DaVita Inc. (DVA) Cash Flow Statement Analysis - Operating Cash Flow, CapEx & Free Cash Flow - Stocknear

DaVita Inc.

NYSE: DVA · Real-Time Price · USD
131.13
-0.97 (-0.73%)
At close: Oct 03, 2025, 3:59 PM
131.45
0.24%
After-hours: Oct 03, 2025, 06:20 PM EDT

DaVita Cash Flow Statement

Financials in USD. 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 Mar 31, 2023 Dec 31, 2022 Sep 30, 2022 Jun 30, 2022 Mar 31, 2022 Dec 31, 2021 Sep 30, 2021 Jun 30, 2021 Mar 31, 2021
Net Income
1.08B 1.11B 1.25B 1.05B 1.07B 1.01B 877.07M 853.02M 708.35M 746.59M 781.64M 904.46M 1.06B 1.13B 1.21B 1.2B 1.09B 998.33M
Depreciation & Amortization
712.27M 713.23M 723.86M 745.03M 746.44M 754.46M 745.44M 744.23M 750.23M 737.73M 732.6M 713.3M 689.35M 687.86M 680.62M 667.34M 653.77M 641.46M
Stock-Based Compensation
116.52M 108M 102.79M 105.45M 106.01M 111.54M 112.38M 99.84M 100.52M 95.9M 95.43M 104.22M 100.6M 103.52M 102.21M 100.14M 101.05M 95.18M
Other Working Capital
-65.42M -119.36M -19.7M 35.31M -98.7M -53.27M 32.45M 100.5M 280.41M 123.55M 61.77M 43.77M -151.98M 20.61M 22.1M 8.09M -154M -2.49M
Other Non-Cash Items
117.83M 137.99M 32.31M 214.26M 192.58M 152.63M 170.51M 63.73M 79.78M 34M 30.47M 20.33M -14.83M 20.77M 16.45M 39.26M 119.53M 130.38M
Deferred Income Tax
-39.03M -50.19M -57.84M -75.3M -51.82M -39.05M -39.35M -57.8M -100.92M -79.25M -75.67M -31.88M 28.87M 41.75M 60.48M 105.79M 149.43M 156.24M
Change in Working Capital
-128.3M 320.17M -29.82M -80.44M -247.05M -528.77M 194.53M 214.52M 428.96M 169.97M 101K 40.31M -256.35M 118.93M -140.64M -223.44M -316.71M -248.63M
Operating Cash Flow
1.86B 2.34B 2.02B 1.96B 1.81B 1.46B 2.06B 1.92B 1.97B 1.7B 1.56B 1.75B 1.61B 2.1B 1.93B 1.89B 1.8B 1.77B
Capital Expenditures
-574.05M -577.69M -555.44M -543.76M -541.52M -541.29M -567.99M -603.05M -610.17M -628.03M -603.43M -598.2M -612.49M -619.66M -641.47M -677.3M -677.31M -664.51M
Cash Acquisitions
-80.84M -145.65M -251.27M -179.89M -180.75M -395.9M -298.18M -301.2M -331.81M -88.97M -89.19M -219.89M -204.35M -202.23M -200.97M -135.21M -181.91M -170.94M
Purchase of Investments
-53.36M -50.54M -24.46M -33.93M -13.88M -20.58M -46.94M -72.58M -77.64M -155.24M -133.39M -115.88M -116.29M -34.5M -33.84M -19.12M -26.65M -158.95M
Sales Maturities Of Investments
66.87M 28.02M 27.2M 38.31M 23.36M 60.74M 110M 128.83M 161M 120.18M 74.91M 47.05M 20.24M 19.49M 27.88M 28.18M 171.1M 168.66M
Other Investing Acitivies
18.03M 27.5M 32.54M 24.49M 24.65M 23.55M 28.27M 31.24M 27.84M 123.53M 120.76M 133.29M 148.63M 58.17M 63.66M 17.21M 12.84M 38.63M
Investing Cash Flow
-623.35M -718.36M -771.43M -694.79M -688.14M -873.5M -774.84M -816.77M -830.77M -628.52M -630.35M -753.63M -764.27M -778.73M -784.73M -786.25M -701.93M -787.11M
Debt Repayment
1.29B 660.61M 1.11B 1.14B 255.69M 435.49M -568.94M -683.75M -562.75M -235.3M -11.28M 102.43M 238.8M -199.12M 754.25M 837.77M -980.78M 293.63M
Common Stock Repurchased
-1.88B -1.79B -1.5B -1.41B -889.33M -563.39M -320.33M -36.27M -217.91M -610.76M -839.6M -1.5B -1.66B -1.52B -1.6B -1.38B -1.74B -1.46B
Dividend Paid
n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Other Financial Acitivies
-384.58M -410.55M -448.06M -382.07M -406.6M -445.88M -279.74M -278.13M -268.25M -209.41M -270.25M -266.18M -262.47M -246.11M -238.59M -235.66M -214.23M -245.16M
Financial Cash Flow
-951.63M -1.52B -816.94M -653.59M -1.04B -573.78M -1.17B -998.15M -1.05B -1.06B -1.12B -1.66B -1.68B -1.96B -1.08B -773.68M -2.93B -1.41B
Net Cash Flow
293.71M 93.79M 415.19M 613.52M 81.08M 19.38M 125.64M 82.91M 66.43M -9.18M -215.97M -676.39M -850.74M -640.46M 53.17M 321.27M -1.83B -427.45M
Free Cash Flow
1.29B 1.76B 1.47B 1.42B 1.27B 921.89M 1.49B 1.31B 1.36B 1.08B 961.14M 1.15B 994.67M 1.48B 1.29B 1.21B 1.12B 1.11B