PACCAR Inc (PCAR) Cash Flow Statement Analysis - Operating Cash Flow, CapEx & Free Cash Flow - Stocknear

PACCAR Inc

NASDAQ: PCAR · Real-Time Price · USD
98.09
-0.99 (-1.00%)
At close: Oct 03, 2025, 3:59 PM
98.00
-0.09%
After-hours: Oct 03, 2025, 06:56 PM EDT

PACCAR Inc 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
723.8M 505.1M 872M 972.1M 1.12B 1.2B 1.42B 1.23B 1.22B 733.9M 921.3M 769.4M 720.4M 600.5M 511.4M 380.5M 495.5M 470.8M
Depreciation & Amortization
207.3M 205.1M 223.2M 226.8M 231.9M 235M 245.5M 233.9M 223.4M 221.1M 204.6M 203M 196.9M 185.7M 211M 209.9M 230.7M 251.7M
Stock-Based Compensation
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 Working Capital
-414.4M 165.2M -315.5M -119.7M -363.8M 658.5M -268.1M 70.5M 71.4M 1.09B 119.9M 103.8M 119.4M 759.6M 145.5M -56.6M -82.2M -79.5M
Other Non-Cash Items
-20.8M 48.1M -15.1M -17M 5.9M 8M -135.1M -4.3M -52.6M -61.2M -10M -51.1M -19.4M -147.2M 38.7M -195.5M -10.8M -49.6M
Deferred Income Tax
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
Change in Working Capital
-76.9M 152M 365.6M 104.3M -920.4M 30.7M -341M -115.1M -416.4M -209M 132.9M -240.6M -259.7M -179.7M 275.4M -112.4M -384.6M -136M
Operating Cash Flow
833.4M 910.3M 1.45B 1.29B 440M 1.47B 1.19B 1.34B 975.5M 684.8M 1.25B 680.7M 638.2M 459.3M 1.04B 282.5M 330.8M 536.9M
Capital Expenditures
-388.9M -325.8M -502.9M -378.1M -512.8M -351.8M -363.4M -335.7M -271.6M -291.8M -308.7M -342.5M -370.7M -368.6M -461M -378.5M -435.6M -357.7M
Cash Acquisitions
n/a -44.7M n/a 42.6M 183.8M n/a 183M 132.1M 145.5M n/a n/a 163M n/a -203.9M -184.3M -1B 460.6M n/a
Purchase of Investments
-417.9M -405.1M -712M -524.6M -512.2M -319.9M 633.1M -236.5M -342.7M -217.5M -164.6M -42.7M -308.2M -3.8M -25M 250.7M -243.8M -158M
Sales Maturities Of Investments
385.9M 384.5M 388.4M 220M 200.7M 294.1M -3.89B 169.1M 284.5M 206.6M 126.6M 165.2M 222.4M 203.9M 184.3M 156.9M 232.6M 153.2M
Other Investing Acitivies
-196.6M -1.5M -905.5M -545.4M -403.2M -148.5M 2.5B -615.4M -567.7M 10M -367.8M -382.5M -16.4M -33.7M 148.7M 615.5M -464.8M 146.8M
Investing Cash Flow
-617.5M -392.6M -1.73B -1.19B -1.04B -526.1M -939.9M -886.4M -752M -292.7M -714.5M -439.5M -472.9M -406.1M -337.3M -358.7M -451M -215.7M
Debt Repayment
-89.4M -405.9M 794.1M 967.7M 451.1M -94.9M 1.08B 485.2M 614.6M 397M 838.7M 42.2M -73.1M 468.2M 617.7M -620.2M -26.4M -182M
Common Stock Repurchased
-30.7M -4.3M n/a -500K n/a -4M -400K -100K n/a -3M -100K -100K n/a -1.9M n/a -100K n/a -1.4M
Dividend Paid
-173.3M -1.75B -157.4M -157.3M -157.3M -1.82B -141.3M -141.3M -130.7M -1.11B -128.8M -118.3M -118.2M -639.4M -118.1M -118.1M -118.1M -353.7M
Other Financial Acitivies
2.3M 22.5M 6.6M 3M 6.9M 35.4M 8.4M 14.3M 8.3M 20.5M 14M 3.3M 1.7M 16.7M 7.4M n/a 1.3M 28.8M
Financial Cash Flow
-291.1M -2.13B 643.3M 812.9M 300.7M -1.88B 942.7M 358.1M 492.2M -690.8M 723.8M -72.9M -189.6M -156.4M 507M -738.4M -143.2M -508.3M
Net Cash Flow
32.2M -1.54B 211.6M 977.7M -323M -987.2M 1.28B 760.4M 735.8M -280.8M 1.37B 92.2M -83.6M -113.4M 1.2B -842M -250.2M -219.6M
Free Cash Flow
444.5M 584.5M 942.8M 908.1M -72.8M 1.12B 823.3M 1.01B 703.9M 393M 940.1M 338.2M 267.5M 90.7M 575.5M -96M -104.8M 179.2M