Oracle Corp: (NASD: ORCL)

$35.03

0.66 (1.92%)

Volume 26,892,549

May 17 04:00 PM ET

Zacks Rank: 3-Hold

 
 
#3
 
 

Cash flow Statements

Get Cash flow Statements for:

Annual Cash Flow Statement

Fiscal Year End for ORACLE CORP falls in the month of May.

All data in Millions except Per Share data.

Cash Flow From Operations, Investments & Financial Activities

05/31/12 05/31/11 05/31/10 05/31/09 05/31/08
Cash Flow From Operations, Investments & Financial
Activities
         
Net Income (Loss) 9,981.00 8,547.00 6,135.00 5,593.00 5,521.00
Depreciation/Amortization & Depletion 2,916.00 2,796.00 2,271.00 1,976.00 1,480.00
Net Change from Assets/Liabilities -83.00 -981.00 -410.00 -30.00 -149.00
Net Cash from Discontinued Operations 0.00 0.00 0.00 0.00 0.00
Other Operating Activities 929.00 852.00 685.00 716.00 550.00
Net Cash From Operating Activities 13,743.00 11,214.00 8,681.00 8,255.00 7,402.00
Property & Equipment -648.00 -345.00 -230.00 -529.00 -90.00
Acquisition/ Disposition of Subsidiaries -4,702.00 -1,847.00 -5,606.00 -1,159.00 -7,643.00
Investments -3,031.00 -3,889.00 -4,483.00 -911.00 -1,343.00
Other Investing Activities 0.00 0.00 0.00 0.00 0.00
Net Cash from Investing Activities -8,381.00 -6,081.00 -10,319.00 -2,599.00 -9,076.00

Uses of Funds

05/31/12 05/31/11 05/31/10 05/31/09 05/31/08
Cash Flow From Operations, Investments & Financial
Activities
         
Net Income (Loss) 9,981.00 8,547.00 6,135.00 5,593.00 5,521.00
Depreciation/Amortization & Depletion 2,916.00 2,796.00 2,271.00 1,976.00 1,480.00
Net Change from Assets/Liabilities -83.00 -981.00 -410.00 -30.00 -149.00
Net Cash from Discontinued Operations 0.00 0.00 0.00 0.00 0.00
Other Operating Activities 929.00 852.00 685.00 716.00 550.00
Net Cash From Operating Activities 13,743.00 11,214.00 8,681.00 8,255.00 7,402.00
Property & Equipment -648.00 -345.00 -230.00 -529.00 -90.00
Acquisition/ Disposition of Subsidiaries -4,702.00 -1,847.00 -5,606.00 -1,159.00 -7,643.00
Investments -3,031.00 -3,889.00 -4,483.00 -911.00 -1,343.00
Other Investing Activities 0.00 0.00 0.00 0.00 0.00
Net Cash from Investing Activities -8,381.00 -6,081.00 -10,319.00 -2,599.00 -9,076.00
Issuance (Repurchase) of Capital Stock -5,123.00 216.00 -118.00 -3,212.00 -735.00
Issuance (Repayment) of Debt 295.00 1,211.00 3,638.00 -1,004.00 0.00
Increase (Decrease) Short-Term Debt 0.00 0.00 0.00 0.00 3,611.00
Payment of Dividends & Other Distributions -1,205.00 -1,061.00 -1,004.00 -250.00 0.00
Other Financing Activities -66.00 150.00 148.00 44.00 405.00
Net Cash from Financing Activities -6,099.00 516.00 2,664.00 -4,422.00 3,281.00
Effect of Exchange Rate Changes -471.00 600.00 -107.00 -501.00 437.00
Net Change In Cash & Equivalents -1,208.00 6,249.00 919.00 733.00 2,044.00
Cash at Beginning of Period 16,163.00 9,914.00 8,995.00 8,262.00 6,218.00
Cash at End of Period 14,955.00 16,163.00 9,914.00 8,995.00 8,262.00
Diluted Net EPS 1.96 1.67 1.21 1.09 1.06

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