Verizon Communications Inc.

NYSE:VZ

43.8 (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 17,94912,09521,74822,61818,34819,78816,03930,55013,60817,87911,95623,54710,55710,19810,21711,6013,96210,7056,1977,3977,8313,0774,59158410,8108,2965,3262,454.93,128.92,826.11,401.91,481.61,382.21,331.61,312.51,074.5
Depreciation & Amortization 17,89217,62417,09916,20616,72016,68217,40316,95415,92816,01716,53316,60616,46016,49616,40516,53414,61014,37714,54513,61513,50313,60713,28213,52312,2619,8909,6455,754.15,278.45,2342,652.12,545.12,417.42,298.72,377.22,419.9
Deferred Income Tax 8152,3882,9734,2641,5531,232389-14,463-1,0630-925,785-952-2233,2332,093-3,468408-252-1,0931,7218261,7061,0843,4342,148639236.9284.2-13.8-270.5-105.8-26.120.292.5165.2
Stock Based Compensation 0060962578087272038440030030040070000000000000000000000000
Change In Working Capital -2,278-267-456-89056-6,713-1,177-5,938-6,755-102-2,160-5-403-2,279202-2,511-3,033-2,893-1,635-2,099-2,8001,740-1,579-2,667-498-1,565-1,55946.5-308.1-86.3-32.1325.6198.3-97.8-284.5219.9
Accounts Receivables -2,565-2,198-1,978-1,592189-1,471-2,667-5,674-5,067-945-2,745-843-1,717-966-859-1,393-1,085-1,931-1,312-788-1,293-938-952-2,414000000000000
Inventory -196287627-905-369-76-32416861-99-13256-136208299235-188-2558-236-226-80473-59-530-146-111-73.8-116.1-70.8-80.8-48.9-43.7-15-105.6-66.8
Accounts Payables 1,1092,079-331,457-966-2,3591,777-459-1,089000000000000000000000000000
Other Working Capital -626-4359281501,202-2,80737656-3,936942-695-1430-2,900-1,930-102-59-14052-176539101338-767000000000000
Other Non Cash Items 2,5345,635-4,832-3,2844,3113,885-1,460-2,735-3,2854,933-3,088-2,954-3,423-2,900-1,930-986-1,993591,907-1,266-1,115-2983999976348088.2274.1481.2-12.5-42.1202.937.412.4
Operating Cash Flow 36,91237,47537,14139,53941,76835,74634,33924,31821,68939,02730,63138,81831,48629,78033,36331,39027,45226,83924,10622,02521,79122,46722,08219,52615,82717,01715,7248,858.78,780.87,894.43,752.64,2343,929.73,755.63,535.13,891.9
Investing Activities:
Investments In Property Plant And Equipment -17,990-24,563-26,740-20,286-20,318-18,837-18,087-17,830-17,593-17,775-17,545-17,184-20,110-16,244-16,458-17,047-17,238-17,538-17,101-15,324-13,259-11,884-11,984-17,371-17,633-9,180-7,508.4-6,637.7-2,553.4-2,627.2-2,648.3-2,517.4-2,488.1-2,459-2,521.9-2,584.3
Acquisitions Net 0-3028157-520-1-230-2,3146,117-3,545-62-494-913-2,018-1,438-5,958-15,90417,53817,1011,3261,720229-1,093-3,142-2,247823649.25.513.23.5102.147.3315107.6122.285.3
Purchases Of Investments 00-2,265-2100000000016,244-317,0470-763-1,422-5,028-1,296-3,049-2,099-2,002-1,204-855-1,027.8-843.6-401.7-135-10-1,871-159.3-201.8-872.5-711
Sales Maturities Of Investments 000210000000003516,45884016929015,32413,2591,7671,9311,595983795968.2426.913013518.51,835.2241.3112.11,140.5696.5
Other Investing Activites -6841,16162-46,924-2,6741,257383772493-8,7231,7512,845521-15,267-13,613-17,4571,563-15,514-14,484-14,790-10,7676916,417-7064,046-1,212-766.1-289.7-332.1532.9867.9-430.495.3206.8-1,607-840.8
Investing Cash Flow -18,674-23,432-28,662-67,153-23,512-17,581-17,934-19,372-10,983-30,043-15,856-14,833-20,502-17,250-15,054-23,331-31,579-16,108-15,616-18,492-10,343-12,246-6,828-21,626-16,055-9,629-7,684.9-7,338.6-3,144-2,090.8-1,669.8-2,936.3-1,995.8-2,234.3-3,738.7-3,354.3
Financing Activities:
Debt Repayment -4,776-2,1624,34822,55414,269-5,231-3,7817,760-1,209-2,67312,82340,861-3,3511,183-9,233-8,87219,841-5,353694-240-5,467-7,436-11,5956,0315,0586,5922,6071,047.4-114-277.8-1,009.1-324.8165.6-606.61,120.9444.9
Common Stock Issued 0000000030348531524100161,274174373208399155015764331,006776.2328.3969.46.933.7122.1112.728370.5
Common Stock Repurchased 000000000-5,1340-1530000-1,368-2,843-1,700-271-37000-18-2,294-2,037-1,002-929.8-118.3-11.2-8.70-0.1-15.3-103-380.3
Dividends Paid -11,249-11,025-10,805-10,445-10,232-10,016-9,772-9,472-9,262-8,538-7,803-5,936-5,230-5,555-5,412-5,271-4,994-4,773-4,719-4,427-4,262-4,239-4,200-4,168-4,421-4,227-4,186-2,340.4-2,204.1-2,117.4-1,195.1-1,156.5-1,069.7-976.2-911.8-856.4
Other Financing Activities -1,075-1,470-2,072-3,832-2,712-2,917-1,824-4,439-2,8541,233-62,759-8,407-12,987-1,705995-1,86493-2-480-133-77-12371-39133238-896.7-0.1687.8289.21200-987.5000
Financing Cash Flow -17,100-14,657-8,5298,2771,325-18,164-15,377-6,734-13,322-15,112-57,70526,450-21,253-5,836-13,650-16,00713,588-11,697-6,031-5,034-9,856-10,959-14,8132,075-1,048-167-2,471.7-1,446.7-1,475.8-1,676.3-2,086-1,447.6-1,769.6-1,485.4134.1-421.3
Other Information:
Effect Of Forex Changes On Cash 00000000000000000000000000000-1,890.20-1,297.7-1,933.9-1,521.3203.6-537.6
Net Change In Cash 1,138-614-50-19,33719,58111,028-801-1,590-6,128-42,93050,435-10,2696,6944,659-7,7738,629-2,0662,459-1,5141,621-723459222-1,276860-85.773.4-204.3-1,676.3-3.2-1,447.6-1,769.6-1,485.4134.1-421.3
Cash At End Of Period 4,6353,4974,1114,16123,4983,9173,9162,0792,8804,47010,59853,5283,09313,3626,6682,0099,7821,1533,2197762,2906991,4389797571,097237.1322.8152.5-1,533.4142.9-1,151.6-1,637.9-1,390.7298.3-373.4