AbbVie Cash Flow Statement 2009-2024 | ABBV

Fifteen years of historical annual cash flow statements for AbbVie (ABBV).

Annual Data | Millions of US $ except per share data

Metric Name
Net Income/Loss
Total Depreciation And Amortization - Cash Flow
Other Non-Cash Items
Total Non-Cash Items
Change In Accounts Receivable
Change In Inventories
Change In Accounts Payable
Change In Assets/Liabilities
Total Change In Assets/Liabilities
Cash Flow From Operating Activities
Net Change In Property, Plant, And Equipment
Net Change In Intangible Assets
Net Acquisitions/Divestitures
Net Change In Short-term Investments
Net Change In Long-Term Investments
Net Change In Investments - Total
Investing Activities - Other
Cash Flow From Investing Activities
Net Long-Term Debt
Net Current Debt
Debt Issuance/Retirement Net - Total
Net Common Equity Issued/Repurchased
Net Total Equity Issued/Repurchased
Total Common And Preferred Stock Dividends Paid
Financial Activities - Other
Cash Flow From Financial Activities
Net Cash Flow
Stock-Based Compensation
Common Stock Dividends Paid
202320222021202020192018201720162015201420132012201120102009
$4,873$11,845$11,549$4,622$7,882$5,687$5,309$5,953$5,144$1,774$4,128$5,275$3,433$4,178$4,637
$8,698$8,467$8,521$6,471$2,017$1,765$1,501$1,189$836$786$897$1,150$1,272$1,184$697
$6,680$4,875$4,151$5,526$4,833$5,508$3,057$1,198$562$1,343$550$475$836$480$-470.41
$15,378$13,342$12,672$11,997$6,850$7,273$4,558$2,387$1,398$2,129$1,447$1,625$2,108$1,664$227
$66.00$-1,455.00$-1,321.00$-929.00$-74.00$-591.00$-391.00$-71.00$-1,076.00$-172.00$681$223$-498.00$-60.00$-322.19
$-417.00$-686.00$-142.00$-40.00$-231.00$-226.00$93.00$-38.00$-434.00$-203.00$-56.00$-203.00$-87.00$-73.00$165
$3,840$1,769$1,719$1,514$97.00$734$425$-1,187.00$1,503$-193.00$-426.00$-731.00$1,497$-695.00$210
$-413.00$-414.00$-410.00$997$-182.00$-124.00$-34.00$-3.00$1,000$214$493$156$-206.00$-38.00$450
$2,588$-244.00$-1,444.00$969$-1,408.00$467$93.00$-1,299.00$993$-354.00$692$-555.00$706$-866.00$504
$22,839$24,943$22,777$17,588$13,324$13,427$9,960$7,041$7,535$3,549$6,267$6,345$6,247$4,976$5,367
$-777.00$-695.00$-787.00$-798.00$-552.00$-638.00$-529.00$-479.00$-532.00$-612.00$-491.00$-333.00$-356.00$-448.00$-312.57
$0$0$0$0$0$0$0$0$0$0$0$0$0$0$0
$-1,223.00$-794.00$-1,902.00$-39,610.00$-1,135.00$-736.00$-308.00$-2,757.00$-12,452.00$-622.00$-405.00$-688.00$-273.00$-2,621.00$-170.00
$0$0$0$0$0$0$0$0$0$0$0$0$0$0$0
$-22.00$92.00$-21.00$1,464$2,116$368$563$-2,956.00$48.00$308$1,775$-1,397.00$-688.00$-92.00$-4.21
$-22.00$92.00$-21.00$1,464$2,116$368$563$-2,956.00$48.00$308$1,775$-1,397.00$-688.00$-92.00$-4.21
$13.00$774$366$1,387$167$0$0$118$0$0$0$0$1,870$-1,870.00$0.42
$-2,009.00$-623.00$-2,344.00$-37,557.00$596$-1,006.00$-274.00$-6,074.00$-12,936.00$-926.00$879$-2,418.00$553$-5,031.00$-486.36
$-4,149.00$-12,433.00$-8,414.00$-2,683.00$29,946$-72.00$-25.00$5,617$16,642$-17.00$0$14,586$0$0$-34.77
$0$0$0$0$-3,699.00$3,301$23.00$-23.00$-19.00$12.00$-601.00$1,000$0$0$0
$-4,149.00$-12,433.00$-8,414.00$-2,683.00$26,247$3,229$-2.00$5,594$16,623$-5.00$-601.00$15,586$0$0$-34.77
$-1,792.00$-1,225.00$-690.00$-769.00$-621.00$-11,941.00$-1,156.00$-5,765.00$-7,431.00$-433.00$27.00$0$0$0$0
$-1,792.00$-1,225.00$-690.00$-769.00$-621.00$-11,941.00$-1,156.00$-5,765.00$-7,431.00$-433.00$27.00$0$0$0$0
$-10,539.00$-10,043.00$-9,261.00$-7,716.00$-6,366.00$-5,580.00$-4,107.00$-3,717.00$-3,294.00$-2,661.00$-2,555.00$0$0$0$0
$-742.00$-1,102.00$-674.00$-333.00$-552.00$-104.00$-247.00$-40.00$-146.00$-194.00$-313.00$-13,655.00$-6,783.00$65.00$-4,846.39
$-17,222.00$-24,803.00$-19,039.00$-11,501.00$18,708$-14,396.00$-5,512.00$-3,928.00$5,752$-3,293.00$-3,442.00$1,931$-6,783.00$65.00$-4,881.15
$3,613$-545.00$1,297$-31,475.00$32,635$-2,014.00$4,203$-3,299.00$51.00$-1,247.00$3,694$5,874$17.00$10.00$-0.17
$747$671$692$753$430$421$365$353$282$241$212$187$163$167$157
$-10,539.00$-10,043.00$-9,261.00$-7,716.00$-6,366.00$-5,580.00$-4,107.00$-3,717.00$-3,294.00$-2,661.00$-2,555.00$0.00$0.00$0$0