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TBBAT&T Inc. 5.35% GLB NTS 66
$20.45$125.6B
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HomeStocksTBBQuarterly Cash Flow

AT&T Inc. 5.35% GLB NTS 66 (TBB) Quarterly Cash Flow Statement

120+ quarters historyFree accessUpdated daily

AT&T Inc. 5.35% GLB NTS 66 (TBB) quarterly cash flow statement — complete operating, investing & financing history

TBB Cash Flow Statement

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ1'26Q4'25Q3'25Q2'25Q1'25Q4'24Q3'24Q2'24Q1'24Q4'23Q3'23Q2'23
Cash from Operations7.56B11.32B10.15B9.76B9.05B11.9B10.23B9.09B7.55B11.38B10.34B9.92B
Operating CF Margin %23.99%33.83%33.06%31.65%29.55%36.83%33.88%30.52%25.13%35.53%34.06%33.17%
Operating CF Growth %-16.49%-4.84%-0.81%7.37%19.9%4.55%-0.98%-8.36%13.01%10.33%2.63%67.97%
Net Income3.87B4.52B9.31B4.86B4.69B4.41B145M3.95B3.75B2.19B3.5B4.49B
Depreciation & Amortization4.97B5.13B5.32B5.25B5.19B5.37B5.09B5.07B5.05B4.77B4.71B4.67B
Stock-Based Compensation0000000004.34B00
Deferred Taxes00000-241M608M724M479M-126M1.33B1.31B
Other Non-Cash Items506M1.03B-5.17B583M760M583M5.01B-82M499M1.3B978M-87M
Working Capital Changes-1.78B638M691M-932M-1.59B1.77B-613M-570M-2.23B-1.09B-169M-462M
Change in Receivables-119M-614M-1.48B-511M1.08B-451M444M-506M536M-1.09B-169M663M
Change in Inventory0-143M0344M-661M-530M147M443M0-3.43B482M0
Change in Payables-2.77B-1.53B2.41B003.69B328M003.41B707M-2.36B
Cash from Investing-11.65B-4.34B-3.39B-6.09B-4.96B-5.36B-5.15B-4.02B-2.96B-5.87B-4.54B-5.42B
Capital Expenditures-11.65B-6.78B-4.89B-4.9B-4.28B-6.84B-5.3B-4.36B-3.76B-4.6B-4.65B-4.27B
CapEx % of Revenue37%20.26%15.91%15.88%13.97%21.19%17.55%14.63%12.52%14.37%15.31%14.27%
Acquisitions------------
Investments------------
Other Investing-4.72B2.6B1.51B-1.19B-661M1.53B152M329M-79M-2.13B460M-930M
Cash from Financing-2.1B-8.78B2.99B-45M-553M-5.85B-5.56B-5.48B-7.82B-6.33B-7.75B2.18B
Debt Issued (Net)------------
Equity Issued (Net)-2.47B246M-1.49B-961M-2.28B0-43M-2M-157M-4M-1M-1M
Dividends Paid-2B-2.01B-2.03B-2.04B-2.09B-2.04B-2.04B-2.1B-2.03B-2.02B-2.02B-2.08B
Share Repurchases-2.48B244M-1.49B-961M-2.29B-13M-43M-2M-157M-4M-1M-1M
Other Financing-265M-3.94B-459M-419M2.59B-647M-414M-866M-526M-1.08B-362M771M
Net Change in Cash-6.43B-1.75B9.77B3.63B3.54B680M-477M-427M-3.23B-826M-1.96B6.68B
Free Cash Flow-4.1B4.54B5.26B4.87B4.77B5.05B4.93B4.73B3.79B6.78B5.69B5.65B
FCF Margin %-13.01%13.56%17.14%15.77%15.58%15.64%16.33%15.88%12.62%21.16%18.74%18.89%
FCF Growth %-185.88%-10.17%6.73%2.81%25.94%-25.44%-13.29%-16.26%61.72%11.39%37.08%465.77%
FCF per Share-0.580.630.730.670.660.700.680.660.530.940.790.79
FCF Conversion (FCF/Net Income)1.95x3.04x1.09x2.17x2.08x2.92x-58.82x2.53x2.19x5.20x2.96x2.21x
Interest Paid0-3.37B1.85B1.51B1.8B1.52B1.97B00000
Taxes Paid0-886M17M869M11M1.57B583M00000