Procter & Gamble Co (PG)

134.54 -1.54 (-1.13%)
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PG Cash Flow Statement

Net Income/Starting Line
Cash From Investing Activities
Name
Dec 31, 2022
Sep 30, 2022
Jun 30, 2022
Mar 31, 2022
Dec 31, 2021
3,933 3,939 3,355 4,223 -
3,574 4,070 3,246 5,121 -
Depreciation/Depletion 574 583 611 684 -
Amortization 79 80 79 74 -
Deferred Taxes -268 -130 -158 -158 -
Non-Cash Items 63 60 16 13 -
Cash Receipts - - - - -
Cash Payments - - - - -
Cash Taxes Paid - - - - -
Cash Interest Paid - - - - -
Changes in Working Capital -1,075 -592 -815 201 -
-490 -832 -1,776 -960 -
Capital Expenditures -708 -890 -692 -747 -626
Other Investing Cash Flow Items, Total 218 58 10 -1,029 -334
-2,993 -3,507 -4,432 -2,858 -
Financing Cash Flow Items 0 0 0 0 -
Total Cash Dividends Paid -2,231 -2,255 -2,155 -2,171 -
Issuance (Retirement) of Stock, Net -1,753 -3,812 -664 -4,187 -
Issuance (Retirement) of Debt, Net 991 2,560 -1,613 3,500 -
- - - - -
144 -504 -3,018 1,174 -
6,710 7,214 11,544 10,370 -
6,854 6,710 7,214 8,526 11,544
3,372.75 2,182.88 1,483.25 3,479.75 -
54.51 -25.81 -57.37 56.73 -
0.80 1.06 0.68 1.14 -

* In Millions of (except for per share items)

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