CARNIVAL CORP (CCL)

PA1436583006 - Common Stock

14.44  -0.02 (-0.14%)

After market: 14.48 +0.04 (+0.28%)

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TTM
(2024-2-29)
2023
(2023-11-30)
2022
(2022-11-30)
2021
(2021-11-30)
2020
(2020-11-30)
CASH FLOWS FROM OPERATING ACTIVITIES
Net Income
405.00M-74.00M-6.09B-9.50B-10.24B
Depreciation Amortization
2.40B2.37B2.27B2.23B2.24B
Change In Working Capital
2.37B1.53B1.16B959.00M-3.19B
Interest Paid
N/A2.00B1.40B1.30B610.00M
Taxes Paid
N/AN/A0.000.000.00
Other non cash items
486.00M459.00M986.00M2.20B4.88B
OPERATING CASH FLOW
5.66B4.28B-1.67B-4.11B-6.30B
 
CASH FLOWS FROM INVESTING ACTIVITIES
Capital Expenditure
-4.35B-3.28B-4.94B-3.61B-3.62B
Other Investing Activity
418.00M474.00M173.00M64.00M380.00M
INVESTING CASH FLOW
-3.93B-2.81B-4.77B-3.54B-3.24B
 
CASH FLOWS FROM FINANCING ACTIVITIES
Debt Issued/Reduced
-4.71B-4.90B2.54B6.25B16.25B
Stock Issued/Repurchased
N/A27.00M1.27B1.22B3.24B
Dividend Paid
N/AN/A0.000.00-689.00M
Other Financing Activity
-285.00M-217.00M-241.00M-514.00M-149.00M
FINANCING CASH FLOW
-4.96B-5.09B3.58B6.95B18.65B
 
Exchange Rate Effect
16.00M17.00M-79.00M-13.00M53.00M
CHANGE IN CASH
-3.22B-3.60B-2.94B-715.00M9.16B
 
FREE CASH FLOW
Operating Cash Flow
5.66B4.28B-1.67B-4.11B-6.30B
Capital Expenditure
-4.35B-3.28B-4.94B-3.61B-3.62B
FREE CASH FLOW
1.31B997.00M-6.61B-7.71B-9.92B

All data in USD

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