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Financial Services - Banks - Diversified - NYSE - US
$ 21.38
0.187 %
$ 352 B
Market Cap
6.08
P/E
CASH FLOW STATEMENT
45 B OPERATING CASH FLOW
810.95%
-35.4 B INVESTING CASH FLOW
-1299.25%
93.3 B FINANCING CASH FLOW
188.03%
FREE CASH FLOW ANALYSIS
Free Cash Flow Analysis Bank of America Corporation
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Net Income 26.5 B
Depreciation & Amortization 2.06 B
Capital Expenditures 0
Stock-Based Compensation 2.94 B
Change in Working Capital 2.73 B
Others 15.5 B
Free Cash Flow 45 B

Cash Flow

Millions
Dec-2023 Dec-2022 Dec-2021 Dec-2020 Dec-2019 Dec-2018 Dec-2017 Dec-2016 Dec-2015 Dec-2014 Dec-2013 Dec-2012 Dec-2011 Dec-2010 Dec-2009 Dec-2008 Dec-2007 Dec-2006 Dec-2005 Dec-2004 Dec-2003 Dec-2002 Dec-2001 Dec-2000 Dec-1999 Dec-1998 Dec-1997 Dec-1996 Dec-1995 Dec-1994 Dec-1993 Dec-1992
OPERATING CASH FLOW
Net Income 26 515.0 27 528.0 31 978.0 17 894.0 27 430.0 28 147.0 18 232.0 17 906.0 15 888.0 4 833.0 11 431.0 4 188.0 1 446.0 (2 238.0) 6 276.0 4 008.0 14 982.0 21 133.0 16 465.0 14 143.0 10 810.0 9 249.0 6 792.0 7 517.0 7 882.0 5 165.0 3 077.0 2 375.0 1 950.0 1 690.0 1 301.0 1 145.0
Depreciation & Amortization 2 057.0 1 978.0 1 898.0 1 843.0 1 729.0 2 063.0 2 103.0 2 241.0 2 389.0 2 522.0 2 683.0 3 038.0 3 485.0 3 912.0 4 314.0 3 319.0 2 844.0 2 869.0 1 768.0 1 636.0 1 107.0 1 104.0 1 732.0 1 784.0 1 917.0 1 998.0 865.0 442.0 399.0 406.0 352.0 339.0
Deferred Income Tax (2 011.0) 739.0 (838.0) (1 737.0) 2 435.0 3 041.0 8 175.0 5 841.0 3 108.0 726.0 3 262.0 (2 735.0) (1 949.0) 608.0 370.0 (5 801.0) (753.0) 1 850.0 1 695.0 (402.0) (263.0) (377.0) (563.0) 648.0 2 098.0 (100.0) 414.0 304.0 192.0 235.0 223.0 9.0
Stock Based Compensation 2 942.0 2 862.0 2 768.0 2 031.0 1 974.0 1 729.0 1 649.0 1 235.0 (89.0) 2 300.0 2 280.0 2 270.0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Operating Activities 12 751.0 12 510.0 (3 079.0) 18 288.0 15 039.0 3 283.0 9 369.0 5 786.0 (4 677.0) (3 654.0) 15 474.0 12 638.0 (4 048.0) 1 946.0 3 150.0 9 056.0 5 531.0 (373.0) (3 847.0) 3 316.0 3 000.0 9 229.0 3 763.0 4 245.0 2 841.0 4 908.0 (3 755.0) (1 240.0) (7 465.0) 6 705.0 293.0 6 383.0
Change in Working Capital 2 728.0 (51 944.0) (39 920.0) (326.0) 13 170.0 1 257.0 (29 125.0) (14 703.0) 6 480.0 18 703.0 56 105.0 (37 494.0) 52 336.0 40 057.0 71 774.0 (32 249.0) (19 773.0) (16 423.0) (27 220.0) (20 525.0) 10 600.0 (30 582.0) (24 075.0) (8 904.0) (2 433.0) (63.0) (182.0) (10.0) 20.0 69.0 52.0 174.0
Cash From Operations 44 982.0 (6 327.0) (7 193.0) 37 993.0 61 777.0 39 520.0 10 403.0 18 306.0 27 730.0 26 739.0 92 817.0 (13 858.0) 64 490.0 82 594.0 129 731.0 4 034.0 11 036.0 14 509.0 (12 223.0) (3 955.0) 24 313.0 (12 007.0) (12 826.0) 5 265.0 12 065.0 10 891.0 266.0 1 804.0 (4 933.0) 9 118.0 2 137.0 7 801.0
INVESTING CASH FLOW
Capital Expenditures 0 0 0 0 0 0 0 0 0 (1 160.0) (521.0) 0 (1 307.0) (987.0) (2 240.0) (2 098.0) (2 143.0) (748.0) (1 228.0) (863.0) (209.0) (939.0) (835.0) (642.0) (1 677.0) (437.0) (125.0) (348.0) (307.0) (327.0) (4 671.0) (287.0)
