Question: Hello, can you help me analyze the cash flow statement? for operating, investing, and financing. Operating Cash Flow begin{tabular}{|c|c|c|c|} hline & Dec. 31,2022 & Dec.

Hello, can you help me analyze the cash flow statement? for operating, investing, and financing.

Hello, can you help me analyze the cash flow statement? for operating,

investing, and financing. Operating Cash Flow \begin{tabular}{|c|c|c|c|} \hline & Dec. 31,2022 &

Dec. 31,2021 & Dec. 31,2020 \\ \hline \multicolumn{4}{|l|}{ Cash flows from operating

Operating Cash Flow \begin{tabular}{|c|c|c|c|} \hline & Dec. 31,2022 & Dec. 31,2021 & Dec. 31,2020 \\ \hline \multicolumn{4}{|l|}{ Cash flows from operating activities: } \\ \hline Net income & 1,961 & 1,844 & 2,396 \\ \hline \multicolumn{4}{|c|}{ Adjustments to reconcile consolidated net income to net cash provided by operating } \\ \hline Asset Impaiments & 0 & 3 & 17 \\ \hline Gren on previously held equity investment in Thinx & (85) & 0 & 0 \\ \hline Stock-based compensation & 150 & 26 & 147 \\ \hline Net (gains) losses on asset dispositions & 15 & 39 & 68 \\ \hline Equity companies' earnings (in excess of) less than dividends paid & 6 & 25 & (30) \\ \hline Operating working capital & (17) & 46 & 363 \\ \hline Postrotirement becaefits & (4) & 47 & (28) \\ \hline Other operating activities & 10 & 4 & (45) \\ \hline Net cash provided by operating activities & 2,733 & 2,730 & 3,729 \\ \hline \end{tabular} Financing Cash Flow Dec. 31, 2022...Dec. 31, 2021.., Dec. 31, 2020, \begin{tabular}{|c|c|c|c|} \hline Cash flow from financing activities & & & \\ \hline Cash dividends paid & (1,558) & (1,516) & (1,451) \\ \hline Change in short-term debt & 261 & (97) & (561) \\ \hline Debt proceeds & - & 605 & 1,845 \\ \hline Debt repayments & (312) & (269) & (854) \\ \hline Proceeds from exercise of stock options & 94 & 65 & 217 \\ \hline Payments of Ordinary Dividends, Noncontrolling Interest & $(98) & S(36) & s(37) \\ \hline Acquisitions of common stock for the treasury & (100) & (400) & (700) \\ \hline Other financing activities & (47) & (48) & (26) \\ \hline Net cash used in financing activities & (1,760) & (1,096) & (1,567) \\ \hline \begin{tabular}{l} Effect of Exchange Rate on Cash, Cash Equivalents. Restricted Cash, and Restricted Cash \\ Equivalents, Continuing Operations \end{tabular} & (31) & (11) & 4 \\ \hline Change in Cash and Cash Equivalents & 157 & (33) & (139) \\ \hline Cash and Cash Equivalents- Beginning of Year & 270 & 303 & 442 \\ \hline Cash, Cash Equivalents, Restricted Cash, and Restricted Cash Equivalents- End of Year & 427 & 270 & 303 \\ \hline \end{tabular} USD(\$) $ in Millions

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