Franklin Resources Cash Flow Statement 2009-2024 | BEN

Fifteen years of historical annual cash flow statements for Franklin Resources (BEN).

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
2024202320222021202020192018201720162015201420132012201120102009
$608$1,026$1,333$2,095$787$1,206$743$1,790$1,758$2,105$2,412$2,171$1,916$1,821$1,452$904
$517$495$443$389$209$179$157$152$162$210$222$232$212$244$267$181
$-7.50$-496.60$110$-1,135.60$-390.50$-1,264.70$112$-108.80$107$143$-29.20$-40.30$-29.00$94.10$25.30$145
$509$-1.20$552$-746.80$-181.70$-1,085.50$269$43.50$270$353$193$191$183$338$293$327
$-111.80$-63.20$-86.70$-182.50$135$-63.50$-21.60$-161.00$-10.80$45.20$-113.70$-268.10$-222.80$-230.30$-282.30$-121.97
$9.40$2.80$-3.70$12.80$537$142$327$-682.00$-121.90$-157.80$-563.10$-211.50$-780.80$-518.40$-143.00$-397.51
$-36.50$-2.70$60.00$-35.00$-60.60$190$-32.60$63.50$-76.20$-80.40$2.60$53.80$14.40$65.50$83.00$-10.67
$86.50$129$282$115$-10.50$89.40$-19.10$37.20$-76.70$-32.90$192$49.50$-0.10$99.10$155$-34.25
$-145.80$64.70$71.20$-102.40$478$149$1,218$-697.80$-299.60$-205.90$-466.90$-326.20$-1,064.20$-551.60$-93.20$-589.66
$971$1,089$1,957$1,245$1,083$269$2,230$1,135$1,728$2,252$2,138$2,036$1,066$1,622$1,651$641
$-177.10$-148.80$-90.30$-79.30$-103.70$-233.70$-106.50$-74.90$-97.60$-68.80$-53.10$-62.20$-78.40$-131.70$-57.40$-45.18
$0$0$0$0$0$0$0$0$0$0$0$0$0$0$0$0
$175$-500.50$-1,354.70$-9.00$-3,821.40$-493.50$-86.80$-14.00$0$0$0$0.80$0$-111.10$0$0.53
$0$0$0$0$0$0$0$0$0$0$0$0$0$0$0$0
$-1,886.80$-2,729.00$-1,904.10$-2,590.60$-96.20$-548.20$-97.10$226$301$313$367$277$555$429$88.90$283
$-1,886.80$-2,729.00$-1,904.10$-2,590.60$-96.20$-548.20$-97.10$226$301$313$367$277$555$429$88.90$283
$-534.90$-232.00$19.90$63.00$-40.60$0$0$-84.90$-11.60$4.40$76.70$17.70$397$250$-64.20$51.22
$-2,423.70$-3,610.30$-3,329.20$-2,615.90$-4,061.90$-1,275.40$-290.40$52.00$192$249$391$233$873$436$-32.70$290
$2,108$2,310$2,139$2,066$1,056$460$-382.90$-641.60$-93.80$-14.70$-180.00$-743.90$343$-340.20$886$-130.54
$0$0$0$0$0$0$0$0$0$0$0$0$-30.00$-0.10$-34.50$50.70
$2,108$2,310$2,139$2,066$1,056$460$-382.90$-641.60$-93.80$-14.70$-180.00$-743.90$313$-340.30$852$-79.84
$-253.60$-233.00$-155.70$-185.90$-197.60$-731.20$-1,400.00$-740.40$-1,283.90$-1,034.30$-589.60$-449.70$-748.30$-904.60$-634.00$-352.55
$-253.60$-233.00$-155.70$-185.90$-197.60$-731.20$-1,400.00$-740.40$-1,283.90$-1,034.30$-589.60$-449.70$-748.30$-904.60$-634.00$-352.55
$-656.40$-607.30$-583.10$-559.70$-533.20$-518.60$-2,116.90$-441.20$-408.70$-666.40$-290.40$-882.70$-663.00$-216.30$-883.50$-192.78
$218$637$185$710$409$1,130$138$867$-14.30$103$-135.30$58.20$13.30$493$71.10$285
$1,416$2,107$1,585$2,030$734$340$-3,761.70$-956.00$-1,800.70$-1,612.20$-1,195.30$-2,018.10$-1,084.90$-968.20$-594.90$-340.61
$6.50$-380.10$135$657$-2,216.80$-704.00$-1,839.10$266$115$772$1,273$272$853$1,075$1,019$577
$246$183$208$172$122$112$118$123$132$140$128$113$101$88.70$81.70$84.44
$-656.40$-607.30$-583.10$-559.70$-533.20$-518.60$-2,116.90$-441.20$-408.70$-666.40$-290.40$-882.70$-663.00$-216.30$-883.50$-192.78