Exxon Mobil Corp (XOM)

113.420 +0.260 (+0.23%)
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XOM 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
7,880 11,430 12,750 19,660 17,850
9,383 16,341 17,621 24,425 19,963
Depreciation/Depletion 4,242 4,244 4,236 4,945 4,451
Amortization - - - - -
Deferred Taxes 3,758 - - - -
Non-Cash Items 844 969 835 -1,847 409
Cash Receipts - - - - -
Cash Payments - - - - -
Cash Taxes Paid 4,404 5,192 4,627 3,747 -
Cash Interest Paid 256 6 308 33 -
Changes in Working Capital -3,583 -302 -200 1,667 -2,747
-4,925 -5,355 -2,378 -3,064 -
Capital Expenditures -5,359 -5,412 -5,783 -4,876 -3,837
Other Investing Cash Flow Items, Total 1,003 487 428 2,498 773
-8,176 -8,507 -13,937 -9,793 -8,671
Financing Cash Flow Items -219 -131 -477 -445 -724
Total Cash Dividends Paid -3,701 -3,738 -3,767 -3,685 -3,727
Issuance (Retirement) of Stock, Net -4,340 -4,340 -4,675 -4,494 -3,919
Issuance (Retirement) of Debt, Net 84 -298 -5,018 -1,169 -301
- - - - -
-3,119 3,011 -799 11,603 7,787
32,647 29,640 30,439 18,804 11,074
29,528 32,651 29,640 30,407 18,861
1,161.25 8,754.75 11,465.38 13,683.50 11,154.25
-86.74 -23.64 -16.21 22.68 11.93
0.93 2.43 2.60 5.35 4.44

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

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