Anadarko Petroleum Corp. | Cash Flow
Fiscal year is January-December. All values USD Millions.
2013
2014
2015
2016
2017
2018
Net Income before Extraordinaries
941
1,563
6,812
2,808
211
752
Depreciation, Depletion & Amortization
4,483
5,312
5,655
4,698
5,712
4,341
Other Funds
570
588
218
856
678
824
Funds from Operations
7,025
3,977
3,558
2,908
4,315
6,056
Changes in Working Capital
1,863
4,489
5,435
92
306
127
Net Operating Cash Flow
8,888
8,466
1,877
3,000
4,009
5,929
Capital Expenditures
7,721
9,508
6,067
3,505
5,031
Sale of Fixed Assets & Businesses
567
4,968
1,415
2,356
4,033
Net Investing Cash Flow
8,216
6,472
4,771
2,762
1,028
Cash Dividends Paid - Total
274
505
553
105
111
Issuance/Reduction of Debt, Net
235
1,516
576
893
268
Net Financing Cash Flow
623
1,675
220
2,008
1,613
Net Change in Cash
1,227
3,671
6,430
2,245
1,369
Free Cash Flow
1,167
1,042
7,944
505
1,022
Deferred Taxes & Investment Tax Credit
90
105
3,152
1,238
2,169
139
Net Assets from Acquisitions
473
1,527
3
1,740
-
Other Sources
-
-
-
127
-
Change in Capital Stock
92
76
21
2,150
1,092
Exchange Rate Effect
68
2
2
1
1
Other Uses
589
405
116
-
30
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