AT&T Inc.

NYSE:T

28.08 (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 12,25314,400-6,87421,479-3,82114,97519,95329,84713,33313,6876,51818,5537,5394,18419,40012,84312,86711,9517,3564,7864,9798,5055,6537,2427,9678,1594,0231,4742,101-9301,648.71,435.21,301.71,156.51,101.41,092.8
Depreciation & Amortization 20,58018,77718,02122,86228,51628,21728,43024,38725,84722,01618,27318,39518,14318,37719,37919,71419,88321,5779,9077,6437,5647,8708,5789,0779,7488,5535,1774,9222,2402,169.92,037.82,0071,842.21,7651,691.11,891.4
Deferred Income Tax 1,5703,0372,9755,2461,6751,806610-15,9402,9474,1171,7726,2421,2852,937-3,2802,1045,889-271-115-6796143,4202,4402,0731,093976461134133420.9-184.6-123.819.414.542.9-31.8
Stock Based Compensation 0051844742281946348065345131845851100000000000000000000000
Change In Working Capital 0-1,768-1,849-15,683-13,317-11,926-10,032-3,609-2,112-1,033-1,201-1,0691,450-1,944-1,7961,563-6,157-1,839-1,66424594219-2,028-3,097-9331,658-1,154477142-515.936.7-74.3479.361.6-139.4-116.6
Accounts Receivables 1230727-6342,2162,745-1,244-986-1,003-535-2,651-1,329-1,365-1,133-99-454-1,421-1,491519-94-81-154-571-672-1,892-731-959-854-412-362.8-302.7-275.5-284.9000
Inventory 001,1091,109-1,6361,524000000000000000000000000000000
Accounts Payables -8100-1,109-1,1091,636-1,5241,602816118000000000000000000000000000
Other Working Capital -313-1,768-2,576-15,049-15,533-14,671-8,788-2,623-1,109-4981,4502602,815-811-1,6972,017-4,736-348-2,183118675373-1,457-2,4259592,389-1951,331554-153.1339.400000
Other Non Cash Items 4,3683,86819,23210,6408,7529,3176,663-2,381-3,324-2,213-3,4861212821,480-845-2,815-4701,9271,5191,045-2,076-4,6261,540-621-1,525-3,433-583-460-652,653.4206.9-65.8-72.9-87.4-89.1-100.7
Operating Cash Flow 38,77138,31432,02341,95743,13048,66843,60238,01039,34435,88031,33834,79639,17634,64834,99334,44533,65634,07215,61512,97410,95513,51715,21014,80514,29916,5788,3816,9704,8244,020.73,966.63,440.83,614.72,8932,671.32,765.6
Investing Activities:
Investments In Property Plant And Equipment -20,263-17,853-19,626-16,527-15,675-19,435-20,758-20,647-21,516-19,218-21,199-20,944-19,465-20,110-19,530-16,595-19,676-17,717-8,320-5,576-5,099-5,219-6,808-11,189-13,124-10,304-5,927-5,766-3,027-2,335.7-2,350.2-2,221.1-2,144.3-1,826.4-1,778.4-1,483.1
Acquisitions Net -380-2,870-10,001-16,7131,6302,510-42,2111,182-2,313-30,6754,986-1,889-16-1,067-1,076-696-9,357-1,279204,466-16,1123,0123,4792,291-823-2801,055-563-226-554.4-1,063257.4-60.9000
Purchases Of Investments 0000-160-365-185000-1,890000-10016,59519,676-57900-135-1,146-10-539-26-42-916-1,005-704-324.6-419.7-195-126.8-203.3-56.4
Sales Maturities Of Investments 0000497435-493449506021,19900019,530555041,033399549248251084313551,029816586.8390.1315.5120.4259.164.282.1
Other Investing Activites 3,1531,0633,8221,151160165502522-386749-21,433-291-199-73-20,273-17,284-20,29036437503,02011-1211131914141257.4-60.9-668.8-547-57.1
Investing Cash Flow -17,490-19,660-25,805-32,089-13,548-16,690-63,145-18,943-24,215-49,144-18,337-23,124-19,680-21,250-21,449-17,925-29,143-18,506-8,293-974-20,747-3,105-3,328-8,387-14,403-10,577-4,548-6,216-3,442-3,007.3-3,347.7-2,067.9-2,279.8-2,362.9-2,464.5-1,514.5
Financing Activities:
Debt Repayment -12,274-1,093-28,0473,637-10,986-13,721-8,78936,452-68323,9275,6179,1584,754-1,291-5,467-4,40110,4231,184896-4,8288,978-4,296-4,1392745,128-2,350-565760-3541,2973531,829.6105.3430.5645.7-414.3
Common Stock Issued 1532896105631745331461433911447723750283191,9865894322161021473237326317726011631565895.63523.317.513.3
Common Stock Repurchased -215-194-890-202-5,498-2,417-609-463-512-269-1,617-13,028-12,752000-6,077-10,390-2,678-2,571-448-490-1,456-3,538-2,255-1,169-498-102-650-216-447-191.1-161.5-147.3-150.3-100.2
Dividends Paid -8,208-8,136-9,859-15,068-14,956-14,888-13,410-12,038-11,797-10,200-9,552-9,696-10,241-10,172-9,916-9,670-9,507-8,743-5,153-4,256-4,141-4,539-3,557-3,456-3,418-3,287-3,131-2,966-1,765-1,814-837-803.5-780.4-759.3-732.8-693.4
Other Financing Activities -4,026-6,19415,02713,1153,3025,312-3,9261,946-1,616-3,819-2,22425189-424-515-465152-51218-73151-13-1,4316570-361257976-4650.3-2,190.3-355.6000
Financing Cash Flow -24,708-15,614-23,7411,578-32,007-25,083-25,98925,930-14,4629,782-7,737-13,201-17,673-11,650-15,848-14,510-4,691-16,014-6,128-11,2264,605-9,173-9,018-6,358252-6,105-3,783-670-1,630-888.1-872.7-1,259.7-1,157.2-452.8-219.9-1,194.6
Other Information:
Effect Of Forex Changes On Cash 0000000-28700000000000-3101,1410000000000-1,372.9-1,334.9-530.1-206.8-1,251.1
Net Change In Cash -3,4273,040-17,52311,446-2,4256,895-45,53244,997667-3,4825,264-1,5291,8231,748-2,3042,010-178-4481,194464-4,0461,2392,86460148-1045084-248125.3-253.8-1,259.7-1,157.2-452.8-219.9-1,194.6
Cash At End Of Period 3,4066,8333,79321,3169,87012,2955,40050,9325,7885,1218,6033,3394,8683,1851,4373,8021,7921,9702,4181,2247604,8063,567703643495460398242489.9364.6-754.5-829.7-202.643.4-987.8