Schlumberger NV (SLB)

58.61 +0.67 (+1.16%)
Closed USD Disclaimer
58.45 -0.16 (-0.27%)

SLB Cash Flow Statement

Net Income/Starting Line
Cash From Investing Activities
Name
Jun 30, 2023
Mar 31, 2023
Dec 31, 2022
Sep 30, 2022
Jun 30, 2022
1,033 934 1,064 908 959
1,608 330 1,614 1,567 408
Depreciation/Depletion 561 487 71 457 532
Amortization 77 76 151 76 75
Deferred Taxes 6 112 -42 -8 25
Non-Cash Items 15 171 315 50 -206
Cash Receipts - - - - -
Cash Payments - - - - -
Cash Taxes Paid 716 - - - -
Cash Interest Paid 562 - - - -
Changes in Working Capital -1 -1,338 54 76 -877
-983 -547 -272 -1,083 82
Capital Expenditures -591 -543 -739 -491 -503
Other Investing Cash Flow Items, Total -392 -4 467 -592 585
-183 62 -1,844 -180 -188
Financing Cash Flow Items 4 -1 -47 -1 -2
Total Cash Dividends Paid -356 -249 -248 -248 -177
Issuance (Retirement) of Stock, Net -266 -197 51 71 18
Issuance (Retirement) of Debt, Net 435 509 -1,600 -2 -27
- - - - -
429 -154 -525 287 293
1,501 1,655 2,180 1,893 1,600
1,930 1,501 1,655 2,180 1,893
689.88 -183.88 116.12 741.88 -262
475.19 -258.34 -84.35 383.16 36.39
1.41 -0.38 1.13 2.09 -0.24

* In Millions of USD (except for per share items)

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