Yum! Brands, Inc.

NYSE:YUM

137.21 (USD) • At close November 8, 2024
Overview | Financials

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

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Operating Activities:
Net Income 1,5971,3251,5759041,2941,5421,3409941,2981,0211,0641,6081,3351,1781,083964909824762740617583492413627445-111
Depreciation & Amortization 153146164146112137253309747739721645628589580556542479469448401370354354386417536
Deferred Income Tax -290-55-200-65-232-1163427-89-172-2428-137-1167210-95-30-101142-2321-72-51-163-138
Stock Based Compensation 958475975950658057554950594756-200000000000
Change In Working Capital 71-105288-77-69-257-7130-136-103112215152-13447212-48121-202658459-207-227-10637
Accounts Receivables -89-84-4662-56-66-19-23-35-21-12-18-3900-600000000000
Inventory 08446-625603158-22189-75-6827-8-31-3-4-7-111-811643
Accounts Payables -30-39122128-36-68-1731712860-1029144610-3400000000000
Other Working Capital 190-66-120-40-41-1-87-24-56-174-1994185159-16195243-45125-195667367-218-233-11034
Other Non Cash Items -233290135159-473-1,005-199-4542432-14970118-253-1062112034332361543-205175486
Operating Cash Flow 1,6031,4271,7061,3051,3151,1761,0301,2042,1392,0492,1392,2942,1701,9681,4041,4691,5671,3021,2721,1311,0531,088832491565674810
Investing Activities:
Investments In Property Plant And Equipment -285-279-230-160-196-234-318-422-973-1,033-1,049-1,099-940-796-797-970-742-614-609-645-663-760-636-572-476-460-541
Acquisitions Net 1817385-1831105591,77334623786161-179165265170266113250-2-38-41-288-108-24000
Purchases Of Investments -12100-2060-2000000000-62-11501285781-36465857-21000
Sales Maturities Of Investments 12100206000000000796797063912521392764000
Other Investing Activites -34-288-2-12175254112273-231-782-7826363-208173181126961573169987621,007
Investing Cash Flow -107-202-173-335-883131,472-24-682-936-886-1,005-1,006-579-727-641-432-476-345-486-519-885-503-237522302466
Financing Activities:
Debt Repayment -676-699-3,657-1,617-457-1,323-703-3,025-263-68-722-282-666-37-831-279-831-252000000000
Common Stock Issued 004,1501,7459301,61508,30090644769262463452072611214223520011012500000
Common Stock Repurchased -50-1,200-1,591-239-815-2,390-1,960-5,402-1,200-820-770-965-752-3710-1,628-1,410-983-1,056-569-278-228-100-216-13400
Dividends Paid -678-649-592-566-511-462-416-744-730-669-615-544-481-412-362-322-273-144-123-58000000-2,369
Other Financing Activities -251,225-77-61-85-60-122194-5-4-36132331651441,724564112-352-307-84-2529-985-1,1201,231
Financing Cash Flow -1,429-1,323-1,767-738-938-2,620-1,795-677-1,292-1,114-1,451-1,716-1,413-337-542-1,459-678-673-832-779-475-187-352-207-1,119-1,120-1,138
Other Information:
Effect Of Forex Changes On Cash 10-26-19245-6361-25-66-552121-15-1113814340-30-3-7
Net Change In Cash -75-124-253256294-1,1947684781595-203-422-2281,073137-62547016196-1306220-2344-32-147131
Cash At End Of Period 5126477711,0247684741,5998127375785737761,1981,4263531647893191586219213011013389121268