BMO Cash Flow Statement - Bank of Montreal - Alpha Spread
B

Bank of Montreal
NYSE:BMO

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Bank of Montreal
NYSE:BMO
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Price: 88.8 USD 2.22% Market Closed
Market Cap: 64.8B USD
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Cash Flow Statement

Cash Flow Statement
Bank of Montreal

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Cash Flow Statement
Currency: CAD
Jul-2014 Oct-2014 Jan-2015 Apr-2015 Jul-2015 Oct-2015 Jan-2016 Apr-2016 Jul-2016 Oct-2016 Jan-2017 Apr-2017 Jul-2017 Oct-2017 Jan-2018 Apr-2018 Jul-2018 Oct-2018 Jan-2019 Apr-2019 Jul-2019 Oct-2019 Jan-2020 Apr-2020 Jul-2020 Oct-2020 Jan-2021 Apr-2021 Jul-2021 Oct-2021 Jan-2022 Apr-2022 Jul-2022 Oct-2022 Jan-2023 Apr-2023 Jul-2023 Oct-2023 Jan-2024 Apr-2024 Jul-2024
Operating Cash Flow
Net Income
4 337
4 333
4 272
4 195
4 261
4 405
4 473
4 447
4 500
4 631
5 051
5 326
5 468
5 339
4 824
4 822
4 971
5 450
5 987
6 238
6 259
5 758
5 840
5 032
4 707
5 097
5 522
6 136
7 179
7 754
8 670
12 123
11 213
13 537
10 851
7 154
7 243
4 377
5 422
6 229
6 640
Depreciation & Amortization
732
747
756
770
778
789
807
816
825
828
837
850
854
876
881
890
904
903
921
943
962
989
1 101
1 209
1 316
1 421
1 423
1 421
1 421
1 425
1 418
1 452
1 467
1 480
1 520
1 697
1 882
2 099
2 246
2 204
2 182
Change in Deffered Taxes
126
199
(162)
24
139
302
409
237
215
101
248
122
208
144
620
809
784
836
486
499
438
468
249
374
211
137
275
109
298
212
282
469
319
475
206
(28)
(579)
(732)
(572)
(927)
(195)
Other Non-Cash Items
542
328
448
336
283
169
(70)
(122)
132
(127)
(481)
(341)
(681)
(211)
(580)
(466)
(67)
(81)
815
940
616
577
20
(233)
(175)
206
493
1 501
1 431
524
711
(6)
(193)
513
(213)
(871)
(680)
(990)
17
220
753
Cash Taxes Paid
354
264
451
433
472
641
819
927
883
1 201
1 390
1 559
1 706
1 338
1 634
1 431
1 241
1 261
796
897
1 266
1 209
1 697
2 088
1 796
1 537
1 207
771
1 281
2 167
2 150
2 332
2 470
2 374
3 155
3 366
2 897
2 591
1 684
1 685
1 837
Cash Interest Paid
0
4 407
5 660
6 751
7 923
4 476
4 346
4 304
4 351
4 561
4 850
5 067
5 397
5 826
6 281
6 900
7 742
8 790
10 033
11 281
12 261
12 956
12 983
12 644
11 247
9 679
8 097
7 054
6 453
5 864
5 537
5 199
6 271
9 557
14 474
21 096
27 964
33 747
38 275
41 048
43 818
Change in Working Capital
(873)
(8 534)
(7 706)
(6 655)
(2 671)
(3 332)
(3 671)
(7 455)
(11 382)
(8 161)
(9 844)
(7 777)
(8 769)
(3 240)
(2 571)
(3 177)
3 076
10 804
7 855
3 764
6 898
21 511
26 533
68 304
83 110
43 975
52 157
38 607
3 108
34 134
(10 395)
(25 054)
(15 277)
(11 048)
35 930
3 294
16 024
4 837
963
28 809
18 503
Cash from Operating Activities
4 864
N/A
(2 927)
N/A
(2 392)
+18%
(1 330)
+44%
2 790
N/A
2 333
-16%
1 948
-17%
(2 077)
N/A
(5 710)
-175%
(2 728)
+52%
(4 189)
-54%
(1 820)
+57%
(2 920)
-60%
2 908
N/A
3 174
+9%
2 878
-9%
9 668
+236%
17 912
+85%
16 064
-10%
12 384
-23%
15 173
+23%
29 303
+93%
33 743
+15%
74 686
+121%
89 169
+19%
50 836
-43%
59 870
+18%
47 774
-20%
13 437
-72%
44 049
+228%
686
-98%
(11 016)
N/A
(2 471)
+78%
4 957
N/A
48 294
+874%
11 246
-77%
23 890
+112%
9 591
-60%
8 076
-16%
36 535
+352%
27 883
-24%
Investing Cash Flow
Capital Expenditures
(670)
(737)
(679)
(760)
(591)
(524)
(603)
(635)
(746)
(611)
(588)
(555)
(570)
(791)
(843)
(866)
(863)
(886)
(925)
(990)
(1 063)
(1 128)
(1 147)
(1 202)
(1 131)
(1 032)
(1 010)
(911)
(954)
(983)
(1 019)
(1 137)
(1 258)
(1 448)
(1 546)
(1 621)
(1 626)
(1 677)
(1 702)
