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T Stock Annual Cash Flow. Download in Excel

AT&T Inc. logo

AT&T Inc.

Sector: Communication Services   

Industry: Telecom Services

28.08
 
USD
  
0.32
  
(1.15%)
Previous close: 27.76  Open: 27.77  Bid: 28.05  Ask: 28.07
52 week range    
17.42   
   29.03
Mkt Cap: 201,189 M  Avg Vol (90 Days): 38,978,490
Last updated: Sunday 8th June 2025

Stock Rankings

69
MarketXLS Rank
100
Value
60
Technical
47
Quality
How are these ranks calculated?
Financials

T Cash Flow

Annual
Dec-15Dec-16Dec-17Dec-18Dec-19Dec-20Dec-21Dec-22Dec-23Dec-24
(Increase) Decrease in other current assets-1,789 M1,708 M
(Increase) Decrease in other working capital530 M-706 M-2,093 M-5,452 M-12,114 M-11,936 M-1,185 M-820 M781 M1,273 M
(Increase) Decrease in payables1,602 M-1,524 M-1,410 M-1,570 M-1,109 M-1,764 M-810 M
(Increase) Decrease in receivables30 M-1,003 M-986 M-1,580 M2,812 M2,216 M-1,125 M727 M82 M123 M
Acquisitions-30,759 M-2,959 M1,123 M-43,309 M-1,809 M-1,851 M-25,453 M-10,200 M-2,942 M-380 M
AssetImpairmentCharge1,416 M1,474 M1,642 M1,791 M2,575 M1,972 M1,241 M1,865 M1,969 M1,969 M
CapitalExpenditureReported19,218 M21,516 M20,647 M20,758 M19,635 M15,675 M15,545 M19,626 M17,853 M20,263 M
Cash at beginning of period8,603 M5,121 M5,935 M50,932 M5,400 M12,295 M9,870 M
Cash at end of period5,051 M5,066 M50,932 M5,400 M12,295 M9,870 M21,316 M-17,523 M3,040 M-3,427 M
Cash flow35,013 M37,730 M37,107 M43,109 M48,668 M43,130 M37,170 M35,812 M38,314 M38,771 M
Cash from disc. financing activities-316 M35,823 M
Cash from disc. investing activities399 M1,094 M
CashFlowFromContinuingInvestingActivities-48,347 M-23,323 M-18,040 M-62,652 M-16,690 M-13,548 M-32,489 M-26,899 M-19,660 M-17,490 M
CashFromDiscontinuedOperatingActivities4,788 M-3,789 M
ChangeInAccountPayable1,602 M-1,524 M-1,410 M-1,570 M-1,109 M-1,764 M-810 M
ChangeInPayablesAndAccruedExpense1,602 M-1,524 M-1,410 M-1,570 M-1,109 M-1,764 M-810 M
ChangeInWorkingCapital560 M-1,709 M-3,079 M-5,430 M-10,826 M-11,130 M-3,880 M-1,202 M-901 M586 M
CommonStockDividendPaid-10,200 M-11,797 M-12,038 M-13,410 M-14,888 M-14,956 M-15,068 M-9,859 M-8,136 M-8,208 M
CommonStockPayments-269 M-512 M-463 M-609 M-2,417 M-7,448 M-202 M-3,555 M-5,527 M-215 M
CumulativeEffectOfAccountingChange1,529 M-658 M
Current deferred income taxes4,117 M2,947 M-15,940 M4,931 M1,806 M1,675 M7,412 M2,975 M3,037 M1,570 M
Deferred income taxes4,117 M2,947 M-15,940 M4,931 M1,806 M1,675 M7,412 M2,975 M3,037 M1,570 M
Depreciation22,016 M25,847 M24,387 M28,430 M28,217 M28,516 M17,852 M18,021 M18,777 M20,580 M
Depreciation unreconciled22,016 M25,847 M24,387 M28,430 M28,217 M28,516 M17,852 M18,021 M18,777 M20,580 M
DepreciationAndAmortization22,016 M25,847 M24,387 M28,430 M28,217 M28,516 M17,852 M18,021 M18,777 M20,580 M
EarningsLossesFromEquityInvestments-49 M-37 M174 M292 M295 M38 M184 M
FinancingCashFlow9,782 M-14,462 M25,930 M-25,989 M-25,083 M-32,007 M1,894 M-23,741 M-15,614 M-24,708 M
Free cash flow15,795 M16,214 M16,460 M22,351 M29,033 M27,455 M21,625 M12,397 M20,461 M18,508 M
GainLossOnSaleOfPPE91 M-169 M-282 M-739 M-1,218 M-742 M-369 M381 M441 M80 M
Issuance of capital stock143 M146 M33 M745 M631 M105 M96 M28 M3 M15 M
Issuance of debt-1000000.0-2 M1,979 M-3,168 M-44 M15,662 M-14,909 M1,077 M-1,996 M
