The Walt Disney Company

NYSE:DIS

113.9 (USD) • At close June 6, 2025
Overview | Financials

Numbers are in millions (except for per share data and ratios) USD.

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Operating Activities:
Net Income 5,7733,3903,5532,536-2,44210,91313,0669,3669,7908,8528,0046,6366,1735,2584,3133,6094,4274,6873,3742,5332,3451,2671,236-1589201,3001,8501,9661,2141,380.11,110.4671.3816.7636.6824703.3
Depreciation & Amortization 4,9905,3695,1635,1115,3454,1603,0112,7822,5272,3542,2882,1921,9871,8411,7131,6311,5821,4911,4361,3391,2101,0771,0421,7544,6643,7793,7544,9583,9441,8531,608.31,028.4759.6794.5538.3463.6
Deferred Income Tax -821-1,346200-1,241-392117-1,5733341,214-10251792472127133323-128-260-136-262-98441-7458231-200292-780000000
Stock Based Compensation 1,3661,14397760052571139336439341040840240842352245700000000000000000000
Change In Working Capital 01774882,194-645-6,186-1,360-1,185-1,003-793-1,23654-1,091-1,139-266-531-549-3684-355-51264-27-100839472-414-2-777-35.4-735.643.5-378.7-78.2-4672.3
Accounts Receivables -565358605-1861,786445-2,170-1,020-631-1,099-1,595-453-10800000000000000000000000
Inventory -42-183-42025214-223-17-51861-815118-199-127-117-32952-6322-40-6-355465103-46-6-95-155.7-59.4-146.1-151.2-42.4-44.9-64.4
Accounts Payables 156-1,1429642,410-2,293191235-36840-49536367000000000000000000000000
Other Working Capital 01,144-661-282-152-6,599592208-598354-9689-1,109-940-139-414-220-88147-377-112708-154774369-3684-682120.3-676.2189.6-227.5-35.8-1.1136.7
Other Non Cash Items 4,2761,133-4,371-3,6335,227-3,109758682292188-2017617484163-170-3015341,2421,014734-1481091,494-22057-75-15022312.4824.2402640.5150.442.636.4
Operating Cash Flow 13,9719,8666,0105,5677,6186,60614,29512,34313,21310,9099,7809,4527,9666,9946,5785,3195,4465,4216,0584,2694,6442,9012,2863,0486,4345,5885,1157,0644,6253,510.12,807.32,145.21,838.11,503.31,358.91,275.6
Investing Activities:
Investments In Property Plant And Equipment -5,412-4,969-4,943-3,578-4,022-4,876-4,465-3,623-4,773-4,265-3,311-2,796-3,784-3,559-2,110-1,753-1,586-1,566-1,299-1,823-1,427-1,049-1,086-1,795-2,104-2,453-2,527-1,922-1,745-896.5-1,026.1-793.7-544.4-1,038-716.3-1,308.8
Acquisitions Net 000-25994-9,901-1,581-417-805166-7-2,046-1,088380-2,4939-660-5880-9-48-130-2,845-480-3400000000000
Purchases Of Investments -1,50600-780000000000000000-67-14-9-88-82-39-13-56-18-1,033.2-1,923.8-621.6-692.8-194.300
Sales Maturities Of Investments 1054585233700004500000046841,5351,15401440601235207202238314091,460.31,494.100074.26.3
Other Investing Activites -68-130-11741529110,659710-71-180-146-27166113-10780-570-2-8214144119163113-1,757-3,020-3,363-3,954-12,110-1,819-1,430.9-1,244.4-686.5-500.6-539.8-426.7
Investing Cash Flow -6,881-4,641-5,008-3,163-3,637-4,118-5,336-4,111-5,758-4,245-3,345-4,676-4,759-3,286-4,523-1,755-2,162-621-227-1,691-1,484-1,034-3,176-2,015-3,770-5,310-5,665-5,901-13,464-2,288.4-2,886.7-2,659.7-1,923.7-1,732.9-1,181.9-1,729.2
Financing Activities:
Debt Repayment -1,400-1,783-4,017-3,69911,2333,677-2,5833,7032,9402,7056333794241,647-181-1,8525282,696941-699-2,203-1,1451,89277-2,118-176618-1,6418,68814551.1136.8-1.8517.3709.1425.1
Common Stock Issued 05212743530531800000000006361,2451,259394201514717748220418418085183000000
Common Stock Repurchased -2,992000-305-318-3,577-9,368-7,499-6,095-6,527-4,087-3,015-4,993-2,669-138-4,453-6,923-6,898-2,420-33500-1,073-166-19-30-633-462-349-570.7-31.60-181.1-427.50
Dividends Paid -1,366000-1,587-2,895-2,515-2,445-2,313-3,063-1,508-1,324-1,076-756-653-648-664-637-519-490-430-429-428-438-4340-412-342-271-180-153.2-128.6-105.3-87.2-74.1-61.8
Other Financing Activities -9,530-941-851-686-1,166-1,872-168-849-348652692818682869753-510636051318660000001,3120076.1136.171.446.954.543.1
Financing Cash Flow -15,288-2,724-4,741-4,3858,480-1,090-8,843-8,959-6,991-5,514-6,710-4,214-2,985-3,233-2,750-3,148-3,953-3,541-5,143-2,897-2,701-1,5231,511-1,257-2,2369360-1,1248,040-332.1-96.7112.7-35.7295.9262406.4
Other Information:
Effect Of Forex Changes On Cash 6573-6033038-98-2531-123-302-235-18-20-12000000000000550-1,1638,839-1,221.779.4514.585.6229.6-177453.6
Net Change In Cash -8,1332,574-4,342-1,95112,4991,30091-696341848-510544202463-695416-6691,259688-319459344621-224428287360-1,1248,040-332.1-96.7112.7-35.7295.9262406.4
Cash At End Of Period 6,10214,23511,66116,00317,9545,4554,1554,0644,6104,2693,4213,9313,3873,1852,7223,4173,0013,6702,4111,7232,0421,5831,239618842414677-8469,117-145.2266.3877.5850.41,115.7642.8834.4