Updated Jul 1, 2022 03:58 PM ET
This is our short term rating system that serves as a timeliness indicator for stocks over the next 1 to 3 months. How good is it? See rankings and related performance below.
|Zacks Rank||Definition||Annualized Return|
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2-Buy of 5 2
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B Value C Growth C Momentum B VGM
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Cash flow Statements
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Annual Cash Flow Statement
Fiscal Year End for Daimler AG falls in the month of December.
All data in Millions except Per Share data.
Cash Flow From Operations, Investments & Financial Activities
|Cash Flow From Operations, Investments & Financial
|Net Income (Loss)||34,043.70||7,241.04||4,289.60||12,502.96||16,127.32|
|Depreciation/Amortization & Depletion||8,258.04||10,231.58||8,681.12||7,440.41||6,400.86|
|Net Change from Assets/Liabilities||-748.90||6,805.82||-4,656.96||-16,555.35||-18,757.13|
|Net Cash from Discontinued Operations||0.00||0.00||0.00||0.00||0.00|
|Other Operating Activities||-12,508.92||1,231.40||520.80||-2,983.24||-5,634.02|
|Net Cash From Operating Activities||29,043.92||25,509.84||8,834.56||404.77||-1,862.97|
|Property & Equipment||-4,440.17||-6,141.01||-7,582.40||-8,130.76||-6,689.55|
|Acquisition/ Disposition of Subsidiaries||-7,171.95||0.00||0.00||0.00||46.24|
|Other Investing Activities||4,856.63||-3,189.30||-4,105.92||-3,640.55||-3,874.80|
|Net Cash from Investing Activities||-7,365.98||-7,334.71||-11,879.84||-11,707.58||-10,733.50|
Uses of Funds
|Issuance (Repurchase) of Capital Stock||-14.20||1.14||48.16||80.25||81.19|
|Issuance (Repayment) of Debt||-22,080.20||-7,127.95||9,591.68||17,487.62||18,091.78|
|Increase (Decrease) Short-Term Debt||1,730.88||-3,727.33||940.80||3,111.87||846.91|
|Payment of Dividends & Other Distributions||-1,708.40||-1,100.04||-3,894.24||-4,608.22||-3,921.03|
|Other Financing Activities||-476.79||-322.13||-383.04||-463.77||-293.20|
|Net Cash from Financing Activities||-22,548.70||-12,276.30||6,303.36||15,607.75||14,805.65|
|Effect of Exchange Rate Changes||1,029.30||-1,141.16||135.52||156.95||-978.85|
|Net Change In Cash & Equivalents||158.54||4,757.68||3,393.60||4,461.89||1,230.33|
|Cash at Beginning of Period||27,268.09||21,570.05||17,755.36||14,245.93||12,383.33|
|Cash at End of Period||27,426.63||26,327.73||21,148.96||18,707.82||13,613.66|
|Diluted Net EPS||25.44||3.87||2.49||8.00||11.10|