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MSFT Stock Annual Cash Flow. Download in Excel

Microsoft Corporation logo

Microsoft Corporation

Sector: Technology   

Industry: Software - Infrastructure

412.87
 
USD
  
-1.79
  
(-0.43%)
Previous close: 414.66  Open: 419.5  Bid: 412.65  Ask: 413.0
52 week range    
362.90   
   468.35
Mkt Cap: 3,106,219 M  Avg Vol (90 Days): 19,337,721
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Last updated: Friday 22nd November 2024

Stock Rankings

46
MarketXLS Rank
55
Value
23
Technical
60
Quality
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Financials

MSFT Cash Flow

Annual
Jun-15Jun-16Jun-17Jun-18Jun-19Jun-20Jun-21Jun-22Jun-23Jun-24
(Increase) Decrease in inventories-272 M600 M50 M-465 M597 M168 M-737 M-1,123 M1,242 M1,284 M
(Increase) Decrease in other current assets62 M-1,167 M1,028 M-952 M-1,718 M-2,330 M-932 M-709 M-1,991 M-1,648 M
(Increase) Decrease in other current liabilities-472 M8,314 M4,176 M6,720 M5,881 M3,558 M8,782 M7,453 M7,807 M10,215 M
(Increase) Decrease in other working capital1,945 M-807 M-1,035 M-305 M-1,243 M311 M-2,057 M-1,980 M-2,280 M-6,068 M
(Increase) Decrease in payables-1,054 M88 M1,873 M19,331 M3,161 M-613 M489 M3,639 M-3,079 M5,232 M
(Increase) Decrease in receivables1,456 M-530 M-1,216 M-3,862 M-2,812 M-2,577 M-6,481 M-6,834 M-4,087 M-7,191 M
AssetImpairmentCharge7,498 M630 M
CapitalExpenditureReported5,944 M8,343 M8,129 M11,632 M13,925 M15,441 M20,622 M23,886 M28,107 M44,477 M
Cash at beginning of period8,669 M5,595 M6,510 M7,663 M11,946 M11,356 M13,576 M14,224 M13,931 M34,704 M
Cash at end of period5,595 M6,510 M7,663 M11,946 M11,356 M13,576 M14,224 M13,931 M34,704 M18,315 M
Cash flow29,668 M33,325 M39,507 M43,884 M52,185 M60,675 M76,740 M89,035 M87,582 M118,548 M
CashFlowFromContinuingInvestingActivities-23,001 M-23,950 M-46,781 M-6,061 M-15,773 M-12,223 M-27,577 M-30,311 M-22,680 M-96,970 M
ChangeInAccountPayable-1,054 M88 M81 M1,148 M232 M3,018 M2,798 M2,943 M-2,721 M3,545 M
ChangeInIncomeTaxPayable1,792 M18,183 M2,929 M-3,631 M-2,309 M696 M-358 M1,687 M
ChangeInPayablesAndAccruedExpense-1,054 M88 M1,873 M19,331 M3,161 M-613 M489 M3,639 M-3,079 M5,232 M
ChangeInTaxPayable1,792 M18,183 M2,929 M-3,631 M-2,309 M696 M-358 M1,687 M
ChangeInWorkingCapital1,665 M6,498 M4,876 M20,467 M3,866 M-1,483 M-936 M446 M-2,388 M1,824 M
ChangesInAccountReceivables1,456 M-530 M-1,216 M-3,862 M-2,812 M-2,577 M-6,481 M-6,834 M-4,087 M-7,191 M
CommonStockDividendPaid-9,882 M-11,006 M-11,845 M-12,699 M-13,811 M-15,137 M-16,521 M-18,135 M-19,800 M-21,771 M
CommonStockPayments-14,443 M-15,969 M-11,788 M-10,721 M-19,543 M-22,968 M-27,385 M-32,696 M-22,245 M-17,254 M
Current deferred income taxes224 M332 M-829 M-5,143 M-6,463 M11 M-150 M-5,702 M-6,059 M-4,738 M
Deferred income taxes224 M332 M-829 M-5,143 M-6,463 M11 M-150 M-5,702 M-6,059 M-4,738 M
Depreciation5,957 M6,622 M8,778 M10,261 M11,682 M12,796 M11,686 M14,460 M13,861 M22,287 M
Depreciation unreconciled5,957 M6,622 M8,778 M10,261 M11,682 M12,796 M11,686 M14,460 M13,861 M22,287 M
DepreciationAndAmortization5,957 M6,622 M8,778 M10,261 M11,682 M12,796 M11,686 M14,460 M13,861 M22,287 M
Effect of exchange rate changes-73 M-67 M19 M50 M-115 M-201 M-29 M-141 M-194 M-210 M
ExcessTaxBenefitFromStockBasedCompensation-588 M
FinancingCashFlow-9,668 M-8,393 M8,408 M-33,590 M-36,887 M-46,031 M-48,486 M-58,876 M-43,935 M-37,757 M
