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META Stock Annual Cash Flow. Download in Excel

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Facebook Inc

Sector: Communication   

Industry: Data Processing, Hosting, and Related Services

603.35
 
USD
  
-4.40
  
(-0.72%)
Previous close: 607.75  Open: 605.48  Bid: 602.95  Ask: 603.24
52 week range    
340.01   
   638.40
Mkt Cap: 1,534,258 M  Avg Vol (90 Days): 11,336,688
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Last updated: Friday 27th December 2024

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55
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Technical
57
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Financials

META Cash Flow

Annual
Dec-14Dec-15Dec-16Dec-17Dec-18Dec-19Dec-20Dec-21Dec-22Dec-23
(Increase) Decrease in other current assets-216 M-3 M14 M154 M-159 M41 M-34 M
(Increase) Decrease in other current liabilities356 M1,356 M1,297 M4 M53 M123 M108 M187 M
(Increase) Decrease in other working capital-216 M-3 M14 M3,237 M-793 M1,280 M-561 M592 M780 M544 M
(Increase) Decrease in payables3 M35 M81 M138 M378 M461 M161 M1,424 M300 M-220 M
(Increase) Decrease in receivables-610 M-973 M-1,489 M-1,609 M-1,892 M-1,961 M-1,512 M-3,110 M231 M-2,399 M
AssetImpairmentCharge2,218 M2,432 M
CapitalExpenditureReported1,831 M2,523 M4,491 M6,733 M13,915 M15,102 M15,115 M18,690 M31,431 M27,266 M
Cash at beginning of period3,323 M4,315 M4,907 M9,109 M8,204 M10,124 M19,279 M17,954 M16,865 M15,596 M
Cash at end of period4,315 M4,907 M8,903 M8,204 M10,124 M19,279 M17,954 M16,865 M15,596 M42,827 M
Cash flow5,457 M10,320 M16,108 M24,216 M29,274 M36,314 M38,747 M57,683 M49,134 M71,113 M
CashFlowFromContinuingInvestingActivities-5,913 M-9,434 M-11,739 M-20,118 M-11,603 M-19,864 M-30,059 M-7,570 M-28,970 M-24,495 M
ChangeInAccountPayable3 M35 M81 M138 M378 M461 M161 M1,424 M300 M-220 M
ChangeInAccruedExpense328 M513 M1,014 M309 M1,417 M7,300 M-1,054 M3,544 M4,210 M5,352 M
ChangeInInterestPayable328 M513 M1,014 M309 M1,417 M7,300 M-1,054 M
ChangeInPayablesAndAccruedExpense331 M548 M1,095 M447 M1,795 M7,761 M-893 M4,968 M4,510 M5,132 M
ChangeInPrepaidAssets-123 M-144 M-159 M-192 M-690 M47 M135 M-1,750 M162 M559 M
ChangeInWorkingCapital-262 M784 M758 M1,887 M-1,527 M7,250 M-2,723 M700 M5,683 M3,836 M
ChangesInAccountReceivables-610 M-973 M-1,489 M-1,609 M-1,892 M-1,961 M-1,512 M-3,110 M231 M-2,399 M
CommonStockPayments-1,976 M-12,879 M-4,202 M-6,272 M-44,537 M-27,956 M-19,774 M
Current deferred income taxes-210 M-795 M-457 M-377 M286 M-37 M-1,192 M609 M-3,286 M131 M
Deferred income taxes-210 M-795 M-457 M-377 M286 M-37 M-1,192 M609 M-3,286 M131 M
Depreciation1,243 M1,945 M2,342 M3,025 M4,315 M5,741 M6,862 M7,967 M8,686 M11,178 M
Depreciation unreconciled1,243 M1,945 M2,342 M3,025 M4,315 M5,741 M6,862 M7,967 M8,686 M11,178 M
DepreciationAndAmortization1,243 M1,945 M2,342 M3,025 M4,315 M5,741 M6,862 M7,967 M8,686 M11,178 M
EarningsLossesFromEquityInvestments-232 M463 M
Effect of exchange rate changes-123 M-155 M-63 M232 M-179 M4 M279 M-474 M-638 M113 M
ExcessTaxBenefitFromStockBasedCompensation-1,869 M-1,721 M
