Anheuser-Busch Cash Flow Statement 2009-2024 | BUD

Fifteen years of historical annual cash flow statements for Anheuser-Busch (BUD).

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
$6,891$7,597$6,114$147$9,990$5,157$9,183$2,769$9,867$11,302$16,518$9,325$7,859$5,762$5,877
$5,411$5,078$5,052$4,829$4,657$4,624$4,276$3,477$3,153$3,353$2,985$2,747$2,783$2,788$2,818
$8,771$7,266$7,640$12,279$7,012$11,446$8,208$10,095$3,706$3,676$-2,265.00$3,656$4,737$5,715$0
$14,182$12,344$12,692$17,108$11,669$16,070$12,484$13,572$6,859$7,029$720$6,403$7,520$8,503$2,818
$-1,147.00$-48.00$164$516$-258.00$-105.00$67.00$-714.00$-138.00$-371.00$-25.00$-102.00$174$-190.00$0
$717$-1,547.00$-1,232.00$-427.00$-426.00$-588.00$-213.00$-364.00$-424.00$-354.00$-129.00$-130.00$-157.00$-134.00$0
$-1,110.00$1,249$3,527$503$679$1,170$365$1,251$2,348$1,540$1,020$1,331$1,392$550$0
$-419.00$-351.00$-375.00$-616.00$-715.00$-487.00$-616.00$-470.00$-449.00$-458.00$-653.00$-621.00$-710.00$-519.00$0
$-1,959.00$-697.00$2,084$-24.00$-720.00$-10.00$-397.00$-297.00$1,337$357$213$478$699$-293.00$239
$13,265$13,298$14,799$10,891$14,036$14,181$15,430$10,110$14,121$14,144$13,864$13,268$12,486$9,905$9,124
$-4,482.00$-4,838.00$-5,498.00$-3,687.00$-4,854.00$-4,568.00$-4,124.00$-4,768.00$-4,337.00$-4,122.00$-3,612.00$-3,089.00$-3,256.00$-2,123.00$-1,386.00
$0$0$0$0$0$0$0$0$0$0$0$0$0$0$0
$9.00$-70.00$-444.00$10,315$-110.00$-329.00$11,141$-49,616.00$-918.00$-6,700.00$-17,397.00$-1,412.00$-25.00$-3.00$6,437
$0$0$0$0$0$-156.00$4,550$-5,812.00$123$-188.00$6,838$-6,688.00$539$-588.00$0
$0$0$0$0$0$0$0$0$0$0$0$0$0$0$0
$0$0$0$0$0$-156.00$4,550$-5,812.00$123$-188.00$6,838$-6,688.00$539$-588.00$29.00
$119$288$65.00$-292.00$33.00$1,196$-3,713.00$119$202$-50.00$3,890$-152.00$11.00$168$189
$-4,354.00$-4,620.00$-5,878.00$6,336$-4,931.00$-3,857.00$7,854$-60,077.00$-4,930.00$-11,060.00$-10,281.00$-11,341.00$-2,731.00$-2,546.00$5,269
$-2,896.00$-7,174.00$-8,511.00$-8,294.00$-8,008.00$-4,707.00$-9,981.00$62,675$457$3,223$4,458$3,649$-4,558.00$-4,290.00$0
$-780.00$-610.00$-531.00$-461.00$-441.00$-423.00$0$0$0$0$0$0$0$0$0.00
$-3,676.00$-7,784.00$-9,042.00$-8,755.00$-8,449.00$-5,130.00$-9,981.00$62,675$457$3,223$4,458$3,649$-4,558.00$-4,290.00$-11,797.00
$-362.00$0$0$0$5,575$0$0$0$-995.00$83.00$73.00$102$155$215$0
$-362.00$0$0$0$5,575$0$0$0$-995.00$83.00$73.00$102$155$215$76.00
$-3,013.00$-2,442.00$-2,364.00$-1,800.00$-5,015.00$-7,761.00$-9,275.00$-8,450.00$-7,966.00$-7,400.00$-6,253.00$-3,632.00$-3,088.00$-1,924.00$-1,313.00
$-1,545.00$-394.00$-192.00$2,080$-866.00$-1,436.00$-1,748.00$-3,494.00$-777.00$147$2,063$43.00$-1,505.00$-758.00$-62.00
$-8,596.00$-10,620.00$-11,598.00$-8,475.00$-8,755.00$-14,327.00$-21,004.00$50,731$-9,281.00$-3,947.00$341$162$-8,996.00$-6,757.00$-13,096.00
$424$-2,153.00$-3,204.00$8,078$209$-3,396.00$1,961$1,485$-1,406.00$-1,517.00$2,782$1,739$815$836$1,490
$570$448$510$169$340$333$351$231$221$249$240$201$203$156$0
$-3,013.00$-2,442.00$-2,364.00$-1,800.00$-5,015.00$-7,761.00$-9,275.00$-8,450.00$-7,966.00$-7,400.00$-6,253.00$-3,632.00$-3,088.00$-1,924.00$0