Statement of Cash Flows

(In million USD)

Annual
Quarterly
2022 FY2021 FY2020 FY
Cash Flow from Operating Activities
464408373
Net income 648366
Add noncash expenses 121109103
Adjustments for changes in working capital -310672
 
Cash Flow from Investing Activities
-12-642
Net payments for property, plant & equipment -54-81-37
Net payments for investments - - -
Net payments for acquisitions of businesses - - -
Net payments to acquire loans/leases - - -
Net payments for other investing activities ---
 
Cash Flow from Financing Activities
-404-344-378
Net proceeds from issuance (payments) of debts ---
Payments of financing and debt issuance costs - - -
Net proceeds of issuance (repurchase) of equity
- - -
Dividends Paid - - -
Payments of withholding tax related to share-based compensations - - -
Net proceeds (payments) from other financing activities ---
 
Effect of Foreign Exchange on Cash ---
Increase/Decrease in Cash & Cash Equivalents 48-0-3
 
Footnotes:
Income Taxes Paid ---
Interests Paid ---