ASML Holding N.V.

NASDAQ: ASML · Real-Time Price · USD
755.15
19.75 (2.69%)
At close: Aug 22, 2025, 1:15 PM

ASML Cash Flow Statement

Financials in EUR. Fiscal year is January - December.
Fiscal Year 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 Jun 30, 2025 Mar 31, 2025 Dec 31, 2024 Sep 30, 2024 Jun 30, 2024 Mar 31, 2024 Dec 31, 2023 Sep 30, 2023 Jun 30, 2023 Apr 2, 2023 Dec 31, 2022 Oct 2, 2022 Jun 30, 2022 Mar 31, 2022 Dec 31, 2021 Sep 30, 2021 Jun 30, 2021 Mar 31, 2021
Net Income
9.42B 8.7B 7.57B 6.93B 6.74B 7.11B 7.84B 7.61B 7.42B 6.88B 5.62B 5.58B 5.62B 5.25B 5.88B 5.46B 4.78B 4.49B
Depreciation & Amortization
972.9M 945.5M 918.6M 889.7M 830.2M 783.9M 739.8M 710.9M 672.6M 622.9M 583.6M 524.6M 502.9M 484.1M 471M 472.2M 478M 490.4M
Stock-Based Compensation
93.3M 139.8M 119.6M 161.2M 149.4M 136.3M 134.8M 114.2M 95.2M 75.7M 68.9M 81.4M 92.9M 108M 117.5M 90.2M 78.7M 60M
Other Working Capital
144.5M 1.05B 2.05B -183.3M 285.3M -548.3M -210.9M -3.21B -2.71B 164.8M 227.4M -349M 326.3M 1.66B 667.8M 1.64B 454.3M -2.43B
Other Non-Cash Items
583.6M 1.08B 1.15B 1.14B 1.13B 580.7M 539.7M 349.1M -2.4M 305.3M 269.3M 8.1M 206.5M -103.1M -98.8M 130.8M 226M 217.3M
Deferred Income Tax
-25.7M -63M -144.8M -165.4M -189.7M -149M -146.3M -186.4M -47.5M -183.7M -223.4M -240.6M -510.7M -423.5M -419.6M -374.1M -214.6M -222.5M
Change in Working Capital
144.5M 1.05B 2.05B -3.64B -3.17B -4B -3.66B -998.3M -495.1M 2.38B 2.44B 3.88B 4.55B 5.89B 4.89B 3.32B 2.14B -748M
Operating Cash Flow
11.18B 11.36B 11.17B 4.82B 5B 4.46B 5.44B 7.6B 7.64B 9.81B 8.49B 9.55B 10.19B 11.2B 10.85B 9.1B 7.49B 4.29B
Capital Expenditures
-1.95B -2.07B -2.08B -1.98B -2.07B -2.08B -2.19B -2.05B -1.9B -1.59B -1.31B -1.14B -984.8M -994.7M -940.4M -954.8M -971.4M -955.8M
Cash Acquisitions
n/a n/a n/a -6M -33.6M -33.6M -33.6M -117.2M -89.6M -89.6M -89.6M 316.1M 308.1M 321M 328.9M -210M -211.1M -230.7M
Purchase of Investments
-4.7M -5.2M -305.2M -305.3M -305.4M -305.4M -5.4M -8.6M -4.7M -210.6M -230.2M -730.2M -780.2M -567.5M -1.16B -1.47B -1.77B -1.77B
Sales Maturities Of Investments
204.8M 305.2M 305.2M 305.2M 104.9M 4.5M 4.5M 109.7M 106.1M 405.7M 665.2M 561.8M 661.5M 1.59B 1.83B 2.22B 2.53B 1.75B
Other Investing Acitivies
-527.4M -528M -527.1M -8.2M -561M -568.4M -473.1M -375M 25.7M -91.6M 41.3M -48.4M -12.4M 105.7M -130.6M -132.7M -17.3M -4.6M
Investing Cash Flow
-2.29B -2.3B -2.61B -1.99B -2.87B -2.98B -2.69B -2.44B -1.85B -1.45B -1.03B -1.14B -911.7M 223M -72M -552M -439M -1.21B
Debt Repayment
-2.5M -2.2M -3.2M -1.8M -751.5M -751.9M -752.8M -257M 492.2M 487.8M 475.8M -22.5M -23.9M -22M -12.1M -10.1M -8.4M 740.5M
Common Stock Repurchased
-4.08B -2.71B -500M -500M -611.1M -988.8M -999.9M -1.33B -2.31B -3B -4.64B -6.91B -8.23B -9.03B -8.56B -6.65B -4.25B -2.27B
Dividend Paid
-2.51B -2.48B -2.45B -2.43B -2.4B -2.38B -2.35B -2.32B -2.29B -3.1B -2.56B -2.75B -2.2B -1.37B -1.37B -1.14B -1.14B -1.07B
Other Financial Acitivies
n/a 31.2M 60.5M 60.5M 60.5M 1.05B 1.05B 568.1M 588M -413.3M -414.5M 75.1M 67.5M 59.5M 49M 44.8M 42.9M 29.3M
Financial Cash Flow
-6.45B -5.06B -2.83B -2.81B -3.65B -3.02B -3B -3.32B -3.52B -6.02B -7.14B -9.61B -10.39B -10.36B -9.89B -7.76B -5.36B -2.55B
Net Cash Flow
2.43B 4B 5.73B 3.8M -1.53B -1.55B -263.6M 1.82B 3.19B 3.27B 1.26B -222.2M -1.09B 1.08B 902.4M 787.2M 1.69B 520.1M
Free Cash Flow
9.23B 9.29B 9.08B 2.84B 2.92B 2.38B 3.25B 5.54B 5.74B 8.21B 7.18B 8.42B 9.2B 10.21B 9.91B 8.14B 6.52B 3.34B