VCP ScannerFree US Stock Screener & Financial AnalysisFree US Stock Screener
ScreenerThemes
DCF ValuationCalculate intrinsic value of US stocks
Market ValuationBuffett indicator, CAPE & macro gauges
Total ReturnSee dividends + price return history
DCA CalculatorSimulate recurring buys & compounding
Earnings
FAANG & Tech
AAPL vs MSFTNVDA vs AMDGOOGL vs META
Cloud & Cyber
CRM vs NOWCRWD vs PANWSNOW vs DDOG
Consumer & Auto
TSLA vs FAMZN vs WMTNFLX vs DIS
Finance & Crypto
JPM vs BACV vs MACOIN vs MSTR
Pharma & Energy
LLY vs NVOJNJ vs PFEXOM vs CVX
Compare Any Stocks...
WatchlistInsider
ScreenerThemes
Earnings
WatchlistInsider
CELG-RI
← Back to Screener
VCP ScannerFree US Stock Screener & Financial Analysis

Find stocks. Verify deeply. Act with conviction.

Data updated daily

Product

  • Screener
  • Themes
  • Valuation
  • Total Return
  • DCA Calculator
  • News
  • Earnings

Resources

  • Market Valuation
  • Compare
  • Insider Activity
  • Methodology
  • How It Works
  • Glossary
  • Learn

Get Ideas

Get weekly stock ideas — free

© 2026 VCP Scanner
AboutPrivacyTerms
Not financial advice. Do your own research.
ScreenerNewsCompareWatchlist
CELG-RIBristol-Myers Squibb Company Ce
$0.09$184M
Overview & Verdict
Overview
Valuation & Forecasts
Valuation ModelsEstimatesDCF Model
Price & Analyst Data
Analyst TargetsPrice HistoryTechnical Analysis
Financial Statements
Income StatementBalance SheetCash FlowRatios & Margins
Performance
P/E HistoryRevenue HistoryEarnings HistoryDividend HistoryTotal Return
Ownership
Holders
HomeStocksCELG-RIQuarterly Cash Flow

Bristol-Myers Squibb Company Ce (CELG-RI) Quarterly Cash Flow Statement

120+ quarters historyFree accessUpdated daily

Bristol-Myers Squibb Company Ce (CELG-RI) quarterly cash flow statement — complete operating, investing & financing history

