NASDAQ:NICE | Cash Flow Statement | NICE Ltd.

Complete source-backed cash-flow history.

Available history
2008-12-31 to 2025-12-31
Data captured

Historical Cash Flow Statement

DateNet incomeDepreciation and amortizationOperating cash flowCapital expenditureInvesting cash flowShare repurchasesDividends paidFinancing cash flow

Annual Cash Flow Statement

DateNet incomeDepreciation and amortizationOperating cash flowCapital expenditureInvesting cash flowShare repurchasesDividends paidFinancing cash flow
2025-12-31$612.1M$716.55M$18.92M$159.96M$488.91M-$984.27M
2024-12-31$439.5M$832.64M$34.96M-$397.41M$369.2M-$456.6M
2023-12-31$336.5M$561.43M$29.21M-$293.58M$288.44M-$290.27M
2022-12-31$265.1M$479.72M$31.89M-$152.35M$144.94M-$164.5M
2021-12-31$199.58M$461.82M$24.77M-$261.5M$73.18M-$261.82M
2020-12-31$196.67M$480.31M$24.19M-$465.07M$48.27M$196.84M
2019-12-31$185.9M$374.16M$27.29M-$344.29M$47.28M$0.00-$42.66M
2018-12-31$159.34M$396.61M$31.44M-$460.76M$26M$0.00-$16.27M
2017-12-31$143.29M$394.66M$39.89M-$212.98M$24.43M$9.64M-$14.83M
2016-12-31$116.92M$228.21M$27.28M-$800.02M$43.63M$38.2M$405.45M
2015-12-31$258.83M$252.33M$16.6M-$28.39M$68.38M$38.24M-$79.39M
2014-12-31$103.08M$182.27M$16.72M$94.27M$38.14M
2013-12-31$55.28M$124.28M$20.23M$79.45M$29.01M
2012-12-31$67.89M$135.64M$28.69M-$164.36M$107.04M-$76.55M
2011-12-31$57.26M$154.37M$17.31M$9.44M$95.89M-$68.76M
2010-12-31$48.71M$145.02M$11.7M-$276.66M$25.97M
2009-12-31$42.76M$119.69M$8.85M-$71.28M$20.92M
2008-12-31$39.11M$135.71M$15.45M-$120.82M$15.92M