(1 626)
(1 671)
Other Items
834
4 030
7 042
4 179
5 006
4 550
(9 560)
(8 977)
(14 210)
(14 721)
(3 536)
(2 226)
(2 681)
(2 364)
473
(6 191)
(6 250)
(10 447)
(14 937)
(10 192)
(14 322)
(18 452)
(22 689)
(33 353)
(38 692)
(30 942)
(23 243)
(5 068)
2 288
684
(25 367)
(29 442)
(26 438)
(28 023)
(7 150)
(22 249)
(17 229)
(19 480)
(25 991)
(10 960)
(19 955)
Cash from Investing Activities
164
N/A
3 293
+1 908%
6 363
+93%
3 419
-46%
4 415
+29%
4 026
-9%
(10 163)
N/A
(9 612)
+5%
(14 956)
-56%
(15 332)
-3%
(4 124)
+73%
(2 781)
+33%
(3 251)
-17%
(3 155)
+3%
(370)
+88%
(7 057)
-1 807%
(7 113)
-1%
(11 333)
-59%
(15 862)
-40%
(11 182)
+30%
(15 385)
-38%
(19 580)
-27%
(23 836)
-22%
(34 555)
-45%
(39 823)
-15%
(31 974)
+20%
(24 253)
+24%
(5 979)
+75%
1 334
N/A
(299)
N/A
(26 386)
-8 725%
(30 579)
-16%
(27 696)
+9%
(29 471)
-6%
(8 696)
+70%
(23 870)
-174%
(18 855)
+21%
(21 157)
-12%
(27 693)
-31%
(12 586)
+55%
(21 626)
-72%
Financing Cash Flow
Net Issuance of Common Stock
758
908
656
(340)
(957)
(370)
(109)
524
721
737
765
1 313
822
109
(204)
(1 251)
(895)
(803)
(643)
210
971
972
1 083
712
(37)
1 171
458
490
635
(887)
(178)
3 003
2 941
3 841
7 777
4 573
4 569
4 001
65
1 423
1 603
Net Issuance of Debt
0
594
2 742
2 242
(296)
3 603
2 191
4 139
8 354
6 894
5 833
4 285
4 773
3 993
5 317
7 223
5 058
3 924
2 549
743
1 522
403
(1 504)
(461)
(1 443)
(887)
321
(3 023)
(3 175)
(1 255)
3 053
8 633
9 010
7 807
3 971
(1 936)
866
(3 098)
(4 914)
(2 379)
(4 294)
Cash Paid for Dividends
(2 002)
(1 851)
(1 835)
(1 867)
(1 942)
(2 135)
(2 203)
(2 233)
(2 220)
(2 219)
(2 067)
(1 888)
(1 925)
(2 010)
(2 236)
(2 480)
(2 552)
(2 582)
(2 608)
(2 654)
(2 699)
(2 752)
(2 805)
(2 862)
(2 691)
(2 475)
(2 503)
(2 496)
(2 735)
(2 980)
(2 988)
(2 864)
(2 708)
(2 595)
(2 520)
(2 537)
(2 680)
(2 703)
(2 777)
(2 812)
(3 315)
Other
(322)
(116)
(99)
(104)
(433)
(1 032)
(1 015)
2 125
2 499
2 634
1 283
(1 852)
(1 724)
(96)
2 086
2 105
3 277
2 198
(1 306)
19
(1 198)
(1 235)
(1 268)
(2 670)
(8 073)
(8 113)
(5 388)
(5 326)
0
0
3 795
3 766
6 927
6 927
3 132
7 964
2 456
2 068
(2 268)
(9 506)
(9 201)
Cash from Financing Activities
(1 566)
N/A
(465)
+70%
1 464
N/A
(69)
N/A
(3 628)
-5 158%
66
N/A
(1 136)
N/A
4 555
N/A
9 354
+105%
8 046
-14%
5 814
-28%
1 858
-68%
1 946
+5%
1 996
+3%
4 963
+149%
5 597
+13%
4 888
-13%
2 737
-44%
(2 008)
N/A
(1 682)
+16%
(1 404)
+17%
(2 612)
-86%
(4 494)
-72%
(5 281)
-18%
(12 244)
-132%
(10 304)
+16%
(7 112)
+31%
(10 355)
-46%
(5 275)
+49%
(5 122)
+3%
3 682
N/A
12 538
+241%
16 170
+29%
15 980
-1%
12 360
-23%
8 064
-35%
5 211
-35%
268
-95%
(9 894)
N/A
(13 274)
-34%
(15 207)
-15%
Change in Cash
Effect of Foreign Exchange Rates
1 733
2 396
4 813
3 301
6 895
5 484
3 952
2 842
338
1 372
(2 383)
2 160
(949)
(803)
(687)
(1 024)
1 055
227
1 117
397
(518)
(450)
(141)
904
550
47
(1 156)
(4 440)
(2 261)
(2 775)
(950)
750
(242)
2 739
1 261
2 769
1 430
1 766
828
699
2 449
Net Change in Cash
5 195
N/A
2 297
-56%
10 248
+346%
5 321
-48%
10 472
+97%
11 909
+14%
(5 399)
N/A
(4 292)
+21%
(10 974)
-156%
(8 642)
+21%
(4 882)
+44%
(583)
+88%
(5 174)
-787%
946
N/A
7 080
+648%
394
-94%
8 498
+2 057%
9 543
+12%
(689)
N/A
(83)
+88%
(2 134)
-2 471%
6 661
N/A
5 272
-21%
35 754
+578%
37 652
+5%
8 605
-77%
27 349
+218%
27 000
-1%
7 235
-73%
35 853
+396%
(22 968)
N/A
(28 307)
-23%
(14 239)
+50%
(5 795)
+59%
53 219
N/A
(1 791)
N/A
11 676
N/A
(9 532)
N/A
(28 683)
-201%
11 374
N/A
(6 501)
N/A

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