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Anthem Inc
NYSE:ANTM

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Anthem Inc Logo
Anthem Inc
NYSE:ANTM
Watchlist
Price: 482.58 USD 2.71% Market Closed
Updated: May 17, 2024

Cash Flow Statement

Cash Flow Statement
Anthem Inc

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Cash Flow Statement
Currency: USD
Jun-2012 Sep-2012 Dec-2012 Mar-2013 Jun-2013 Sep-2013 Dec-2013 Mar-2014 Jun-2014 Sep-2014 Dec-2014 Mar-2015 Jun-2015 Sep-2015 Dec-2015 Mar-2016 Jun-2016 Sep-2016 Dec-2016 Mar-2017 Jun-2017 Sep-2017 Dec-2017 Mar-2018 Jun-2018 Sep-2018 Dec-2018 Mar-2019 Jun-2019 Sep-2019 Dec-2019 Mar-2020 Jun-2020 Sep-2020 Dec-2020 Mar-2021 Jun-2021 Sep-2021 Dec-2021 Mar-2022
Operating Cash Flow
Net Income
2 519
2 527
2 656
2 684
2 841
2 807
2 490
2 306
2 237
2 211
2 570
2 734
2 862
2 886
2 560
2 398
2 320
2 282
2 470
2 777
2 851
2 981
3 843
4 146
4 344
4 556
3 750
3 988
4 074
4 298
4 807
4 779
5 916
4 955
4 572
4 716
4 241
5 521
6 095
6 223
Depreciation & Amortization
693
573
741
929
1 134
864
909
914
898
881
851
848
1 128
885
908
919
653
910
912
908
901
896
890
939
1 006
1 071
1 132
1 151
1 162
1 175
1 133
1 114
1 103
1 110
1 154
1 166
1 189
1 232
1 302
1 378
Change in Deffered Taxes
51
178
128
77
54
(139)
59
135
94
179
31
17
30
(90)
(66)
(64)
(14)
29
127
(103)
(183)
(193)
(1 272)
(1 167)
(1 060)
(893)
91
198
168
(79)
81
83
62
8
(540)
(566)
(608)
(324)
326
203
Other Non-Cash Items
219
216
218
250
245
395
629
602
622
532
256
204
186
138
144
232
257
242
276
263
249
248
501
518
507
518
276
286
323
360
346
334
324
499
481
478
480
268
349
335
Cash Taxes Paid
0
0
1 188
1 188
1 188
1 188
1 172
1 172
1 172
1 172
1 659
1 659
1 659
1 659
1 952
1 952
1 952
1 952
1 665
1 665
1 665
1 665
1 503
1 503
1 503
1 503
738
738
738
738
1 403
1 403
1 403
1 403
1 790
1 790
1 790
1 790
1 299
1 299
Cash Interest Paid
0
0
479
479
479
479
597
597
597
597
576
576
576
576
604
604
604
604
595
595
595
595
778
778
778
778
728
728
728
728
755
755
755
755
794
794
794
794
822
822
Change in Working Capital
(248)
(1 606)
(1 006)
(1 315)
(1 591)
(399)
(1 039)
(479)
278
(467)
(338)
(169)
(470)
(346)
570
339
106
479
(580)
690
439
1 765
223
(725)
(937)
(3 188)
(1 422)
(2 381)
(1 590)
(557)
(306)
636
3 614
1 630
5 021
4 884
1 549
3 808
292
261
Cash from Operating Activities
3 232
N/A
2 042
-37%
2 735
+34%
2 469
-10%
2 367
-4%
3 526
+49%
3 048
-14%
3 479
+14%
4 130
+19%
3 336
-19%
3 369
+1%
3 632
+8%
3 734
+3%
3 472
-7%
4 116
+19%
3 825
-7%
3 321
-13%
3 942
+19%
3 205
-19%
4 533
+41%
4 257
-6%
5 698
+34%
4 185
-27%
3 712
-11%
3 861
+4%
2 063
-47%
3 827
+86%
3 242
-15%
4 137
+28%
5 197
+26%
6 061
+17%
6 946
+15%
11 019
+59%
8 202
-26%
10 688
+30%
10 678
0%
6 851
-36%
10 505
+53%
8 364
-20%
8 400
+0%
Investing Cash Flow
Capital Expenditures
(539)
(561)
(545)
(529)
(569)
(578)
(647)
(675)
(668)
(650)
(715)
(668)
(674)
(712)
(638)
(667)
(659)
(646)
(584)
(594)
(631)
(684)
(800)
(890)
(1 035)
(1 172)
(1 208)
(1 224)
(1 130)
(1 046)
(1 077)
(1 047)
(1 059)
(1 094)
(1 021)
(1 021)
(1 073)
(1 025)
