NYSE:XYZ | Cash Flow Statement | Block, Inc.

Complete source-backed cash-flow history.

Available history
2014-12-31 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$88.52M
2026-03-31-$308.68M$95.98M$965.6M$30.57M$300.03M$635.99M-$251.91M
2025-12-31$115.76M$96.07M$621M$41.2M-$2.13B$790.13M$39.8M
2025-09-30$461.54M
2025-06-30$538.46M
2025-03-31$189.87M$88.95M$133.34M$31.88M$914.71M$445.3M-$1.21B
2024-12-31$1.95B$88.88M$13.8M$26.99M-$323.16M$183.16M$707.57M
2024-09-30$283.75M
2024-06-30$195.27M
2024-03-31$472.01M$97.64M$489.4M$32M$1.04B$252.1M$32.41M
2023-12-31$102.24M$105.32M-$797.92M$51.69M$278.23M$156.81M$800.44M
2023-09-30-$88.74M
2023-06-30-$102.04M
2023-03-31$98.32M$93.17M$294.4M$32.25M$623.92M$0.00-$9.08M
2022-12-31-$113.82M$90.91M$45.37M$49.11M-$279.55M$978.99M
2022-09-30-$14.71M
2022-06-30-$208.01M
2022-03-31-$204.2M$70.06M$229.42M$41.19M$1.13B-$968.56M
2021-12-31-$76.83M$39.05M$194.35M$36.29M-$54.26M$42.01M
2021-09-30$84,000.00
2021-06-30$204.02M
2021-03-31$39.01M$29.2M-$29.19M$34.15M-$158.02M$1.12B
2020-12-31$293.96M$22.47M-$87.77M$52.05M-$74.92M$2.35B
2020-09-30$36.52M
2020-06-30-$11.48M
2020-03-31-$105.89M$20.06M$121.3M$26.14M-$114.62M$918.12M
2019-12-31$390.94M$18.72M-$76.95M$16.67M$391.87M$329.61M
2019-09-30$29.4M
2019-06-30-$6.74M
2019-03-31-$38.15M$18.97M$32.44M$18.17M-$70.39M-$26.85M
2018-12-31-$28.2M$22.64M$176.42M$24.03M-$130.59M-$174.98M
2018-09-30$19.64M
2018-06-30-$5.91M
2018-03-31-$23.99M$10.16M$52.05M$8.08M-$15.49M$3.04M
2017-12-31-$15.66M$9.63M-$2.61M$6.47M$19.9M$23.81M
2017-09-30-$16.1M
2017-06-30-$15.96M
2017-03-31-$15.09M$9.44M$44M$6.51M-$170.39M$377.58M
2016-12-31-$15.17M$9.93M-$104,000.00$5.76M-$2.29M$47.97M
2016-09-30-$32.32M
2016-06-30-$27.35M
2016-03-31-$96.76M$9.12M-$13.75M$7.53M-$81.01M-$4.85M
2015-12-31-$48.29M$9.1M$17.99M$6.71M-$7.63M$282.55M
2015-09-30-$53.93M
2015-06-30-$29.62M
2015-03-31-$47.98M$5.55M-$10.95M$10.42M-$14.27M$1.75M

Annual Cash Flow Statement

DateNet incomeDepreciation and amortizationOperating cash flowCapital expenditureInvesting cash flowShare repurchasesDividends paidFinancing cash flow
2025-12-31$1.31B$369.53M$2.58B$155.04M-$2.8B$2.33B-$613.1M
2024-12-31$2.9B$376.13M$1.71B$153.95M$649.95M$1.17B$1.95B
2023-12-31$9.77M$408.56M$100.96M$151.15M$683.2M$156.81M-$240.14M
2022-12-31-$540.75M$340.52M$175.9M$170.82M$1.23B$0.00$97.58M
2021-12-31$166.28M$134.76M$847.83M$134.32M-$1.31B$0.00$2.65B
2020-12-31$213.11M$84.21M$173.11M$138.4M-$606.64M$3.68B
2019-12-31$375.45M$75.6M$327.63M$62.5M$95.19M$243.4M
2018-12-31-$38.45M$60.96M$295.08M$61.2M-$905.85M$515.76M
2017-12-31-$62.81M$37.28M$127.71M$26.1M-$340.61M$454.93M
2016-12-31-$171.59M$37.75M$23.13M$25.43M-$114.24M$90.74M
2015-12-31-$179.82M$27.63M$21.12M$37.43M-$43.22M$264.76M
2014-12-31-$154.09M$18.59M-$112.38M$28.79M-$24.55M$194.15M

Research interface only. Not investment advice. Prices are a checked-in snapshot, not live quotes.