Other Items (35 387.0) (2 529.0) (313 291.0) (177 665.0) (80 630.0) (71 468.0) (52 007.0) (63 143.0) (54 954.0) (3 044.0) 25 579.0 (37 177.0) 53 736.0 (29 360.0) 160 165.0 (832.0) (106 337.0) (67 556.0) (149 217.0) (126 269.0) (73 216.0) (9 142.0) 38 387.0 3 532.0 (29 644.0) (46 806.0) (19 029.0) 16 222.0 (5 875.0) (8 675.0) (5 929.0) (14 134.0)
Cash From Investing Activities (35 387.0) (2 529.0) (313 291.0) (177 665.0) (80 630.0) (71 468.0) (52 007.0) (63 143.0) (54 954.0) (4 204.0) 25 058.0 (37 177.0) 52 429.0 (30 347.0) 157 925.0 (2 930.0) (108 480.0) (68 304.0) (150 445.0) (127 132.0) (73 425.0) (10 081.0) 37 552.0 2 890.0 (31 321.0) (47 243.0) (19 154.0) 15 874.0 (6 182.0) (9 002.0) (10 600.0) (14 421.0)
FINANCING CASH FLOW
Common Stock Repurchased (4 576.0) (5 727.0) (27 097.0) (8 097.0) (30 712.0) (24 606.0) (12 814.0) (5 112.0) (2 374.0) (1 675.0) (9 681.0) 0 0 0 (45 000.0) 0 (3 790.0) (14 629.0) (5 765.0) (6 286.0) 0 0 0 0 0 0 0 0 0 0 0 0
Total Debt Repaid 25 987.0 35 034.0 34 281.0 4 172.0 5 630.0 21 302.0 12 544.0 (16 086.0) (26 755.0) (13 832.0) (19 944.0) (28 811.0) (100 077.0) (100 228.0) (159 889.0) (24 323.0) 71 268.0 55 405.0 44 522.0 41 822.0 33 542.0 15 855.0 (27 431.0) (18 153.0) 33 099.0 23 166.0 26 323.0 (3 590.0) 10 997.0 (1 890.0) 5 678.0 3 105.0
Dividends Paid (9 087.0) (8 576.0) (8 055.0) (7 727.0) (5 934.0) (6 895.0) (5 700.0) (4 194.0) (3 574.0) (2 306.0) (1 677.0) (1 909.0) (1 738.0) (1 762.0) (4 863.0) (11 528.0) (10 878.0) (9 661.0) (7 683.0) (6 468.0) (4 281.0) (3 709.0) (3 632.0) (3 388.0) (3 199.0) (2 604.0) (996.0) (722.0) (575.0) (527.0) (433.0) (395.0)
Other Financing Activities 81 021.0 (127 424.0) 290 748.0 366 399.0 31 825.0 58 808.0 55 238.0 58 545.0 81 288.0 5 612.0 (70 601.0) 73 136.0 (2 881.0) 36 603.0 (48 304.0) 15 029.0 45 694.0 18 631.0 136 897.0 100 095.0 27 583.0 12 897.0 9 313.0 16 937.0 (8 287.0) 15 953.0 1 862.0 (10 261.0) (158.0) 4 147.0 2 899.0 3 882.0
Cash From Financing Activities 93 345.0 (106 039.0) 291 650.0 355 819.0 3 377.0 53 118.0 49 195.0 32 982.0 48 585.0 (12 201.0) (95 442.0) 42 416.0 (104 696.0) (65 387.0) (199 568.0) (10 695.0) 103 412.0 53 133.0 170 817.0 132 875.0 51 048.0 20 209.0 (25 345.0) (7 566.0) 17 913.0 36 131.0 20 541.0 (17 193.0) 9 981.0 1 817.0 8 341.0 7 136.0
CHANGE IN CASH
Net Change In Cash 102 870.0 (118 018.0) (32 242.0) 218 903.0 (15 844.0) 19 970.0 9 696.0 (11 615.0) 20 764.0 7 267.0 20 570.0 (9 350.0) 11 675.0 (12 912.0) 88 482.0 (9 674.0) 6 102.0 (570.0) 8 063.0 1 852.0 2 111.0 (1 864.0) (676.0) 524.0 (1 288.0) (189.0) 20 541.0 (17 193.0) 9 981.0 1 817.0 8 341.0 7 136.0
FREE CASH FLOW
Free Cash Flow 44 982.0 (6 327.0) (7 193.0) 37 993.0 61 777.0 39 520.0 10 403.0 18 306.0 27 730.0 25 579.0 92 296.0 (13 858.0) 63 183.0 81 607.0 127 491.0 1 936.0 8 893.0 13 761.0 (13 451.0) (4 818.0) 24 104.0 (12 946.0) (13 661.0) 4 623.0 10 388.0 10 454.0 141.0 1 456.0 (5 240.0) 8 791.0 (2 534.0) 7 514.0