Free cash flow23,724 M24,982 M31,378 M32,252 M38,260 M45,234 M56,118 M65,149 M59,475 M74,071 M
Issuance of capital stock634 M668 M772 M1,002 M1,142 M1,343 M1,693 M1,841 M1,866 M2,002 M
Issuance of debt4,481 M7,195 M-4,963 M-7,324 M5,250 M
IssuanceOfCapitalStock634 M668 M772 M1,002 M1,142 M1,343 M1,693 M1,841 M1,866 M2,002 M
IssuanceOfDebt13,661 M18,283 M31,459 M-10,201 M-4,000 M-8,935 M-5,504 M-9,023 M-2,750 M575 M
Net cash from financing activities-9,668 M-8,393 M8,408 M-33,590 M-36,887 M-46,031 M-48,486 M-58,876 M-43,935 M-37,757 M
Net cash from investing activities-23,001 M-23,950 M-46,781 M-6,061 M-15,773 M-12,223 M-27,577 M-30,311 M-22,680 M-96,970 M
Net cash from operating activities29,668 M33,325 M39,507 M43,884 M52,185 M60,675 M76,740 M89,035 M87,582 M118,548 M
Net change in cash & cash equivalents-3,074 M915 M1,153 M4,283 M-475 M2,421 M677 M-152 M20,967 M-16,179 M
Net income from continuing operations12,193 M16,798 M25,489 M16,571 M39,240 M44,281 M61,271 M72,738 M72,361 M88,136 M
NetCommonStockIssuance-13,809 M-15,301 M-11,016 M-9,719 M-18,401 M-21,625 M-25,692 M-30,855 M-20,379 M-15,252 M
NetInvestmentPropertiesPurchaseAndSale-17,057 M-15,607 M-38,652 M5,571 M-1,848 M3,218 M-6,955 M-6,425 M5,427 M-52,493 M
NetInvestmentPurchaseAndSale-17,057 M-15,607 M-38,652 M5,571 M-1,848 M3,218 M-6,955 M-6,425 M5,427 M-52,493 M
NetIssuancePaymentsOfDebt13,661 M18,283 M31,459 M-10,201 M-4,000 M-8,935 M-5,504 M-9,023 M-2,750 M575 M
NetLongTermDebtIssuance9,180 M11,088 M36,422 M-2,877 M-4,000 M-8,935 M-5,504 M-9,023 M-2,750 M-4,675 M
NetPPEPurchaseAndSale-5,944 M-8,343 M-8,129 M-11,632 M-13,925 M-15,441 M-20,622 M-23,886 M-28,107 M-44,477 M
Other financing charges net362 M-369 M-190 M-971 M-675 M-334 M-769 M-863 M-1,006 M-1,309 M
Other investing changes net-4,189 M-1,190 M-26,141 M116,591 M35,806 M13,959 M4,177 M3,580 M9,568 M-59,536 M
Other non-cash items9,629 M3,075 M1,193 M1,728 M3,860 M5,070 M4,869 M7,093 M9,807 M11,039 M
Payment of cash dividends9,882 M11,006 M11,845 M12,699 M13,811 M15,137 M16,521 M18,135 M19,800 M21,771 M
Purchase of Float term investments-98,729 M-129,758 M-176,905 M-137,380 M-57,697 M-77,190 M-62,924 M-26,456 M-37,651 M-17,732 M
Purchase of property plant & equipment-5,944 M-8,343 M-8,129 M-11,632 M-13,925 M-15,441 M-20,622 M-23,886 M-28,107 M-44,477 M
Purchase of short term investments10,680 M13,884 M44,344 M7,183 M24,395 M
PurchaseOfInvestment-98,729 M-129,758 M-176,905 M-137,380 M-57,697 M-77,190 M-62,924 M-26,456 M-37,651 M-17,732 M
PurchaseOfPPE-5,944 M-8,343 M-8,129 M-11,632 M-13,925 M-15,441 M-20,622 M-23,886 M-28,107 M-44,477 M
Repayment of debt-1,500 M-2,796 M-7,922 M-10,060 M-4,000 M-8,935 M-5,504 M-9,023 M-2,750 M-29,070 M
RepaymentOfDebt-1,500 M-2,796 M-7,922 M-10,060 M-4,000 M-8,935 M-5,504 M-9,023 M-2,750 M-29,070 M
Repurchase of capital stock-14,443 M-15,969 M-11,788 M-10,721 M-19,543 M-22,968 M-27,385 M-32,696 M-22,245 M-17,254 M
Sale of short term investments85,861 M115,341 M164,394 M26,360 M20,043 M66,449 M51,792 M16,451 M33,510 M24,775 M
SaleOfInvestment85,861 M115,341 M164,394 M26,360 M20,043 M66,449 M51,792 M16,451 M33,510 M24,775 M
ShortTermDebtIssuance4,481 M7,195 M-4,963 M-7,324 M5,250 M
StockBasedCompensation2,574 M2,668 M3,266 M3,940 M4,652 M5,289 M6,118 M7,502 M9,611 M10,734 M
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