Oracle Corporation - Depositary Receipt (Common Stock) - Cash Flow Statement (TTM)

Oracle Corporation - Depositary Receipt (Common Stock)
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ARS58,050.00 0.00 (0.00%)
2025-05-08
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Cash Flow Statement (TTM)

Oracle Corporation - Depositary Receipt (Common Stock) Cash Flow Statement shows changes in cash positions over time. Cash Flow Statement data includes Cash from Operating Activities (CFOP), Cash from Investing Activities, and Cash from Financing Activities.

All numbers are times 1,000,000 except per share units.

2020
11-30
2021
02-28
2021
05-31
2021
08-31
2021
11-30
2022
02-28
2022
05-31
2022
08-31
2022
11-30
2023
02-28
2023
05-31
2023
08-31
2023
11-30
2024
02-29
2024
05-31
2024
08-31
2024
11-30
2025
02-28
2025
05-31
Cash From Operating Activities 13,967 14,659 15,887 15,325 10,255 10,396 9,539 10,542 15,073 15,503 17,165 17,745 17,039 18,239 18,673 19,126 20,287 20,745 20,821
Change (%) 4.95 8.38 -3.54 -33.08 1.37 -8.24 10.51 42.98 2.85 10.72 3.38 -3.98 7.04 2.38 2.43 6.07 2.26 0.37
% of Cash Flow 403.55 -972.08 -222.48 -363.41 -101.91 2,879.78 -109.45 -83.59 -135.49 -107.19 -147.74 1,523.18 1,190.71 1,445.25 2,710.16 -1,918.36 752.21 261.77 6,271.39
Cash From Investing Activities -9,579 -13,443 -13,098 -4,224 2,654 8,470 11,220 -17,435 -30,823 -36,033 -36,484 -8,610 -7,201 -6,206 -7,360 -8,563 -11,102 -15,295 -21,711
Change (%) 40.34 -2.57 -67.75 -162.83 219.14 32.47 -255.39 76.79 16.90 1.25 -76.40 -16.36 -13.82 18.59 16.35 29.65 37.77 41.95
% of Cash Flow -276.77 891.45 183.42 100.17 -26.37 2,346.26 -128.74 138.25 277.06 249.14 314.03 -739.06 -503.21 -491.76 -1,068.21 858.88 -411.64 -193.00 -6,539.46
Cash From Financing Activities -1,083 -3,043 -10,378 -15,353 -22,852 -18,302 -29,126 -5,348 4,850 6,324 7,910 -7,928 -8,362 -10,720 -10,554 -11,611 -6,384 2,638 1,098
Change (%) 180.98 241.05 47.94 48.84 -19.91 59.14 -81.64 -190.69 30.39 25.08 -200.23 5.47 28.20 -1.55 10.02 -45.02 -141.32 -58.38
% of Cash Flow -31.29 201.79 145.33 364.07 227.09 -5,069.81 334.21 42.41 -43.60 -43.73 -68.08 -680.52 -584.35 -849.45 -1,531.79 1,164.59 -236.71 33.29 330.72
Cash Flow 3,461 -1,508 -7,141 -4,217 -10,063 361 -8,715 -12,611 -11,125 -14,463 -11,618 1,165 1,431 1,262 689 -997 2,697 7,925 332
Change (%) -143.57 373.54 -40.95 138.63 -103.59 -2,514.13 44.70 -11.78 30.00 -19.67 -110.03 22.83 -11.81 -45.40 -244.70 -370.51 193.85 -95.81
% of Cash Flow 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00

Source: Capital IQ

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