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APD Stock Annual Cash Flow. Download in Excel

Air Products and Chemicals Inc. logo

Air Products and Chemicals Inc.

Sector: Basic Materials   

Industry: Chemicals

309.21
 
USD
  
-1.32
  
(-0.43%)
Previous close: 310.53  Open: 309.84  Bid: 309.5  Ask: 317.79
52 week range    
212.24   
   332.43
Mkt Cap: 70,096 M  Avg Vol (90 Days): 1,248,803
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Last updated: Monday 4th November 2024

Stock Rankings

59
MarketXLS Rank
90
Value
46
Technical
42
Quality
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Financials

APD Cash Flow

Annual
Sep-14Sep-15Sep-16Sep-17Sep-18Sep-19Sep-20Sep-21Sep-22Sep-23
(Increase) Decrease in inventories-23 M8 M32 M6 M-64 M-3 M-5 M-47 M-94 M-129 M
(Increase) Decrease in other current liabilities-5 M36 M28 M-19 M5 M
(Increase) Decrease in other working capital53 M-4 M-48 M-154 M-9 M9 M-131 M-69 M-3 M126 M
(Increase) Decrease in payables-235 M156 M60 M164 M-278 M-42 M-32 M188 M533 M-213 M
(Increase) Decrease in receivables-16 M18 M34 M143 M183 M105 M219 M44 M-383 M117 M
Acquisitions-500000.0-335 M-8 M-345 M-139 M-208 M-86 M-1,723 M-912 M
AssetImpairmentCharge310 M47 M311 M
CapitalExpenditureReported1,684 M1,266 M908 M1,040 M1,568 M1,990 M2,509 M2,464 M2,927 M4,626 M
Cash at beginning of period450 M337 M206 M1,293 M3,274 M2,791 M2,249 M5,253 M4,469 M2,711 M
Cash at end of period1,327 M1,571 M2,662 M4,412 M4,317 M4,108 M7,243 M5,253 M4,469 M2,711 M
Cash flow3,181 M3,822 M2,943 M5,576 M4,115 M4,829 M5,240 M5,466 M7,704 M7,883 M
Cash from disc. financing activities-157 M556 M70 M
Cash from disc. investing activities10 M-349 M-204 M3,751 M19 M
CashFlowFromContinuingInvestingActivities-1,638 M-1,547 M-865 M-1,418 M-1,642 M-2,113 M-3,560 M-2,733 M-3,857 M-5,916 M
CashFromDiscontinuedOperatingActivities-4 M-2 M878 M-2,832 M-55 M14 M-64 M60 M600000.0
ChangeInAccountPayable-235 M156 M60 M164 M-278 M-42 M-32 M188 M533 M-213 M
ChangeInPayablesAndAccruedExpense-235 M156 M60 M164 M-278 M-42 M-32 M188 M533 M-213 M
ChangeInWorkingCapital-226 M215 M107 M140 M-168 M69 M52 M116 M52 M-101 M
ChangesInAccountReceivables-3 M-30 M-45 M-74 M-43 M-69 M43 M-130 M-475 M131 M
CommonStockDividendPaid-628 M-677 M-721 M-788 M-898 M-994 M-1,104 M-1,257 M-1,383 M-1,497 M
Current deferred income taxes126 M3 M62 M-38 M-55 M58 M165 M94 M32 M-25 M
Deferred income taxes126 M3 M62 M-38 M-55 M58 M165 M94 M32 M-25 M
Depreciation957 M936 M855 M866 M971 M1,083 M1,185 M1,321 M1,338 M1,358 M
Depreciation unreconciled957 M936 M855 M866 M971 M1,083 M1,185 M1,321 M1,338 M1,358 M
DepreciationAndAmortization957 M936 M855 M866 M971 M1,083 M1,185 M1,321 M1,338 M1,358 M
EarningsLossesFromEquityInvestments-76 M-103 M-51 M-60 M-60 M-76 M-162 M-138 M-215 M-261 M
Effect of exchange rate changes-11 M-23 M8 M13 M-34 M-29 M15 M28 M-130 M7 M
