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CSCO Stock Annual Cash Flow. Download in Excel

Cisco Systems Inc. logo

Cisco Systems Inc.

Sector: Technology   

Industry: Communication Equipment

57.50
 
USD
  
0.49
  
(0.86%)
Previous close: 57.01  Open: 56.84  Bid: 57.41  Ask: 57.77
52 week range    
44.50   
   59.38
Mkt Cap: 227,512 M  Avg Vol (90 Days): 16,990,467
Peers   
JNPR / 
ERIC / 
HPQ / 
NTGR / 
CTXS / 
FFIV / 
VMW / 
MSI / 
IBM / 
Last updated: Thursday 21st November 2024

Stock Rankings

66
MarketXLS Rank
95
Value
61
Technical
42
Quality
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Financials

CSCO Cash Flow

Annual
Jul-15Jul-16Jul-17Jul-18Jul-19Jul-20Jul-21Jul-22Jul-23Jul-24
(Increase) Decrease in inventories-116 M315 M-394 M-244 M131 M84 M-244 M-1,030 M-1,069 M275 M
(Increase) Decrease in other current assets-370 M-37 M15 M66 M-955 M96 M-797 M-1,615 M
(Increase) Decrease in other current liabilities1,350 M614 M986 M1,288 M1,558 M1,901 M1,514 M1,863 M2,374 M1,636 M
(Increase) Decrease in other working capital-370 M-37 M15 M66 M-955 M96 M-797 M-1,615 M5 M-671 M
(Increase) Decrease in payables140 M-365 M371 M8,622 M399 M-181 M-602 M-745 M1,245 M-4,629 M
(Increase) Decrease in receivables-1,047 M-554 M-282 M-488 M-333 M-904 M1,470 M232 M1,836 M-213 M
Acquisitions-326 M-3,161 M-3,324 M-3,006 M-301 M-25,994 M
AssetImpairmentCharge134 M-9 M-8 M-134 M40 M93 M
CapitalExpenditureReported1,227 M1,146 M964 M834 M909 M770 M692 M477 M849 M670 M
Cash at beginning of period6,726 M6,877 M7,631 M11,773 M8,993 M11,772 M11,812 M9,942 M8,579 M11,627 M
Cash at end of period6,877 M7,631 M11,708 M8,961 M11,772 M11,828 M9,905 M8,579 M11,627 M8,842 M
Cash flow12,552 M13,570 M13,876 M13,666 M15,831 M15,426 M15,454 M13,226 M19,886 M10,880 M
CashFlowFromContinuingInvestingActivities-10,088 M-8,117 M-5,993 M15,318 M14,837 M3,500 M-5,285 M1,553 M-5,107 M-20,478 M
ChangeInAccountPayable87 M-65 M311 M504 M87 M141 M-53 M-55 M27 M-90 M
ChangeInIncomeTaxPayable53 M-300 M60 M8,118 M312 M-322 M-549 M-690 M1,218 M-4,539 M
ChangeInPayablesAndAccruedExpense140 M-365 M371 M8,622 M399 M-181 M-602 M-745 M1,245 M-4,629 M
ChangeInTaxPayable53 M-300 M60 M8,118 M312 M-322 M-549 M-690 M1,218 M-4,539 M
ChangeInWorkingCapital-43 M-27 M696 M9,244 M800 M996 M1,341 M-1,295 M4,391 M-3,602 M
ChangesInAccountReceivables-413 M-404 M756 M-269 M-84 M-107 M-107 M-1,009 M734 M-289 M
CommonStockDividendPaid-4,086 M-4,750 M-5,511 M-6,000 M-5,979 M-6,000 M-6,200 M-6,224 M-6,302 M-6,384 M
CommonStockPayments-4,324 M-3,909 M-3,685 M-17,547 M-20,717 M-2,659 M-2,877 M-7,689 M-4,293 M-5,787 M
Current deferred income taxes-23 M-194 M-124 M900 M-350 M-38 M-384 M-309 M-2,085 M-972 M
Deferred income taxes-23 M-194 M-124 M900 M-350 M-38 M-384 M-309 M-2,085 M-972 M
Depreciation2,442 M2,150 M2,286 M2,192 M1,897 M1,808 M1,862 M1,957 M1,726 M2,507 M
Depreciation unreconciled2,442 M2,150 M2,286 M2,192 M1,897 M1,808 M1,862 M1,957 M1,726 M2,507 M
DepreciationAndAmortization2,442 M2,150 M2,286 M2,192 M1,897 M1,808 M1,862 M1,957 M1,726 M2,507 M
Effect of exchange rate changes58 M-180 M-105 M-31 M
ExcessTaxBenefitFromStockBasedCompensation-128 M-129 M-153 M
FinancingCashFlow-2,313 M-4,699 M-3,806 M-31,796 M-27,889 M-18,870 M-12,134 M-15,962 M-11,626 M6,844 M
Free cash flow11,347 M12,465 M12,919 M12,891 M14,944 M14,835 M14,790 M12,840 M19,037 M10,210 M
GainLossOnInvestmentSecurities-258 M-317 M154 M-322 M-24 M-138 M-354 M-453 M206 M215 M
IncomeTaxPaidSupplementalData2,190 M2,675 M2,742 M3,911 M2,986 M3,116 M3,604 M3,663 M3,571 M7,426 M