(1 087)
(1 137)
Other Items
(1 900)
(2 344)
(4 007)
(5 239)
(4 080)
(2 776)
(1 588)
(1 109)
(1 030)
(1 133)
(260)
(2 274)
(801)
(410)
(513)
836
(173)
92
70
245
(444)
(107)
(4 283)
(3 532)
(3 124)
(4 481)
(51)
(121)
(601)
(1 696)
(1 715)
(3 877)
(7 634)
(5 812)
(6 303)
(5 826)
(5 765)
(7 342)
(8 551)
(7 772)
Cash from Investing Activities
(2 439)
N/A
(2 904)
-19%
(4 552)
-57%
(5 768)
-27%
(4 648)
+19%
(3 354)
+28%
(2 234)
+33%
(1 782)
+20%
(1 698)
+5%
(1 782)
-5%
(975)
+45%
(2 943)
-202%
(1 475)
+50%
(1 122)
+24%
(1 152)
-3%
169
N/A
(833)
N/A
(555)
+33%
(514)
+7%
(350)
+32%
(1 075)
-207%
(791)
+26%
(5 082)
-542%
(4 421)
+13%
(4 157)
+6%
(5 652)
-36%
(1 259)
+78%
(1 345)
-7%
(1 732)
-29%
(2 742)
-58%
(2 792)
-2%
(4 924)
-76%
(8 693)
-77%
(6 906)
+21%
(7 324)
-6%
(6 847)
+7%
(6 838)
+0%
(8 367)
-22%
(9 638)
-15%
(8 909)
+8%
Financing Cash Flow
Net Issuance of Common Stock
(2 644)
(2 412)
(2 386)
(2 059)
(1 758)
(1 440)
(1 121)
(1 937)
(2 554)
(2 712)
(2 698)
(2 230)
(2 059)
(1 657)
(1 330)
(614)
(2)
107
119
121
(311)
(1 429)
(1 772)
(2 160)
(864)
(124)
(261)
(144)
(1 464)
(1 711)
(1 515)
(1 782)
(1 354)
(1 486)
(2 524)
(2 397)
(2 818)
(2 511)
(1 697)
(1 808)
Net Issuance of Debt
2 488
3 620
5 121
5 245
3 897
1 253
(584)
202
(297)
261
764
711
267
(166)
(892)
(1 887)
(1 573)
(1 651)
0
1 669
1 061
1 195
3 574
2 148
2 695
2 881
(1 273)
(1 001)
(598)
359
405
1 846
1 555
(158)
(298)
1 386
1 458
1 664
2 719
(282)
Cash Paid for Dividends
(363)
(366)
(367)
(384)
(404)
(425)
(448)
(458)
(466)
(473)
(481)
(525)
(568)
(612)
(657)
(661)
(668)
(676)
(684)
(685)
(686)
(696)
(705)
(725)
(749)
(763)
(776)
(790)
(800)
(809)
(818)
(852)
(888)
(922)
(954)
(991)
(1 027)
(1 065)
(1 104)
(1 136)
Other
(16)
(45)
(279)
(125)
(76)
166
435
795
1 321
906
592
792
(122)
(80)
(119)
(557)
(217)
(171)
(169)
(195)
(274)
(432)
(671)
(700)
(666)
(242)
69
(107)
(145)
(362)
(338)
(370)
311
1 062
1 209
2 144
1 604
1 283
505
583
Cash from Financing Activities
(535)
N/A
797
N/A
2 089
+162%
2 677
+28%
1 659
-38%
(444)
N/A
(1 718)
-287%
(1 398)
+19%
(1 996)
-43%
(2 020)
-1%
(1 823)
+10%
(1 252)
+31%
(2 481)
-98%
(2 514)
-1%
(2 997)
-19%
(3 718)
-24%
(2 459)
+34%
(2 390)
+3%
(733)
+69%
910
N/A
(210)
N/A
(1 361)
-548%
427
N/A
(1 435)
N/A
418
N/A
1 753
+319%
(2 241)
N/A
(2 042)
+9%
(3 008)
-47%
(2 523)
+16%
(2 266)
+10%
(1 158)
+49%
(376)
+68%
(1 504)
-300%
(2 567)
-71%
142
N/A
(783)
N/A
(629)
+20%
423
N/A
(2 643)
N/A
Change in Cash
Effect of Foreign Exchange Rates
(5)
(2)
1
(2)
1
1
2
4
2
(3)
(7)
(13)
(10)
(6)
(5)
3
0
1
4
4
6
6
4
2
1
(1)
(2)
(3)
0
(3)
(1)
(2)
0
0
5
6
0
(3)
(10)
(13)
Net Change in Cash
253
N/A
(67)
N/A
273
N/A
(624)
N/A
(621)
+0%
(271)
+56%
(902)
-233%
303
N/A
438
+45%
(469)
N/A
564
N/A
(576)
N/A
(232)
+60%
(170)
+27%
(38)
+78%
279
N/A
29
-90%
998
+3 341%
1 962
+97%
5 097
+160%
2 978
-42%
3 552
+19%
(466)
N/A
(2 142)
-360%
123
N/A
(1 837)
N/A
325
N/A
(148)
N/A
(603)
-307%
(71)
+88%
1 002
N/A
862
-14%
1 950
+126%
(208)
N/A
802
N/A
3 979
+396%
(770)
N/A
1 506
N/A
(861)
N/A
(3 165)
-268%

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