General Motors Company

NYSE:GM

48.66 (USD) • At close September 18, 2024
Overview | Financials

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

2023202220212020201920182017201620152014201320122011201020092008
Operating Activities:
Net Income 9,8409,7089,9456,3216,6678,0753309,2689,6154,0185,3316,1369,2876,503105,217-31,051
Depreciation & Amortization 11,88811,29012,05112,81514,11813,66912,26110,4088,0177,2388,04138,7627,3446,92315,15110,203
Deferred Income Tax -1,0414252,214925-133-11210,8801,886-2,757-5741,561-35,561-311242-2,0271,163
Stock Based Compensation 7402,0193913514563165856274222453113020000
Change In Working Capital 1,822-2,977-3,366-399-3,789-1,376-3,015-438-1,754244-1,326687-3,897-966-6,85794
Accounts Receivables 1,183-4,483493-1,341-5634921,402-1,285-254-1,2488-460-1,572-6413921,315
Inventory -757-2,581-3,155-104-761399440-320-1,350-30959-326-2,760-2,2293,19477
Accounts Payables -3986,144-1,16642-492-537-3623,4691,95319-4851622,0952,259-3,483-4,556
Other Working Capital 1,794-2,0574621,004-1,973-1,730-4,495-2,302-2,1031,782-9081,311-1,660-355-6,9603,258
Other Non Cash Items -2,263-4,422-3,517-2,954-1,858-3,747-2,104-4,369-1,697-1,241-2,085-2,782476-341,938-4,979
Operating Cash Flow 20,93016,04315,18816,67015,02115,25617,32816,54511,97810,05812,63010,6058,1666,780-17,239-12,065
Investing Activities:
Investments In Property Plant And Equipment -24,610-21,187-22,111-20,533-23,996-25,497-27,633-29,166-23,032-11,867-9,819-9,118-7,078-4,200-5,379-7,530
Acquisitions Net 2,06314,2346,8848,0995,710-83-41-809-928-53-1,727-264,768-3,263-2,122231
Purchases Of Investments -4,429-11,837-8,962-16,204-4,075-2,820-5,503-15,444-9,363-9,154-9,968-10,884-16,176-12,317-1,269-3,771
Sales Maturities Of Investments 9,3458,0579,34711,9416,2655,1089,00711,74310,2218,75510,10417,7865,6136,8713565,866
Other Investing Activites 2,968-7,149-1,513-5,1295,1972,529-3,402-1,967-4,933-3,379-2,952-1,26313314,142-10,5643,440
Investing Cash Flow -14,663-17,882-16,355-21,826-10,899-20,763-27,572-35,643-28,035-15,698-14,362-3,505-12,7401,233-18,978-1,764
Financing Activities:
Debt Repayment -44,675-6,207-47,806-72,663-2,219-33,323-33,592-23,815-17,256-19,524-20,191-7,377-8,468-13,052-2,716-4,100
Common Stock Issued 50,807-2,1211,7364924572,86298545,93936,80731,76428,1974114,85700
Common Stock Repurchased -11,115-2,500-1,736-4920-190-4,492-2,500-3,520-3,277-2,438-5,098-100-1,46200
Dividends Paid -597-397-186-669-2,350-2,242-2,233-2,368-2,242-3,165-1,687-939-916-1,572-97-283
Other Financing Activities -773-3,06749,73678,884-10844,34751,916-117-103-123-1508,6699,1151,45947,3878,226
Financing Cash Flow -6,3533831,7445,552-4,67711,45412,58417,13913,6865,6753,731-4,741-358-9,77044,5743,843
Other Information:
Effect Of Forex Changes On Cash 54-138-152-2222-299348-213-1,345-1,102-400-8-253-57660-778
Net Change In Cash -31-1,594425174-5535,6482,688-2,172-3,716-1,0671,5992,351-5,185-1,8149,017-10,764
Cash At End Of Period 21,91721,94823,54223,11722,94323,49617,84815,16015,23818,95420,02118,42216,07121,25622,67914,053