InterestPaidSupplementalData760 M859 M897 M910 M892 M603 M438 M355 M376 M583 M
Issuance of capital stock2,016 M1,127 M708 M623 M640 M655 M643 M660 M700 M714 M
Issuance of debt-4 M-4 M2,497 M-2,502 M3,446 M-3,470 M-5 M606 M-602 M478 M
IssuanceOfCapitalStock2,016 M1,127 M708 M623 M640 M655 M643 M660 M700 M714 M
IssuanceOfDebt4,469 M3,111 M5,326 M-8,000 M-1,084 M-10,190 M-3,005 M-1,895 M-1,102 M19,330 M
Net cash from financing activities-2,313 M-4,699 M-3,806 M-31,796 M-27,889 M-18,870 M-12,134 M-15,962 M-11,626 M6,844 M
Net cash from investing activities-10,088 M-8,117 M-5,993 M15,318 M14,837 M3,500 M-5,285 M1,553 M-5,107 M-20,478 M
Net cash from operating activities12,552 M13,570 M13,876 M13,666 M15,831 M15,426 M15,454 M13,226 M19,886 M10,880 M
Net change in cash & cash equivalents151 M754 M4,077 M-2,812 M2,779 M56 M-1,965 M-1,183 M3,153 M-2,754 M
Net income from continuing operations8,981 M10,739 M9,609 M110 M11,621 M11,214 M10,591 M11,812 M12,613 M10,320 M
NetBusinessPurchaseAndSale-326 M-2,789 M-3,324 M-2,979 M-301 M-25,994 M
NetCommonStockIssuance-2,308 M-2,782 M-2,977 M-16,924 M-20,077 M-2,004 M-2,234 M-7,029 M-3,593 M-5,073 M
NetInvestmentPropertiesPurchaseAndSale-8,557 M-4,223 M-1,712 M16,093 M15,724 M4,091 M-4,621 M1,939 M-3,957 M6,186 M
NetInvestmentPurchaseAndSale-8,557 M-4,223 M-1,712 M16,093 M15,724 M4,091 M-4,621 M1,939 M-3,957 M6,186 M
NetIssuancePaymentsOfDebt4,469 M3,111 M5,326 M-8,000 M-1,084 M-10,190 M-3,005 M-1,895 M-1,102 M19,330 M
NetLongTermDebtIssuance4,473 M3,115 M2,829 M-5,498 M-4,530 M-6,720 M-3,000 M-2,501 M-500 M18,852 M
NetPPEPurchaseAndSale-1,205 M-1,105 M-957 M-775 M-887 M-591 M-664 M-386 M-849 M-670 M
Operating (gains) losses-251 M-418 M44 M-222 M253 M-216 M289 M-880 M857 M-481 M
Other financing charges net-388 M-278 M-644 M-872 M-749 M-676 M-695 M-814 M-629 M-1,029 M
Other investing changes net110 M-100 M242 M-2,830 M-2,028 M-113 M-6,900 M-151 M67 M197 M
Other non-cash items1,446 M1,320 M1,365 M1,442 M1,610 M1,662 M1,755 M1,941 M2,384 M3,108 M
Payment of cash dividends4,086 M4,750 M5,511 M6,000 M5,979 M6,000 M6,200 M6,224 M6,302 M6,384 M
PensionAndEmployeeBenefitExpense7 M-101 M-110 M100 M277 M-78 M643 M-427 M651 M-696 M
Purchase of Float term investments-43,975 M-46,760 M-42,702 M-14,285 M-2,416 M-9,212 M-9,328 M-6,070 M-10,871 M-4,230 M
Purchase of property plant & equipment-1,205 M-1,105 M-957 M-775 M-887 M-591 M-664 M-386 M-849 M-670 M
Purchase of short term investments4,981 M6,978 M6,980 M6,877 M2,250 M1,049 M31,818 M
PurchaseOfInvestment-44,197 M-47,016 M-42,924 M-14,552 M-2,564 M-9,402 M-9,503 M-6,256 M-11,056 M-4,514 M
PurchaseOfLongTermInvestments-222 M-256 M-222 M-267 M-148 M-190 M-175 M-186 M-185 M-284 M
PurchaseOfPPE-1,227 M-1,146 M-964 M-834 M-909 M-770 M-692 M-477 M-849 M-670 M
Repayment of debt-508 M-3,863 M-4,151 M-12,375 M-6,780 M-6,720 M-3,000 M-3,550 M-500 M-12,966 M
RepaymentOfDebt-508 M-3,863 M-4,151 M-12,375 M-6,780 M-6,720 M-3,000 M-3,550 M-500 M-12,966 M
Repurchase of capital stock-4,324 M-3,909 M-3,685 M-17,547 M-20,717 M-2,659 M-2,877 M-7,689 M-4,293 M-5,787 M
Sale of short term investments35,530 M42,893 M40,970 M33,475 M20,316 M13,606 M11,782 M8,346 M7,032 M10,503 M
SaleOfBusiness372 M27 M
SaleOfInvestment35,530 M42,893 M40,970 M33,475 M20,316 M13,606 M11,782 M8,346 M7,032 M10,503 M
SaleOfPPE22 M41 M7 M59 M22 M179 M28 M91 M3 M
ShortTermDebtIssuance-4 M-4 M2,497 M-2,502 M3,446 M-3,470 M-5 M606 M-602 M478 M
ShortTermDebtPayments-4 M-4 M2,497 M-2,502 M3,446 M
StockBasedCompensation1,440 M1,458 M1,526 M1,576 M1,570 M1,569 M1,761 M1,886 M2,353 M3,074 M
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