FinancingCashFlow-661 M-667 M-304 M-1,971 M-1,360 M-1,370 M3,285 M-1,421 M-1,001 M1,610 M
Free cash flow1,493 M2,554 M2,913 M1,747 M2,541 M2,850 M2,826 M909 M290 M-1,395 M
GainLossOnSaleOfPPE-7 M-24 M-7 M5 M-46 M-14 M-24 M-16 M
Issuance of debt149 M284 M-144 M-799 M-78 M4 M-55 M1000000.018 M268 M
IssuanceOfDebt1 M-87 M-238 M-1,280 M-497 M-425 M4,434 M-283 M384 M3,169 M
Net cash from financing activities-504 M-667 M-860 M-2,041 M-1,360 M-1,370 M3,285 M-1,421 M-1,001 M1,610 M
Net cash from investing activities-1,629 M-1,896 M-1,069 M2,333 M-1,623 M-2,113 M-3,560 M-2,733 M-3,857 M-5,916 M
Net cash from operating activities3,177 M3,820 M3,821 M2,744 M4,060 M4,829 M5,255 M3,335 M3,230 M3,206 M
Net change in cash & cash equivalents876 M1,234 M2,455 M3,119 M1,044 M1,345 M4,979 M-784 M-1,628 M-1,100 M
Net income from continuing operations1,982 M2,642 M1,784 M4,176 M3,024 M3,619 M3,877 M4,160 M6,777 M6,970 M
NetBusinessPurchaseAndSale-500000.0-335 M-8 M-345 M-139 M-208 M-86 M-1,723 M-912 M
NetInvestmentPropertiesPurchaseAndSale46 M54 M43 M-412 M223 M4 M-924 M-220 M747 M-403 M
NetInvestmentPurchaseAndSale46 M54 M43 M-412 M223 M4 M-924 M-220 M747 M-403 M
NetIssuancePaymentsOfDebt1 M-87 M-238 M-1,280 M-497 M-425 M4,434 M-283 M384 M3,169 M
NetLongTermDebtIssuance-148 M-371 M-93 M-481 M-418 M-429 M4,489 M-284 M366 M2,901 M
NetPPEPurchaseAndSale-1,684 M-1,266 M-908 M-997 M-1,520 M-1,979 M-2,429 M-2,427 M-2,880 M-4,601 M
Operating (gains) losses-76 M-86 M-51 M-84 M-67 M-71 M-208 M-152 M-239 M-277 M
Other financing charges net-19 M-24 M-43 M-41 M-41 M-20 M-80 M108 M-21 M-87 M
Other investing changes net46 M54 M43 M-10 M6 M-14 M4 M6 M7 M5 M
Other non-cash items419 M111 M188 M516 M411 M71 M170 M-72 M-256 M-43 M
Payment of cash dividends628 M678 M721 M788 M898 M994 M1,104 M1,257 M1,383 M1,497 M
ProceedsFromStockOptionExercised142 M121 M141 M68 M76 M68 M34 M11 M19 M24 M
Purchase of Float term investments-2,693 M-530 M-172 M-2,865 M-2,101 M-1,638 M-1,305 M
Purchase of property plant & equipment-1,684 M-1,266 M-908 M-997 M-1,520 M-1,979 M-2,429 M-2,427 M-2,880 M-4,601 M
Purchase of short term investments461 M340 M387 M2 M500000.04,896 M179 M766 M3,516 M
PurchaseOfInvestment-2,693 M-530 M-172 M-2,865 M-2,101 M-1,638 M-1,305 M
PurchaseOfPPE-1,684 M-1,266 M-908 M-1,040 M-1,568 M-1,990 M-2,509 M-2,464 M-2,926 M-4,626 M
Repayment of debt-609 M-711 M-480 M-484 M-419 M-429 M-407 M-463 M-400 M-615 M
RepaymentOfDebt-609 M-711 M-480 M-484 M-419 M-429 M-407 M-463 M-400 M-615 M
Sale of Float term investments2,291 M748 M191 M1,938 M1,875 M2,377 M
Sale of short term investments2,377 M897 M
SaleOfInvestment2,291 M748 M191 M1,938 M1,875 M2,377 M897 M
SaleOfPPE43 M49 M11 M80 M38 M46 M25 M
ShortTermDebtIssuance149 M284 M-144 M-799 M-78 M4 M-55 M1000000.018 M268 M
ShortTermDebtPayments149 M284 M-144 M-799 M-78 M4 M-55 M
StockBasedCompensation44 M46 M31 M40 M39 M41 M54 M45 M48 M60 M
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