Merck & Co., Inc. (BIT:1MRKX)
 74.20
 +0.40 (0.54%)
  Last updated: Nov 3, 2025, 1:20 PM CET
Merck & Co. Cash Flow Statement
Financials in millions USD. Fiscal year is January - December.
 Millions USD. Fiscal year is Jan - Dec.
Fiscal Year  | FY 2024 | FY 2023 | FY 2022 | FY 2021 | FY 2020 | 2015 - 2019 | 
|---|---|---|---|---|---|---|
Period Ending  | Dec '24 Dec 31, 2024 | Dec '23 Dec 31, 2023 | Dec '22 Dec 31, 2022 | Dec '21 Dec 31, 2021 | Dec '20 Dec 31, 2020 | 2015 - 2019 | 
Net Income     | 17,117 | 365 | 14,519 | 13,049 | 7,067 | Upgrade   | 
Depreciation & Amortization     | 4,245 | 3,732 | 3,789 | 3,123 | 3,218 | Upgrade   | 
Asset Writedown & Restructuring Costs     | 293 | 932 | 1,869 | 393 | 1,986 | Upgrade   | 
Loss (Gain) on Equity Investments     | -14 | -340 | 1,419 | -1,940 | -1,338 | Upgrade   | 
Stock-Based Compensation     | 761 | 645 | 541 | 479 | 441 | Upgrade   | 
Other Operating Activities     | 2,733 | 9,877 | -260 | 1,857 | 844 | Upgrade   | 
Change in Accounts Receivable     | -244 | -1,148 | -644 | -2,033 | -1,002 | Upgrade   | 
Change in Inventory     | -835 | -816 | -161 | -674 | -895 | Upgrade   | 
Change in Accounts Payable     | 182 | -380 | -289 | 405 | 684 | Upgrade   | 
Change in Income Taxes     | 1,023 | 214 | 380 | -540 | 814 | Upgrade   | 
Change in Other Net Operating Assets     | -3,793 | -75 | -2,068 | -997 | -4,202 | Upgrade   | 
Operating Cash Flow     | 21,468 | 13,006 | 19,095 | 14,109 | 10,241 | Upgrade   | 
Operating Cash Flow Growth     | 65.06% | -31.89% | 35.34% | 37.77% | -23.80% | Upgrade   | 
Capital Expenditures     | -3,372 | -3,863 | -4,388 | -4,448 | -4,429 | Upgrade   | 
Cash Acquisitions     | -4,093 | -12,032 | - | -12,907 | -6,606 | Upgrade   | 
Investment in Securities     | -142 | 1,848 | -483 | 1,025 | 1,717 | Upgrade   | 
Other Investing Activities     | -127 | -36 | -89 | -225 | -125 | Upgrade   | 
Investing Cash Flow     | -7,734 | -14,083 | -4,960 | -16,555 | -9,443 | Upgrade   | 
Short-Term Debt Issued     | - | - | - | - | 2,549 | Upgrade   | 
Long-Term Debt Issued     | 3,599 | 5,939 | - | 7,936 | 4,419 | Upgrade   | 
Total Debt Issued     | 3,599 | 5,939 | - | 7,936 | 6,968 | Upgrade   | 
Short-Term Debt Repaid     | - | - | - | -3,986 | - | Upgrade   | 
Long-Term Debt Repaid     | -1,290 | -1,755 | -2,251 | -2,319 | -1,957 | Upgrade   | 
Total Debt Repaid     | -1,290 | -1,755 | -2,251 | -6,305 | -1,957 | Upgrade   | 
Net Debt Issued (Repaid)     | 2,309 | 4,184 | -2,251 | 1,631 | 5,011 | Upgrade   | 
Issuance of Common Stock     | 177 | 125 | 384 | 202 | 89 | Upgrade   | 
Repurchase of Common Stock     | -1,306 | -1,346 | - | -840 | -1,281 | Upgrade   | 
Common Dividends Paid     | -7,840 | -7,445 | -7,012 | -6,610 | -6,215 | Upgrade   | 
Other Financing Activities     | -372 | -328 | -240 | 8,210 | -436 | Upgrade   | 
Financing Cash Flow     | -7,032 | -4,810 | -9,119 | 2,593 | -2,832 | Upgrade   | 
Foreign Exchange Rate Adjustments     | -293 | 23 | -410 | -133 | 253 | Upgrade   | 
Net Cash Flow     | 6,409 | -5,864 | 4,606 | 14 | -1,781 | Upgrade   | 
Free Cash Flow     | 18,096 | 9,143 | 14,707 | 9,661 | 5,812 | Upgrade   | 
Free Cash Flow Growth     | 97.92% | -37.83% | 52.23% | 66.22% | -42.29% | Upgrade   | 
Free Cash Flow Margin     | 28.20% | 15.21% | 24.81% | 19.84% | 14.00% | Upgrade   | 
Free Cash Flow Per Share     | 7.12 | 3.59 | 5.79 | 3.81 | 2.29 | Upgrade   | 
Cash Interest Paid     | 1,300 | 1,100 | 937 | 779 | 822 | Upgrade   | 
Cash Income Tax Paid     | 3,928 | 4,338 | 3,239 | 2,412 | 2,700 | Upgrade   | 
Levered Free Cash Flow     | 17,829 | 9,262 | 12,643 | 5,427 | 4,760 | Upgrade   | 
Unlevered Free Cash Flow     | 18,624 | 9,978 | 13,244 | 5,931 | 5,279 | Upgrade   | 
Change in Working Capital     | -3,667 | -2,205 | -2,782 | -3,839 | -4,601 | Upgrade   | 
Source: S&P Global Market Intelligence. Standard template. Financial Sources.