free Cash Flow
Free Cash Flow
371
N/A
242
-35%
274
+13%
191
-30%
142
-26%
199
+40%
183
-8%
182
0%
326
+79%
300
-8%
328
+10%
316
-4%
268
-15%
260
-3%
291
+12%
251
-14%
385
+53%
332
-14%
405
+22%
476
+18%
377
-21%
456
+21%
423
-7%
520
+23%
745
+43%
893
+20%
632
-29%
492
-22%
534
+9%
316
-41%
657
+108%
617
-6%
424
-31%
541
+28%
527
-3%
504
-4%
183
-64%
277
+51%
192
-31%
294
+53%
921
+214%

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