International Business Machines (IBM)
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Fiscal Year End Date: 12/31
(Values in U.S. thousands)
12-2022 | 12-2021 | 12-2020 | 12-2019 | 12-2018 | |
Cash Flows From Operating Activities | |||||
Net Income | 1,639,000 | 5,743,000 | 5,590,000 | 9,431,000 | 8,728,000 |
Depreciation Amortization | 4,802,000 | 6,417,000 | 6,695,000 | 6,059,000 | 4,480,000 |
Income taxes - deferred | -2,726,000 | -2,001,000 | -3,203,000 | -1,527,000 | 853,000 |
Accounts receivable | -539,000 | 1,372,000 | 5,297,000 | 502,000 | 1,006,000 |
Accounts payable and accrued liabilities | 213,000 | 85,000 | 138,000 | -503,000 | 126,000 |
Other Working Capital | -39,000 | 1,962,000 | 8,249,000 | 1,225,000 | 554,000 |
Other Operating Activity | 7,085,000 | -782,000 | -4,569,000 | -417,000 | -500,000 |
Operating Cash Flow | $10,435,000 | $12,796,000 | $18,197,000 | $14,770,000 | $15,247,000 |
Cash Flows From Investing Activities | |||||
PPE Investments | -1,235,000 | -1,675,000 | -2,430,000 | -1,749,000 | -3,147,000 |
Net Acquisitions | -1,076,000 | -3,179,000 | 167,000 | -31,554,000 | -139,000 |
Purchase Of Investment | -6,556,000 | -4,267,000 | -6,858,000 | -4,314,000 | -7,610,000 |
Sale Of Investment | 4,665,000 | 3,147,000 | 5,618,000 | 3,961,000 | 6,487,000 |
Other Investing Activity | 0 | -1,000 | 475,000 | 6,720,000 | -504,000 |
Investing Cash Flow | $-4,202,000 | $-5,975,000 | $-3,028,000 | $-26,936,000 | $-4,913,000 |
Cash Flows From Financing Activities | |||||
Change In Short Term Borrowing | 217,000 | -40,000 | -853,000 | -2,597,000 | 1,341,000 |
Debt Issued | 7,804,000 | 522,000 | 10,504,000 | 31,825,000 | 6,891,000 |
Debt Repayment | -6,800,000 | -8,597,000 | -13,365,000 | -12,944,000 | -8,533,000 |
Common Stock Repurchased | -407,000 | -319,000 | -302,000 | -1,633,000 | -4,614,000 |
Dividend Paid | -5,948,000 | -5,869,000 | -5,797,000 | -5,707,000 | -5,666,000 |
Other Financing Activity | 176,000 | 949,000 | 92,000 | 98,000 | 112,000 |
Financing Cash Flow | $-4,958,000 | $-13,354,000 | $-9,721,000 | $9,042,000 | $-10,469,000 |
Exchange Rate Effect | -244,000 | -185,000 | -87,000 | -167,000 | -495,000 |
Beginning Cash Position | 6,957,000 | 13,675,000 | 8,314,000 | 11,604,000 | 12,234,000 |
End Cash Position | 7,988,000 | 6,957,000 | 13,675,000 | 8,314,000 | 11,604,000 |
Net Cash Flow | $1,032,000 | $-6,718,000 | $5,361,000 | $-3,290,000 | $-630,000 |
Free Cash Flow | |||||
Operating Cash Flow | 10,435,000 | 12,796,000 | 18,197,000 | 14,770,000 | 15,247,000 |
Capital Expenditure | -1,346,000 | -2,062,000 | -2,618,000 | -2,286,000 | -3,395,000 |
Free Cash Flow | 9,089,000 | 10,734,000 | 15,579,000 | 12,484,000 | 11,852,000 |