SALESFORCE INC (CRM)

US79466L3024 - Common Stock

268.69  -0.25 (-0.09%)

After market: 269.04 +0.35 (+0.13%)

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2024
(2024-1-31)
2023
(2023-1-31)
2022
(2022-1-31)
2021
(2021-1-31)
2020
(2020-1-31)
CASH FLOWS FROM OPERATING ACTIVITIES
Net Income
4.14B208.00M1.44B4.07B126.00M
Depreciation Amortization
3.96B3.79B3.30B2.85B2.13B
Change In Working Capital
-2.85B-2.07B-1.66B-1.19B-330.00M
Interest Paid
254.00M275.00M187.00M96.00M106.00M
Taxes Paid
1.03B510.00M196.00M216.00M129.00M
Other non cash items
4.99B5.19B2.92B-925.00M2.40B
OPERATING CASH FLOW
10.23B7.11B6.00B4.80B4.33B
 
CASH FLOWS FROM INVESTING ACTIVITIES
Capital Expenditure
-736.00M-798.00M-717.00M-710.00M-643.00M
Other Investing Activity
-591.00M-1.19B-13.82B-3.26B-2.34B
INVESTING CASH FLOW
-1.33B-1.99B-14.54B-3.97B-2.98B
 
CASH FLOWS FROM FINANCING ACTIVITIES
Debt Issued/Reduced
-1.81B-423.00M6.55B-127.00M-676.00M
Stock Issued/Repurchased
-5.67B-3.14B1.29B1.32B840.00M
Other Financing Activity
N/AN/AN/AN/AN/A
FINANCING CASH FLOW
-7.48B-3.56B7.84B1.19B164.00M
 
Exchange Rate Effect
26.00M-8.00M-33.00M26.00M-39.00M
CHANGE IN CASH
1.46B1.55B-731.00M2.05B1.48B
 
FREE CASH FLOW
Operating Cash Flow
10.23B7.11B6.00B4.80B4.33B
Capital Expenditure
-736.00M-798.00M-717.00M-710.00M-643.00M
FREE CASH FLOW
9.50B6.31B5.28B4.09B3.69B

All data in USD

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