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CCL Stock Annual Cash Flow. Download in Excel

Carnival Corporation logo

Carnival Corporation

Sector: Consumer Cyclical   

Industry: Leisure

25.35
 
USD
  
0.27
  
(1.08%)
Previous close: 25.08  Open: 25.13  Bid: 25.28  Ask: 25.3
52 week range    
13.78   
   25.60
Mkt Cap: 33,721 M  Avg Vol (90 Days): 26,982,956
Peers   
RCL / 
NCLH / 
CUK / 
MAR / 
Last updated: Friday 22nd November 2024

Stock Rankings

65
MarketXLS Rank
80
Value
69
Technical
47
Quality
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Financials

CCL Cash Flow

Annual
Nov-14Nov-15Nov-16Nov-17Nov-18Nov-19Nov-20Nov-21Nov-22Nov-23
(Increase) Decrease in inventories1000000.05 M1000000.0-49 M-67 M79 M77 M-63 M-95 M-85 M
(Increase) Decrease in other current assets422 M131 M11 M-13 M74 M-254 M-209 M
(Increase) Decrease in other current liabilities-290 M323 M345 M434 M439 M467 M-3,014 M1,892 M2,020 M1,316 M
(Increase) Decrease in other working capital-1,070 M-874 M397 M
(Increase) Decrease in payables9 M36 M109 M21 M-24 M34 M-165 M206 M283 M77 M
(Increase) Decrease in receivables75 M4 M-22 M6 M-58 M-114 M125 M-7 M-171 M-180 M
Acquisitions-81 M-90 M-1000000.0
AssetImpairmentCharge392 M16 M26 M4,063 M834 M470 M21 M
CapitalExpenditureReported2,583 M2,294 M3,062 M2,944 M3,749 M5,429 M3,620 M3,607 M4,940 M3,284 M
Cash at beginning of period462 M331 M1,395 M603 M422 M996 M530 M9,692 M8,976 M6,037 M
Cash at end of period331 M5,441 M603 M395 M982 M530 M9,692 M8,976 M6,037 M6,037 M
Cash flow3,430 M8,591 M9,824 M10,245 M10,735 M10,742 M-9,413 M-9,176 M-4,500 M7,036 M
CashFlowFromContinuingInvestingActivities-2,507 M-2,478 M-3,323 M-3,089 M-3,513 M-5,277 M-3,240 M-3,543 M-4,767 M-2,810 M
ChangeInAccountPayable9 M36 M109 M21 M-24 M34 M-165 M206 M283 M77 M
ChangeInPayablesAndAccruedExpense9 M36 M109 M21 M-24 M34 M-165 M206 M283 M77 M
ChangeInWorkingCapital217 M499 M444 M399 M364 M212 M-3,186 M958 M1,163 M1,525 M
CommonStockDividendPaid-776 M-816 M-977 M-1,087 M-1,355 M-1,387 M-689 M
CommonStockPayments-533 M-2,340 M-552 M-1,468 M-603 M-12 M
Depreciation1,637 M1,626 M1,738 M1,846 M2,017 M2,160 M2,241 M2,233 M2,275 M2,370 M
Depreciation unreconciled1,637 M1,626 M1,738 M1,846 M2,017 M2,160 M2,360 M2,405 M2,446 M2,531 M
DepreciationAndAmortization1,637 M1,626 M1,738 M1,846 M2,017 M2,160 M2,360 M2,233 M2,275 M2,370 M
EarningsLossesFromEquityInvestments20 M129 M38 M13 M
Effect of exchange rate changes-26 M-61 M-12 M11 M-1000000.0-9 M53 M-13 M-79 M17 M
FinancingCashFlow-1,028 M-942 M-2,591 M-2,452 M-1,460 M-655 M18,650 M6,949 M3,577 M-5,089 M
Free cash flow847 M6,297 M2,072 M2,378 M2,189 M72 M-9,587 M-7,365 M-6,540 M1,337 M
GainLossOnInvestmentSecurities271 M576 M47 M-35 M-59 M
GainLossOnSaleOfPPE-7 M-88 M