IssuanceOfCapitalStock143 M146 M33 M745 M631 M105 M96 M28 M3 M15 M
IssuanceOfDebt23,926 M-683 M36,452 M-9,349 M-16,771 M-10,986 M19,299 M-42,956 M-6,835 M-14,066 M
Net cash from financing activities9,782 M-14,462 M25,930 M-25,989 M-25,083 M-32,007 M1,894 M-59,564 M-15,614 M-24,708 M
Net cash from investing activities-48,347 M-23,323 M-18,040 M-62,652 M-16,690 M-13,548 M-32,489 M-25,805 M-19,660 M-17,490 M
Net cash from operating activities35,013 M37,730 M37,107 M43,109 M48,668 M43,130 M37,170 M32,023 M38,314 M38,771 M
Net change in cash & cash equivalents-3,552 M-55 M44,997 M-45,532 M6,895 M-2,425 M11,446 M-17,523 M3,040 M-3,427 M
Net income from continuing operations13,687 M13,333 M29,847 M19,953 M14,975 M-3,821 M23,776 M-6,874 M15,623 M12,253 M
NetBusinessPurchaseAndSale-30,676 M-2,313 M1,182 M-41,161 M2,875 M1,790 M-18,317 M-10,001 M-2,870 M-305 M
NetCommonStockIssuance-126 M-366 M-430 M136 M-1,786 M-7,343 M-106 M-3,527 M-5,524 M-200 M
NetInvestmentPropertiesPurchaseAndSale1,547 M506 M1,425 M-733 M70 M337 M1,373 M2,728 M1,063 M3,078 M
NetInvestmentPurchaseAndSale1,547 M506 M1,425 M-733 M70 M337 M1,373 M2,728 M1,063 M3,078 M
NetIssuancePaymentsOfDebt23,926 M-683 M36,452 M-9,349 M-16,771 M-10,986 M19,299 M-42,956 M-6,835 M-14,066 M
NetLongTermDebtIssuance23,927 M-683 M36,454 M-11,328 M-13,603 M-10,942 M3,637 M-28,047 M-7,912 M-12,070 M
NetPPEPurchaseAndSale-19,218 M-21,516 M-20,647 M-20,758 M-19,635 M-15,675 M-15,545 M-19,626 M-17,853 M-20,263 M
NetPreferredStockIssuance1,164 M3,869 M
Operating (gains) losses-5,951 M-2,909 M-1,761 M-6,119 M11,921 M25,918 M-9,231 M-4,855 M-517 M-1,747 M
Other financing charges net-3,818 M-1,616 M1,946 M-3,366 M7,198 M-2,591 M-2,231 M-3,222 M4,881 M-2,234 M
Other investing changes net2 M976 M-550 M-365 M337 M1,373 M2,646 M1,965 M503 M
Other non-cash items1,381 M1,113 M4,556 M1,837 M2,575 M1,972 M1,241 M27,747 M2,295 M5,529 M
Payment of cash dividends10,200 M11,797 M12,038 M13,410 M14,888 M14,956 M15,068 M9,859 M8,136 M8,208 M
PensionAndEmployeeBenefitExpense-2,887 M114 M192 M-4,560 M3,169 M1,177 M-8,000 M-5,236 M-958 M-1,827 M
PreferredStockIssuance1,164 M3,869 M
Purchase of Float term investments1,545 M506 M449 M-183 M435 M497 M82 M-902 M2,575 M
Purchase of property plant & equipment-19,218 M-21,516 M-20,647 M-20,758 M-19,635 M-15,675 M-15,545 M-19,626 M-17,853 M-20,263 M
Purchase of short term investments33,969 M10,140 M48,793 M41,875 M17,039 M31,988 M11,272 M1,768 M9,874 M19 M
PurchaseOfInvestment1,545 M506 M449 M-183 M435 M497 M82 M-902 M2,575 M
PurchaseOfPPE-19,218 M-21,516 M-20,647 M-20,758 M-19,635 M-15,675 M-15,545 M-19,626 M-17,853 M-20,263 M
Repayment of debt-10,042 M-10,823 M-12,339 M-53,203 M-30,642 M-42,930 M-7,635 M-29,815 M-17,786 M-12,089 M
RepaymentOfDebt-10,042 M-10,823 M-12,339 M-55,301 M-37,546 M-52,397 M-15,145 M-48,160 M-21,201 M-14,576 M
Repurchase of capital stock-269 M-512 M-463 M-609 M-2,417 M-7,448 M-202 M-3,555 M-5,527 M-215 M
SaleOfBusiness83 M646 M59 M2,148 M4,684 M3,641 M7,136 M199 M72 M75 M
ShortTermDebtIssuance-1000000.0-2 M4,077 M3,736 M9,423 M23,172 M3,436 M4,492 M491 M
ShortTermDebtPayments-2,098 M-6,904 M-9,467 M-7,510 M-18,345 M-3,415 M-2,487 M
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