Sun Life Financial Cash Flow Statement 2009-2024 | SLF

Fifteen years of historical annual cash flow statements for Sun Life Financial (SLF).

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
$2,911$3,018$4,067$2,454$2,436$2,709$2,151$2,602$2,270$2,150$1,262$1,959$-638.57$1,636$548
$0$0$0$0$0$0$0$0$0$0.00$0.00$0.00$0.00$58.26$72.18
$-3,147.66$13,859$148$156$188$191$191$-586.04$-1,743.74$0$675$0$0$0$0
$-3,147.66$13,859$148$156$188$191$191$-586.04$-1,743.74$0$675$0$0$58.26$72.18
$0$0$0$0$0$0$0$0$0$0$0$0$0$0$0
$0$0$0$0$0$0$0$0$0$0$0$0$0$0$0
$0$0$0$0$0$0$0$0$0$0$0$0$0$0$0
$-30,720.24$-53,319.41$-48,234.65$-55,162.62$-45,250.66$-47,619.29$-44,156.48$-34,686.34$-33,084.10$0$0$0$0$0$0
$-30,720.24$-53,319.41$-48,234.65$-55,162.62$-45,250.66$-47,619.29$-44,156.48$-34,686.34$-33,084.10$3,821$2,644$0.00$-662.86$2,740$6,784
$4,157$3,316$-1,481.70$5,414$1,919$2,958$1,530$2,770$3,493$1,635$609$748$2,747$2,781$3,123
$-127.42$54.61$-64.63$-117.95$-85.91$-65.58$-140.39$-98.93$-83.00$57.08$-65.08$-181.10$-121.44$0.00$-102.11
$0$0$0$0$0$0$0$0$0$0$0$0$0$0$0
$-105.19$-2,025.30$-328.73$-350.11$-125.85$0$-47.06$-993.84$-452.57$-74.30$-131.13$48.02$0.00$-254.40$-340.67
$0$0$0$0$0$0$0$0$0$0$0$0$0$0$0
$-55.56$-53.07$-23.14$-0.75$14.32$-49.38$-93.34$-276.40$-2.35$0$0$0$0$0$0
$-55.56$-53.07$-23.14$-0.75$14.32$-49.38$-93.34$-276.40$-2.35$0.00$0.00$0.00$0.00$-4,060.72$-2,949.00
$-125.94$-178.45$-224.21$-192.60$-126.60$-101.07$19.29$-60.42$-28.19$5.43$-35.94$-43.02$-204.42$0$354
$-414.11$-2,202.22$-640.71$-661.40$-324.05$-216.02$-261.50$-1,429.59$-566.11$-11.77$-232.16$-176.10$-325.86$-4,315.12$-3,037.91
$-372.62$189$1,071$-582.27$-228.34$-308.60$-310.10$297$-241.95$0$0$0$0$0$0
$-79.27$1,243$-3.19$164$5.28$-30.86$-34.71$-460.67$461$0.00$0.00$0.00$0.00$0.00$0.00
$-451.89$1,432$1,068$-418.04$-223.07$-339.46$-344.82$-163.88$219$227$-7.77$30.01$-929.01$55.34$1,535
$-101.49$4.62$28.72$-135.86$-428.80$-484.50$-123.42$29.45$-131.54$0$0$0$0$0$0
$-101.49$4.62$-1.60$-135.86$-428.80$-484.50$-123.42$29.45$-131.54$-201.15$94.22$10.00$42.50$278$5.28
$-1,394.19$-1,285.33$-1,139.40$-1,015.24$-993.24$-946.63$-890.97$-811.08$-721.14$-802.80$-776.14$-699.41$-687.14$-615.61$-829.24
$-338.55$-206.15$-134.05$-156.77$-190.66$-209.08$-198.25$-219.76$-232.55$-981.30$-326.39$-401.23$106$-291.30$215
$-2,286.11$-54.61$-207.45$-1,725.91$-1,835.77$-1,979.67$-1,557.46$-1,165.27$-866.00$-1,757.83$-1,016.08$-1,060.62$-1,467.40$-573.86$926
$1,332$1,291$-2,357.79$2,958$-383.58$955$-426.58$-2.27$2,465$36.24$-492.49$-519.30$963$-2,190.57$305
$0$0$0$0$0$0$0$0$0$0$0$0$0$0$0
$-1,394.19$-1,285.33$-1,139.40$-1,015.24$-993.24$-946.63$-890.97$-811.08$-721.14$0$0$0$0$0$0