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WBA Stock Annual Cash Flow. Download in Excel

Walgreens Boots Alliance Inc. logo

Walgreens Boots Alliance Inc.

Sector: Consumer Defensive   

Industry: Pharmaceutical Retailers

8.30
 
USD
  
0.06
  
(0.73%)
Previous close: 8.24  Open: 8.26  Bid: 8.27  Ask: 8.3
52 week range    
8.08   
   27.05
Mkt Cap: 7,168 M  Avg Vol (90 Days): 22,563,306
Peers   
CVS / 
PETS / 
CJJD / 
Last updated: Friday 22nd November 2024

Stock Rankings

44
MarketXLS Rank
80
Value
7
Technical
47
Quality
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Financials

WBA Cash Flow

Annual
Invalid dateAug-15Aug-16Aug-17Aug-18Aug-19Aug-20Aug-21Aug-22Aug-23
(Increase) Decrease in inventories719 M-644 M98 M331 M141 M63 M165 M-433 M287 M
(Increase) Decrease in other current liabilities-11 M58 M67 M-311 M-154 M-16 M-288 M137 M-228 M
(Increase) Decrease in payables103 M2,087 M1,606 M2,333 M174 M762 M2,048 M55 M1,123 M
(Increase) Decrease in receivables-338 M115 M-153 M-391 M-789 M163 M-1,451 M808 M72 M
Acquisitions-4,461 M
Amortization of intangibles-779 M516 M
AssetImpairmentCharge2,016 M49 M1,214 M1,293 M
CapitalExpenditureReported1,251 M1,325 M1,351 M1,367 M1,702 M1,374 M1,379 M1,734 M2,117 M
Cash at beginning of period2,646 M3,000 M9,807 M3,496 M975 M1,207 M746 M1,270 M2,558 M
Cash at end of period3,000 M9,807 M3,301 M975 M1,207 M747 M1,271 M2,558 M856 M
Cash flow6,227 M7,847 M7,251 M8,264 M5,594 M5,484 M5,555 M4,518 M3,182 M
CashFlowFromContinuingInvestingActivities-4,276 M-3,517 M-843 M-5,501 M-2,307 M-1,297 M4,072 M-1,065 M-3,093 M
ChangeInAccountPayable438 M1,885 M1,562 M1,639 M580 M983 M1,888 M106 M682 M
ChangeInIncomeTaxPayable-335 M202 M44 M694 M-406 M-221 M160 M-51 M441 M
ChangeInPayablesAndAccruedExpense103 M2,087 M1,606 M2,333 M174 M762 M2,048 M55 M1,123 M
ChangeInPrepaidAssets22 M66 M-22 M-112 M-31 M-46 M-72 M-188 M
ChangeInTaxPayable-335 M202 M44 M694 M-406 M-221 M160 M-51 M441 M
ChangeInWorkingCapital495 M1,682 M1,618 M1,940 M-740 M941 M428 M495 M1,066 M
CommonStockDividendPaid-1,384 M-1,563 M-1,723 M-1,739 M-1,643 M-1,747 M-1,617 M-1,659 M-1,659 M
CommonStockPayments-1,226 M-1,152 M-5,220 M-5,228 M-4,160 M-1,589 M-110 M-2,295 M-1,466 M
Current deferred income taxes-32 M-442 M-434 M-322 M100 M-43 M233 M-366 M-2,371 M
Deferred income taxes-32 M-442 M-434 M-322 M100 M-43 M233 M-366 M-2,371 M
Depreciation1,742 M1,718 M1,654 M1,770 M2,038 M1,927 M1,973 M1,990 M2,257 M
Depreciation unreconciled963 M2,234 M1,654 M1,770 M2,038 M1,927 M1,973 M1,990 M2,257 M
DepreciationAndAmortization963 M2,234 M1,654 M1,770 M2,038 M1,927 M1,973 M1,990 M2,257 M
EarningsLossesFromEquityInvestments-187 M-382 M177 M-1,027 M-2,141 M
Effect of exchange rate changes-119 M-129 M20 M11 M-9 M-1000000.0-66 M-47 M20 M
FinancingCashFlow-1,478 M2,606 M-12,934 M-5,295 M-3,046 M-4,646 M-9,036 M-1,499 M-887 M
Free cash flow5,160 M6,677 M5,959 M7,552 M4,009 M4,200 M4,629 M3,499 M4,636 M