Issuance of capital stock4 M3,249 M1,027 M1,188 M7 M
Issuance of debt617 M-633 M447 M-29 M417 M-605 M2,852 M-293 M-2,590 M-200 M
IssuanceOfCapitalStock4 M3,249 M1,027 M1,188 M7 M
IssuanceOfDebt-223 M170 M711 M-789 M1,403 M1,418 M16,251 M6,793 M2,391 M-5,030 M
Net cash from financing activities-1,028 M-942 M-2,591 M-2,452 M-1,459 M-654 M18,649 M6,948 M3,577 M-5,089 M
Net cash from investing activities-2,507 M-2,478 M-3,323 M-3,089 M-3,502 M-5,277 M-3,240 M-3,543 M-4,767 M-2,810 M
Net cash from operating activities3,430 M8,591 M5,134 M5,322 M5,549 M5,475 M-6,301 M-4,109 M-1,670 M4,281 M
Net change in cash & cash equivalents-131 M5,110 M-804 M-197 M586 M-474 M9,161 M-702 M-2,860 M-3,618 M
Net income from continuing operations1,216 M1,757 M2,779 M2,606 M3,152 M2,990 M-10,236 M-9,501 M-6,093 M-74 M
NetBusinessPurchaseAndSale-81 M-90 M-1000000.0
NetCommonStockIssuance-533 M-2,340 M-552 M-1,468 M-599 M3,237 M1,027 M1,188 M7 M
NetInvestmentPropertiesPurchaseAndSale76 M-184 M-261 M-145 M-153 M126 M127 M-197 M104 M134 M
NetInvestmentPurchaseAndSale76 M-184 M-261 M-145 M-153 M126 M127 M-197 M104 M134 M
NetIssuancePaymentsOfDebt-223 M170 M711 M-789 M1,403 M1,418 M16,251 M6,793 M2,391 M-5,030 M
NetLongTermDebtIssuance-840 M803 M264 M-760 M986 M2,023 M13,399 M7,086 M4,981 M-4,830 M
NetPPEPurchaseAndSale-2,583 M-2,294 M-3,062 M-2,944 M-3,360 M-5,403 M-3,286 M-3,256 M-4,870 M-2,944 M
Operating (gains) losses271 M4,622 M4,737 M4,888 M5,127 M5,265 M479 M797 M32 M23 M
Other financing charges net-29 M237 M15 M-24 M-39 M-86 M-150 M-327 M-1000000.013 M
Other investing changes net76 M-184 M-261 M-145 M-153 M126 M127 M3 M-96 M134 M
Other non-cash items89 M87 M126 M506 M75 M5,380 M1,170 M-3,835 M-2,048 M3,031 M
Payment of cash dividends776 M816 M977 M1,087 M1,355 M1,387 M689 M
Purchase of Float term investments-200 M200 M
Purchase of property plant & equipment-2,583 M-2,294 M-3,062 M-2,944 M-3,360 M-5,403 M-3,286 M-3,256 M-4,870 M-2,944 M
Purchase of short term investments1,626 M2,041 M1,542 M467 M2,542 M3,674 M15,020 M13,042 M7,209 M2,961 M
PurchaseOfInvestment-200 M200 M
PurchaseOfPPE-2,583 M-2,294 M-3,062 M-2,944 M-3,749 M-5,429 M-3,620 M-3,607 M-4,940 M-3,284 M
Repayment of debt-2,466 M-1,238 M-1,278 M-1,227 M-1,556 M-1,651 M-1,621 M-5,956 M-2,228 M-7,791 M
RepaymentOfDebt-1,849 M-1,871 M-831 M-1,256 M-1,139 M-2,256 M1,231 M-5,956 M-4,818 M-7,991 M
Repurchase of capital stock-533 M-2,340 M-552 M-1,468 M-603 M-12 M
Revenue per share119 M172 M171 M161 M
SaleOfPPE389 M26 M334 M351 M70 M340 M
ShortTermDebtIssuance-293 M-2,590 M
ShortTermDebtPayments617 M-633 M447 M-29 M417 M-605 M2,852 M-2,590 M-200 M
StockBasedCompensation52 M55 M55 M63 M65 M46 M105 M121 M101 M53 M
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