CELG-RI Cash Flow Statement

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ1'26Q4'25Q3'25Q2'25Q1'25Q4'24Q3'24Q2'24Q1'24Q4'23Q3'23Q2'23Q1'23Q4'22Q3'22Q2'22Q1'22Q4'21Q3'21Q2'21
Cash from Operations1.1B1.97B6.31B3.92B1.95B4.44B5.59B2.33B2.83B4.25B4.75B1.89B2.97B3.31B3.69B2.26B3.81B4.06B5.27B3.06B
Operating CF Margin %9.61%15.79%51.64%31.93%17.44%35.97%47.01%19.06%23.89%37.05%43.32%16.81%26.2%28.98%32.87%19.02%32.73%33.85%45.3%26.15%
Operating CF Growth %-43.5%-55.53%12.88%68.4%-31.05%4.4%17.68%23.26%-4.58%28.61%28.86%-16.54%-22.09%-18.51%-29.98%-26.11%-0.31%10.54%132.29%-31.89%
Net Income2.68B1.09B2.19B1.31B2.46B76M1.22B1.68B-11.91B1.76B1.93B2.08B2.27B2.02B1.61B1.43B1.28B2.37B1.55B1.06B
Depreciation & Amortization594M1.03B1.01B1.01B1.01B1.88B2.59B2.6B2.56B2.46B2.44B2.43B2.43B2.52B2.59B2.58B2.58B2.58B2.73B2.71B
Stock-Based Compensation146M0139M137M144M120M129M125M810M127M132M137M122M119M115M116M107M133M142M157M
Deferred Taxes161M-392M-359M-437M223M-791M-256M-331M-711M-1.33B-327M-1.09B-548M-624M-645M-782M-687M-1.27B-32M-163M
Other Non-Cash Items-2.48B1.9B270M1.88B-10M1.88B204M627M11.89B371M286M27M60M-277M-143M488M887M295M228M709M
Working Capital Changes0-1.65B3.06B15M-1.87B1.28B1.71B-2.37B198M855M291M-1.7B-1.36B-458M164M-1.57B-362M-56M649M-1.42B
Change in Receivables1.69B19M155M-484M15M143M661M-1.02B479M-508M-247M-65M-175M-106M-674M-669M786M-168M-260M-693M
Change in Inventory14M71M-90M4M-169M175M-218M-225M-218M-197M-256M-16M-282M-41M-16M-13M1M-128M30M5M
Change in Payables409M-90M160M13M-85M517M-374M-259M300M444M-268M-165M187M405M-300M-19M23M226M-139M-145M
Cash from Investing-131M-1.46B-1.7B-473M-499M-196M-219M-1.32B-19.62B-1.35B-410M-329M-210M1.21B-2.08B-289M95M401M-976M180M
Capital Expenditures-347M-370M-320M-361M-260M-378M-324M-262M-284M-330M-342M-259M-278M-346M-247M-272M-253M-320M-270M-210M
CapEx % of Revenue3.02%2.96%2.62%2.94%2.32%3.06%2.72%2.15%2.39%2.88%3.12%2.31%2.45%3.03%2.2%2.29%2.17%2.67%2.32%1.79%
Acquisitions-65M-1.43B-2.39B-285M-78M286M-859M-1.1B-19.81B-340M-79M10M149M374M-3.04B-275M-40M26M-869M-164M
Investments--------------------
Other Investing312M0792M270M243M0766M0000000000000
Cash from Financing-1.56B-6.03B-1.49B-1.84B-993M-1.64B-3.85B-4.02B14.64B967M-5.16B-2.17B-3.05B-3.25B-4.54B-3.52B-5.65B-3.97B-1.78B-3.18B
Debt Issued (Net)0-4.73B-224M-585M368M-405M-2.65B-2.8B15.95B2.1B-10M-124M-1.51B136M-2.86B-2.79B199M-114M-361M-1.12B
Equity Issued (Net)0000000000-4B-905M-250M-2.42B-585M0-5B-2.75B-525M-1.24B
Dividends Paid-1.28B-1.26B-1.26B-1.26B-1.26B-1.22B-1.22B-1.22B-1.21B-1.16B-1.19B-1.2B-1.2B-1.15B-1.15B-1.15B-1.19B-1.1B-1.09B-1.1B
Share Repurchases0000000000-4B-905M-250M-2.42B-585M0-5B-2.75B-525M-1.24B
Other Financing-277M-33M-3M11M-103M-19M16M-6M-97M25M41M53M-92M179M53M419M333M-3M196M276M
Net Change in Cash-635M-5.52B3.12B1.74B528M2.45B1.6B-3.04B-2.19B3.95B-857M-623M-277M1.37B-3B-1.62B-1.74B437M2.48B76M
Free Cash Flow757M1.6B5.99B3.56B1.69B4.06B5.27B2.06B2.55B3.92B4.41B1.63B2.69B2.96B3.44B1.99B3.56B3.74B5B2.85B
FCF Margin %6.59%12.83%49.02%28.98%15.12%32.9%44.29%16.92%21.49%34.17%40.21%14.5%23.75%25.95%30.66%16.73%30.55%31.18%42.98%24.35%
FCF Growth %-55.31%-60.5%13.75%72.29%-33.57%3.54%19.46%26.78%-5.27%32.5%28.17%-18.15%-24.36%-20.79%-31.14%-30.21%-2.52%10.33%136.33%-34.66%
FCF per Share0.370.792.941.740.831.992.591.021.261.932.140.771.271.391.600.931.641.682.231.27
FCF Conversion (FCF/Net Income)0.41x1.82x2.87x2.99x0.80x61.65x4.62x1.38x-0.24x2.41x2.46x0.91x1.31x1.64x2.30x1.59x2.98x1.71x3.41x2.90x
Interest Paid00000000000000000000
Taxes Paid00000000000000000000