ROYAL BANK OF CANADA (RY)

CA7800871021 - Common Stock

99.22  +1.84 (+1.89%)

After market: 99.22 0 (0%)

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TTM
(2024-1-31)
2023
(2023-10-31)
2022
(2022-10-31)
2021
(2021-10-31)
2020
(2020-10-31)
CASH FLOWS FROM OPERATING ACTIVITIES
Net Income
15.23B14.87B15.81B16.05B11.44B
Depreciation Amortization
2.85B2.87B2.65B2.59B2.65B
Income Taxes - Deferred
-1.36B-995.00M569.00M581.00M-586.00M
Change In Working Capital
-10.29B9.21B3.12B41.97B125.39B
Interest Paid
62.39B54.70B13.68B7.55B13.06B
Taxes Paid
4.38B4.96B7.33B4.20B2.88B
Other non cash items
142.00M129.00M-208.00M-153.00M-65.00M
OPERATING CASH FLOW
6.58B26.08B21.94B61.04B138.82B
 
CASH FLOWS FROM INVESTING ACTIVITIES
Capital Expenditure
-2.51B-2.73B-2.50B-2.19B-2.63B
Other Investing Activity
-1.03B-25.54B-54.55B-55.16B-36.93B
INVESTING CASH FLOW
-3.54B-28.27B-57.05B-57.35B-39.56B
 
CASH FLOWS FROM FINANCING ACTIVITIES
Debt Issued/Reduced
-9.81B-4.43B9.79B-385.00M-825.00M
Stock Issued/Repurchased
1.08B164.00M-5.01B880.00M-582.00M
Dividend Paid
-4.95B-5.55B-6.96B-6.42B-6.33B
Other Financing Activity
-15.00M-21.00M-5.00M-3.00M-6.00M
FINANCING CASH FLOW
-13.70B-9.83B-2.19B-5.93B-7.75B
 
Exchange Rate Effect
-1.27B1.61B-4.15B-2.81B1.06B
CHANGE IN CASH
-11.93B-10.41B-41.45B-5.04B92.58B
 
FREE CASH FLOW
Operating Cash Flow
6.58B26.08B21.94B61.04B138.82B
Capital Expenditure
-2.51B-2.73B-2.50B-2.19B-2.63B
FREE CASH FLOW
4.06B23.35B19.44B58.86B136.19B

All data in CAD

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