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Schlumberger Limited (SLB)

Stock Price: $14.94 USD 0.49 (3.39%)
Updated October 30, 4:00 PM EDT - Market closed
After-hours: $14.98 +0.04 (0.27%) Oct 30, 7:59 PM

Cash Flow Statement (Annual)

Numbers in millions USD. Fiscal year is January-December.
Year20192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994
Net Income-10,1372,138-1,505-1,6872,0725,4386,7325,4904,9974,2673,1345,4355,1773,7102,2071,224383-2,3205227353671,0141,385919649536
Depreciation & Amortization3,5893,5563,8374,0944,0784,0943,8793,6473,2742,7572,4762,2691,9541,5611,3511,3081,3411,3091,8761,2631,1501,177924941820776
Share-Based Compensation40534534326732632931533527219818617213611440.2026.4713.23---------
Other Operating Activities11,574-3262,9883,5872,3291,334-236-2,557-2,663-1,713-485-977-980-640-591-7122782,892-836-327187225-448-320-275-369
Operating Cash Flow5,4315,7135,6636,2618,80511,19510,6906,9155,8805,5095,3116,8996,2874,7453,0071,8462,0151,8811,5611,6711,7042,4161,8611,5411,194943
Capital Expenditures-2,736-3,241-3,992-3,716-3,849-5,037-5,239-5,417-4,293-3,238-2,625-4,068-3,191-2,647-1,456-1,356-1,058-1,269-2,452-1,418-951-1,539-1,307-1,106-912-678
Acquisitions563287-847-2,398-443-1,008-1,210-845-186-702-514-345-1,119-2,99023.262,88558112.35-4,328-921-46061.66-28.23-162-201-172
Change in Investments3171,9433,2775,544-5,848446-648-1,2283511,023-1,159-604-89.00701-707105-1,14651.332,431552-91.50-2,292-868-21912950.23
Other Investing Activities-155-29.00-217-54.00-11219.00218-55.00230-19.00228-132-230-12494.9948.3023024.900.000.00-292-4206.04-0.5442.50-0.09
Investing Cash Flow-2,011-1,040-1,779-624-10,252-5,580-6,879-7,545-3,898-2,936-4,070-5,149-4,629-5,061-2,0441,682-1,392-1,181-4,349-1,787-1,795-4,190-2,197-1,487-941-799
Dividends Paid-2,769-2,770-2,778-2,647-2,419-1,968-1,608-1,432-1,300-1,040-1,006-964-771-568-482-441-437-433-430-426-410-388-378-374-327-292
Share Issuance / Repurchase-59.00-139-672-363-1,734-3,853-2,059-562-2,560-1,316-294-1,468-733-626-266-42.1217217512222962313914816933.13-86.76
Debt Issued / Paid-839-2,048-1,612-2,3775,791-37.001,4501,6361,773933108470-2011,516-216-3,037-318-5913,093345-95.321,98055621655.62229
Other Financing Activities-51.00-63.0029.00-41.00-264-38.0018.0019.00-61314.004.0013775.00-31.76-30.00-70.500.000.000.000.000.000.000.000.000.000.00
Financing Cash Flow-3,718-5,020-5,033-5,4281,374-5,896-2,199-339-2,700-1,409-1,188-1,825-1,630291-994-3,590-582-8492,7841481181,73132710.07-238-150
Net Cash Flow-298-347-1,149209-306-2571,582187-56.001,1478.00-12.0028.00-24.82-31.32-11.8659.63-16.1829.3647.2027.27-42.07-9.7363.2714.84-6.07
Free Cash Flow2,6952,4721,6712,5454,9566,1585,4511,4981,5872,2712,6862,8313,0962,0981,551490958611-890253753877554434282265
Free Cash Flow Growth9.02%47.94%-34.34%-48.65%-19.52%12.97%263.89%-5.61%-30.12%-15.45%-5.12%-8.56%47.57%35.28%216.73%-48.86%56.65%---66.48%-14.11%58.46%27.47%53.76%6.39%-
Free Cash Flow Margin8.2%7.5%5.5%9.2%14.0%12.7%12.0%3.6%4.3%8.5%11.8%10.4%13.3%10.9%10.8%4.3%9.6%6.3%-6.4%2.5%8.6%8.0%5.1%4.4%3.7%3.9%
Free Cash Flow Per Share1.951.791.201.883.914.764.121.131.181.822.242.372.611.781.320.420.820.53-0.780.220.690.810.510.410.290.27