SHELL PLC-SPON ADR-B (RDS.B)

ADR

51.06  -0.03 (-0.06%)

After market: 51.06 0 (0%)

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TTM
(2021-9-30)
2020
(2020-12-31)
2019
(2019-12-31)
2018
(2018-12-31)
2017
(2017-12-31)
CASH FLOWS FROM OPERATING ACTIVITIES
Net Income
9.44B-26.97B25.48B23.91B13.44B
Depreciation Amortization
30.05B52.44B28.70B22.14B26.22B
Income Taxes - Deferred
N/AN/AN/A219.00M-3.92B
Change In Working Capital
2.91B3.98B-14.95B-4.51B-9.18B
Interest Paid
3.91B4.11B4.65B3.57B3.55B
Taxes Paid
4.37B3.29B7.61B9.67B6.31B
Other non cash items
831.00M4.65B2.94B11.33B9.09B
OPERATING CASH FLOW
43.22B34.10B42.18B53.09B35.65B
 
CASH FLOWS FROM INVESTING ACTIVITIES
Capital Expenditure
-17.97B-16.59B-22.97B-23.01B-20.84B
Other Investing Activity
5.22B3.31B7.19B9.35B12.82B
INVESTING CASH FLOW
-12.75B-13.28B-15.78B-13.66B-8.03B
 
CASH FLOWS FROM FINANCING ACTIVITIES
Debt Issued/Reduced
-16.56B5.58B-3.42B-8.33B-11.83B
Stock Issued/Repurchased
-1.19B-1.70B-10.19B-3.95B0.00
Dividend Paid
-5.72B-7.42B-15.20B-15.68B-10.88B
Other Financing Activity
-4.76B-3.68B-6.41B-4.59B-4.38B
FINANCING CASH FLOW
-28.23B-7.22B-35.21B-32.55B-27.09B
 
Exchange Rate Effect
114.00M172.00M124.00M-449.00M647.00M
CHANGE IN CASH
2.36B13.78B-8.69B6.43B1.18B
 
FREE CASH FLOW
Operating Cash Flow
43.22B34.10B42.18B53.09B35.65B
Capital Expenditure
-17.97B-16.59B-22.97B-23.01B-20.84B
FREE CASH FLOW
25.25B17.52B19.21B30.07B14.80B

All data in USD

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