Textron Cash Flow Statement Analysis

Operating, investing, and financing activities in billions USD

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Cash flow statement showing operating, investing, and financing activities for Textron Inc. (TXT) - Annual data in billions USD
BreakdownFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
Period EndingJan 2026Dec 2024Dec 2023Dec 2022Jan 2022Jan 2021
Operating Activities
Net Income0.920.920.920.860.750.31
Depreciation & Amortization0.400.390.400.400.390.39
Deferred Income Tax-0.02-0.19-0.19-0.220.020.00
Change in Working Capital0.04-0.29-0.040.350.35-0.14
Change in Accounts Receivable0.11-0.10-0.01-0.03-0.060.15
Change in Inventory-0.26-0.19-0.36-0.060.050.43
Change in Accounts Payable0.20-0.070.000.240.01-0.61
Change in Other Working Capital0.120.070.090.180.34-0.04
Other Operating Activities-0.030.430.09-0.120.110.09
Net Cash from Operating Activities1.311.271.271.491.600.77
Investing Activities
Capital Expenditures-0.38-0.40-0.40-0.35-0.38-0.32
Acquisitions0.000.020.00-0.200.00-0.02
Other Investing Activities0.170.070.040.070.030.03
Net Cash from Investing Activities-0.21-0.32-0.32-0.45-0.28-0.25
Financing Activities
Debt Repayment-0.720.30-0.04-0.25-0.62-0.97
Common Stock Issued0.080.070.070.040.120.02
Common Stock Repurchased-0.82-1.17-1.17-0.87-0.92-0.18
Dividends Paid-0.02-0.02-0.02-0.02-0.02-0.02
Other Financing Activities0.03-0.01-0.010.000.000.00
Net Cash from Financing Activities-0.54-0.81-0.81-1.09-1.450.36
Summary
Effect of Forex Changes on Cash0.000.010.01-0.03-0.010.00
Net Change in Cash0.580.150.14-0.08-0.140.90
Cash at Beginning of Period1.442.042.042.122.250.00
Cash at End of Period1.112.182.182.042.120.00
Free Cash Flow0.930.860.861.131.220.45
Supplemental Disclosures
Interest Paid0.000.140.120.120.150.16
Income Taxes Paid0.000.190.350.360.090.04