FinancingCashFlow1,571 M-139 M-310 M-5,235 M-15,572 M-7,299 M-10,292 M-50,728 M-22,136 M-19,500 M
Free cash flow3,626 M7,797 M11,617 M17,483 M15,359 M21,212 M23,632 M39,116 M19,289 M44,068 M
IncomeTaxPaidSupplementalData184 M270 M1,210 M2,117 M3,762 M5,182 M4,229 M8,525 M6,407 M6,607 M
InterestPaidSupplementalData14 M10 M11 M1000000.0448 M
Issuance of debt500 M-223 M24 M14 M
IssuanceOfDebt-243 M-119 M500 M-775 M-580 M-677 M9,071 M7,397 M
Net cash from financing activities1,571 M-139 M-310 M-5,235 M-15,572 M-7,299 M-10,292 M-50,728 M-22,136 M-19,500 M
Net cash from investing activities-5,913 M-9,434 M-11,739 M-20,118 M-11,603 M-19,864 M-30,059 M-7,570 M-28,970 M-24,495 M
Net cash from operating activities5,457 M10,320 M16,108 M24,216 M29,274 M36,314 M38,747 M57,683 M50,475 M71,113 M
Net change in cash & cash equivalents992 M592 M3,996 M-905 M1,920 M9,151 M-1,604 M-615 M-631 M27,118 M
Net income from continuing operations2,940 M3,688 M10,217 M15,934 M22,112 M18,485 M29,146 M39,370 M23,200 M39,098 M
NetCommonStockIssuance-1,976 M-12,879 M-4,202 M-6,272 M-44,537 M-27,956 M-19,774 M
NetInvestmentPropertiesPurchaseAndSale-4,082 M-6,911 M-7,248 M-13,385 M2,312 M-4,762 M-14,944 M10,997 M2,216 M2,550 M
NetInvestmentPurchaseAndSale-4,082 M-6,911 M-7,248 M-13,385 M2,312 M-4,762 M-14,944 M10,997 M2,216 M2,550 M
NetIssuancePaymentsOfDebt-243 M-119 M500 M-775 M-580 M-677 M9,071 M7,397 M
NetLongTermDebtIssuance-243 M-119 M-552 M-604 M-677 M9,071 M7,397 M
NetPPEPurchaseAndSale-1,831 M-2,523 M-4,491 M-6,733 M-13,915 M-15,102 M-15,115 M-18,567 M-31,186 M-27,045 M
Operating (gains) losses-232 M463 M
Other financing charges net1,796 M-139 M-310 M-3,259 M-3,193 M-2,322 M-3,440 M-5,514 M-3,251 M-7,123 M
Other investing changes net-5,325 M-211 M-62 M-135 M-162 M-569 M-6,785 M-1,182 M-1,316 M-652 M
Other non-cash items1,746 M4,698 M3,248 M3,747 M4,088 M4,875 M6,654 M9,269 M14,851 M17,094 M
ProceedsFromStockOptionExercised18 M
Purchase of Float term investments-9,104 M-15,938 M-22,341 M-25,682 M-14,656 M-23,910 M-33,930 M-30,407 M-9,626 M-2,982 M
Purchase of property plant & equipment-1,831 M-2,523 M-4,491 M-6,733 M-13,915 M-15,102 M-15,115 M-18,567 M-31,186 M-27,045 M
Purchase of short term investments9,921 M8,455 M
PurchaseOfInvestment-9,104 M-15,938 M-22,341 M-25,682 M-14,656 M-23,910 M-33,930 M-30,407 M-9,626 M-2,982 M
PurchaseOfLongTermInvestments-9,104 M-15,938 M-22,341 M-25,682 M-14,656 M-23,910 M-33,930 M
PurchaseOfPPE-1,831 M-2,523 M-4,491 M-6,733 M-13,915 M-15,102 M-15,115 M-18,690 M-31,431 M-27,266 M
Repayment of debt-243 M-119 M-552 M-604 M-677 M-850 M-1,058 M
RepaymentOfDebt-243 M-119 M-552 M-604 M-677 M-850 M-1,058 M
Repurchase of capital stock-1,976 M-12,879 M-4,202 M-6,272 M-44,537 M-27,956 M-19,774 M
Sale of short term investments10,347 M9,238 M15,155 M12,432 M17,130 M19,717 M25,771 M42,586 M13,158 M6,184 M
SaleOfInvestment10,347 M9,238 M15,155 M12,432 M17,130 M19,717 M25,771 M42,586 M13,158 M6,184 M
SaleOfPPE123 M245 M221 M
ShortTermDebtIssuance500 M-223 M24 M14 M
StockBasedCompensation1,786 M2,960 M3,218 M3,723 M4,152 M4,836 M6,536 M9,164 M11,992 M14,027 M
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