NASDAQ:GOOG | Cash Flow Statement | Alphabet Inc.

Complete source-backed cash-flow history.

Available history
2013-12-31 to 2026-06-30
Data captured

Historical Cash Flow Statement

DateNet incomeDepreciation and amortizationOperating cash flowCapital expenditureInvesting cash flowShare repurchasesDividends paidFinancing cash flow
2026-06-30$112.19B
2026-03-31$62.58B$45.79B$35.67B-$63.39B$0.00$2.54B$25.08B
2025-12-31$34.46B$52.4B$27.85B-$51.78B$5.5B$2.54B$7.03B
2025-09-30$34.98B
2025-06-30$28.2B
2025-03-31$34.54B$36.15B$17.2B-$16.19B$15.07B$2.43B-$20.2B
2024-12-31$26.54B$39.11B$14.28B-$16.18B$15.55B$2.44B-$19.04B
2024-09-30$26.3B
2024-06-30$23.62B
2024-03-31$23.66B$28.85B$12.01B-$8.56B$15.7B$0.00-$19.71B
2023-12-31$20.69B$18.92B$11.02B-$6.17B$16.19B$0.00-$19.31B
2023-09-30$19.69B
2023-06-30$18.37B
2023-03-31$15.05B$23.51B$6.29B-$2.95B$14.56B-$16.57B
2022-12-31$13.62B$23.61B$7.6B-$6.23B$15.41B-$17.63B
2022-09-30$13.91B
2022-06-30$16B
2022-03-31$16.44B$25.11B$9.79B-$9.05B$13.3B-$16.21B
2021-12-31$20.64B$24.93B$6.38B-$11.02B$13.47B-$16.51B
2021-09-30$18.94B
2021-06-30$18.53B
2021-03-31$17.93B$19.29B$5.94B-$5.38B$11.4B-$13.61B
2020-12-31$15.23B$22.68B$5.48B-$7.28B$7.9B-$9.27B
2020-09-30$11.25B$5.41B
2020-06-30$6.96B$5.39B
2020-03-31$6.84B$11.45B$6.01B-$1.85B$8.5B-$8.19B
2019-12-31$10.67B$14.43B$6.05B-$4.7B$6.1B-$7.33B
2019-09-30$7.07B$6.73B
2019-06-30$9.95B$6.13B
2019-03-31$6.66B$12B$4.64B-$5.39B$3.03B-$4.18B
2018-12-31$8.95B$12.99B$7.08B-$6.88B$2.65B-$2.75B
2018-09-30$9.19B$5.28B
2018-06-30$3.2B$5.48B
2018-03-31$9.4B$11.64B$7.3B-$7.85B$2.17B-$2.02B
2017-12-31-$3.02B$10.27B$4.31B-$6.97B$2.1B-$3.18B
2017-09-30$6.73B$3.54B
2017-06-30$3.52B$2.83B
2017-03-31$5.43B$9.55B$2.51B-$2.85B$1.13B-$1.67B
2016-12-31$5.33B$9.41B$3.08B-$4.7B$0.00$0.00-$892M
2016-09-30$5.06B$2.55B
2016-06-30$4.88B$2.14B
2016-03-31$4.21B$7.66B$2.44B-$6.25B$2.1B-$2.91B
2015-12-31$4.92B$6.61B$2.1B-$5.49B$1.78B$0.00-$2.56B
2015-09-30$3.98B$2.38B
2015-06-30$3.93B$2.52B
2015-03-31$3.52B$6.72B$2.93B-$7.3B$0.00-$496M
2014-12-31$4.68B$7.01B$3.61B-$3.24B$0.00-$992M
2014-09-30$2.74B

Annual Cash Flow Statement

DateNet incomeDepreciation and amortizationOperating cash flowCapital expenditureInvesting cash flowShare repurchasesDividends paidFinancing cash flow
2025-12-31$132.17B$164.71B$91.45B-$120.29B$45.71B$10.05B-$37.39B
2024-12-31$100.12B$125.3B$52.54B-$45.54B$62.22B$7.36B-$79.73B
2023-12-31$73.8B$101.75B$32.25B-$27.06B$61.5B$0.00-$72.09B
2022-12-31$59.97B$91.5B$31.49B-$20.3B$59.3B$0.00-$69.76B
2021-12-31$76.03B$91.65B$24.64B-$35.52B$50.27B-$61.36B
2020-12-31$40.27B$65.12B$22.28B-$32.77B$31.15B-$24.41B
2019-12-31$34.34B$54.52B$23.55B-$29.49B$18.4B-$23.21B
2018-12-31$30.74B$47.97B$25.14B-$28.5B$9.08B-$13.18B
2017-12-31$12.66B$37.09B$13.18B-$31.4B$4.85B$0.00-$8.3B
2016-12-31$19.48B$36.04B$10.21B-$31.17B$3.69B$0.00-$8.33B
2015-12-31$16.35B$26.57B$9.95B-$23.71B$1.78B$47M-$4.23B
2014-12-31$14.14B$23.02B$11.01B-$21.06B$0.00$0.00-$2.09B
2013-12-31$12.73B$18.66B$7.36B-$13.68B$0.00$0.00-$857M