Applied Materials Inc. (AMAT) Cash Flow Statement Analysis - Operating Cash Flow, CapEx & Free Cash Flow - Stocknear

Applied Materials Inc.

NASDAQ: AMAT · Real-Time Price · USD
217.53
-6.06 (-2.71%)
At close: Oct 03, 2025, 3:59 PM
217.25
-0.13%
After-hours: Oct 03, 2025, 07:57 PM EDT

Applied Materials Cash Flow Statement

Financials in USD. Fiscal year is November - October.
Fiscal Year Q3 2025 Q2 2025 Q1 2025 Q4 2024 Q3 2024 Q2 2024 Q1 2024 Q4 2023 Q3 2023 Q2 2023 Q1 2023 Q4 2022 Q3 2022 Q2 2022 Q1 2022 Q4 2021 Q3 2021 Q2 2021 Q1 2021
Period Ending Jul 27, 2025 Apr 27, 2025 Jan 26, 2025 Oct 27, 2024 Jul 28, 2024 Apr 28, 2024 Jan 28, 2024 Oct 29, 2023 Jul 30, 2023 Apr 30, 2023 Jan 29, 2023 Oct 30, 2022 Jul 31, 2022 May 1, 2022 Jan 30, 2022 Oct 31, 2021 Aug 1, 2021 May 2, 2021 Jan 31, 2021
Net Income
6.76B 6.76B 6.34B 7.18B 7.45B 7.75B 7.6B 7.3B 6.89B 6.49B 6.45B 6.53B 6.65B 6.76B 6.55B 5.89B 5.31B 4.43B 3.86B
Depreciation & Amortization
431M 413M 406M 392M 412M 447M 480M 509M 502M 480M 462M 444M 426M 416M 402M 394M 386M 382M 376M
Stock-Based Compensation
627M 627M 602M 577M 551M 534M 513M 491M 475M 455M 443M 413M 388M 374M 357M 346M 345M 334M 321M
Other Working Capital
-258M 63M 204M 601M -1B -2.62B -1.56B -1.6B -25M 957M 127M 517M 412M 613M 929M 585M 362M 124M -126M
Other Non-Cash Items
258M 280M 377M 47M -348M -545M -366M -124M 47M 218M 27M 32M -31M -68M -58M 78M 124M 172M 193M
Deferred Income Tax
245M 245M 107M -633M -187M 190M 209M 260M 48M -103M -245M -223M -173M -200M 53M 80M 26M 85M 78M
Change in Working Capital
-863M -867M -558M 1.12B -221M -1.55B -711M -764M -985M -651M -2.13B -1.79B -1.57B -1.37B -625M -1.34B -579M -615M -587M
Operating Cash Flow
7.46B 7.46B 7.28B 8.68B 7.66B 6.83B 7.73B 7.67B 6.97B 6.89B 5.01B 5.4B 5.69B 5.91B 6.68B 5.44B 5.61B 4.79B 4.24B
Capital Expenditures
-1.59B -1.59B -1.34B -1.19B -1.09B -1.1B -1.1B -1.16B -1.07B -975M -930M -787M -770M -697M -691M -668M -624M -574M -441M
Cash Acquisitions
-249M -249M -248M -2M 527M 527M 529M 291M -18M -459M -258M -238M -32M 329M 330M 318M 274M 274M 43M
Purchase of Investments
-5.3B -5.3B -4.55B -3.59B -2.44B -2.18B -2.03B -1.68B -1.52B -1.39B -1.59B -1.49B -2B -2.12B -1.88B -2.01B -1.52B -1.25B -1.37B
Sales Maturities Of Investments
4.48B 4.48B 3.14B 2.45B 1.79B 1.71B 1.38B 1.26B 1.32B 1.39B 1.46B 1.36B 1.46B 1.49B 1.43B 1.47B 1.39B 1.34B 1.74B
Other Investing Acitivies
253M 253M 220M 2M -527M -527M -527M -309M n/a n/a -203M -203M -409M -329M -330M -330M -286M -366M -162M
Investing Cash Flow
-2.41B -2.41B -2.78B -2.33B -1.75B -1.57B -1.75B -1.6B -1.3B -1.43B -1.52B -1.36B -1.75B -1.33B -1.14B -1.22B -770M -568M -184M
Debt Repayment
208M 603M 591M 592M 683M -112M -97M 90M 89M 189M 188M n/a n/a n/a n/a n/a n/a -1.4B 97M
Common Stock Repurchased
-5.49B -5.29B -4.44B -3.82B -3.08B -2.92B -2.9B -2.45B -3.25B -3.55B -4.55B -6.1B -6.1B -6.6B -5.55B -3.89B -2.44B -1.14B -591M
Dividend Paid
-1.35B -1.31B -1.25B -1.19B -1.13B -1.07B -1.02B -975M -930M -887M -879M -873M -866M -860M -851M -838M -822M -805M -796M
Other Financial Acitivies
393M -234M -240M -290M -243M -232M -212M -156M -178M -167M -167M -266M -266M -275M -271M -36M -35M -23M -16M
Financial Cash Flow
-5.98B -5.98B -5.1B -4.47B -3.67B -4.11B -4.02B -3.28B -3.94B -4.2B -5.21B -7.04B -7.05B -7.55B -6.5B -4.59B -3.13B -3.21B -1.15B
Net Cash Flow
-931M -931M -599M 1.88B 2.25B 1.14B 1.96B 2.79B 1.74B 1.26B -1.72B -3B -3.11B -2.98B -959M -365M 1.71B 1.02B 2.9B
Free Cash Flow
5.86B 5.86B 5.93B 7.49B 6.57B 5.72B 6.63B 6.51B 5.9B 5.91B 4.08B 4.61B 4.92B 5.21B 5.99B 4.77B 4.99B 4.22B 3.8B