GainLossOnInvestmentSecurities-337 M
GainLossOnSaleOfBusiness-322 M
Issuance of capital stock503 M235 M217 M174 M174 M55 M59 M27 M45 M
Issuance of debt-226 M29 M33 M586 M536 M-161 M-909 M-11 M-1000000.0
IssuanceOfCapitalStock503 M235 M217 M174 M174 M55 M59 M27 M45 M
IssuanceOfDebt1,587 M5,229 M-6,163 M1,596 M2,508 M-1,208 M-3,440 M3,587 M-2,703 M
Net cash from financing activities-1,478 M2,606 M-12,934 M-5,295 M-3,046 M-4,646 M-9,036 M-2,118 M-1,811 M
Net cash from investing activities-4,276 M-3,517 M-843 M-5,501 M-2,307 M-1,297 M4,072 M-1,065 M-3,094 M
Net cash from operating activities6,227 M7,847 M7,251 M8,264 M5,594 M5,484 M5,555 M3,899 M2,258 M
Net change in cash & cash equivalents354 M6,807 M-6,506 M-2,521 M241 M-459 M525 M1,288 M-1,722 M
Net income from continuing operations4,279 M4,191 M4,101 M5,031 M3,962 M424 M2,512 M4,065 M-3,528 M
NetBusinessPurchaseAndSale-3,647 M74 M5,527 M
NetCommonStockIssuance-723 M-917 M-5,003 M-5,054 M-3,986 M-1,534 M-51 M-2,268 M-1,421 M
NetInvestmentPropertiesPurchaseAndSale438 M-2,421 M449 M-4,789 M-722 M-13 M-529 M-665 M-5,471 M
NetInvestmentPurchaseAndSale438 M-2,421 M449 M-4,789 M-722 M-13 M-529 M-665 M-5,471 M
NetIssuancePaymentsOfDebt1,587 M5,229 M-6,163 M1,596 M2,508 M-1,208 M-3,440 M3,587 M-2,703 M
NetLongTermDebtIssuance1,813 M5,200 M-6,196 M1,010 M1,972 M-1,047 M-2,531 M3,598 M-2,702 M
NetPPEPurchaseAndSale-1,067 M-1,170 M-1,292 M-712 M-1,585 M-1,284 M-926 M-400 M2,378 M
Operating (gains) losses-337 M-187 M-382 M269 M-1,021 M-2,141 M
Other financing charges net-958 M-143 M-45 M-98 M75 M-157 M-241 M-187 M3,972 M
Other investing changes net438 M-61 M449 M-4,789 M-722 M-13 M-529 M-665 M-5,471 M
Other non-cash items522 M182 M312 M182 M421 M2,617 M140 M-645 M7,899 M
Payment of cash dividends1,384 M1,563 M1,723 M1,739 M1,643 M1,747 M1,617 M1,659 M1,659 M
Purchase of Float term investments-2,360 M
Purchase of property plant & equipment-1,067 M-1,170 M-1,292 M-712 M-1,585 M-1,284 M-926 M-400 M2,378 M
Purchase of short term investments12,285 M5,991 M5,900 M12,433 M20,367 M12,726 M11,958 M6,276 M
PurchaseOfInvestment-49 M-2,360 M
PurchaseOfLongTermInvestments-49 M
PurchaseOfPPE-1,251 M-1,325 M-1,351 M-1,367 M-1,702 M-1,374 M-1,379 M-1,734 M-2,117 M
Repayment of debt-10,472 M-791 M-6,196 M-4,890 M-10,461 M-21,414 M-15,257 M-8,360 M-8,978 M
RepaymentOfDebt-10,698 M-762 M-6,163 M-4,304 M-9,925 M-21,575 M-15,257 M-8,360 M-8,978 M
Repurchase of capital stock-1,226 M-1,152 M-5,220 M-5,228 M-4,160 M-1,589 M-110 M-2,295 M-1,466 M
Revenue per share-779 M516 M
Sale of Float term investments50 M
SaleOfBusiness814 M74 M5,527 M
SaleOfInvestment50 M
SaleOfPPE184 M155 M59 M655 M117 M90 M453 M1,334 M4,495 M
ShortTermDebtIssuance-909 M-11 M-1000000.0
ShortTermDebtPayments-226 M29 M33 M586 M536 M-161 M
StockBasedCompensation109 M115 M91 M130 M119 M137 M155 M391 M385 M
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