bf/NYSE:CAT_icon.png

COM:CATERPILLAR

Caterpillar Inc.

  • Stock

Last Close

389.59

22/11 21:00

Market Cap

160.64B

Beta: -

Volume Today

1.89M

Avg: -

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
3.80B
-
3.71B
2.42%
2.52B
32.01%
-59M
102.34%
759M
1,386.44%
6.15B
710.01%
6.09B
0.88%
3.00B
50.72%
6.49B
116.22%
6.70B
3.25%
10.34B
54.16%
depreciation and amortization
3.09B
-
3.16B
2.46%
3.05B
3.70%
3.03B
0.39%
2.88B
5.17%
2.77B
3.86%
2.58B
6.83%
2.43B
5.63%
2.35B
3.29%
2.22B
5.65%
2.14B
3.38%
deferred income tax
-307M
-
-431M
40.39%
1.21B
381.44%
220M
81.86%
28M
87.27%
-74M
364.29%
-383M
417.57%
-377M
1.57%
-592M
57.03%
stock based compensation
179M
-
1.58B
782.68%
301M
80.95%
495M
64.45%
468M
5.45%
384M
17.95%
-833M
316.93%
193M
123.17%
208M
7.77%
change in working capital
2.82B
-
630M
77.65%
781M
23.97%
628M
19.59%
-194M
130.89%
-4.08B
2,001.55%
-2.93B
28.13%
-418M
85.73%
-647M
54.78%
-1.80B
178.21%
151M
108.39%
accounts receivables
328M
-
712M
117.07%
173M
75.70%
-244M
241.04%
-308M
26.23%
-3.02B
881.82%
-2.17B
28.27%
-356M
83.59%
-136M
61.80%
-220M
61.76%
-437M
98.64%
inventory
2.66B
-
101M
96.20%
2.27B
2,151.49%
1.11B
51.23%
-1.29B
216.77%
-1.58B
21.93%
274M
117.35%
-34M
112.41%
-2.59B
7,505.88%
-2.59B
0.12%
-364M
85.94%
accounts payables
134M
-
410M
205.97%
-1.17B
384.15%
-200M
82.83%
1.48B
839%
709M
52.03%
-1.02B
244.57%
98M
109.56%
2.04B
1,982.65%
798M
60.90%
-754M
194.49%
other working capital
-301M
-
-593M
97.01%
-501M
15.51%
-37M
92.61%
-69M
86.49%
-183M
165.22%
-10M
94.54%
-126M
1,160%
34M
126.98%
211M
520.59%
1.71B
708.53%
other non cash items
482M
-
553M
14.73%
453M
18.08%
856M
88.96%
746M
12.85%
1.01B
34.85%
675M
32.90%
1B
48.15%
216M
78.40%
827M
282.87%
639M
22.73%
net cash provided by operating activities
10.19B
-
8.06B
20.94%
6.67B
17.15%
5.61B
15.99%
5.70B
1.68%
6.56B
15.01%
6.91B
5.40%
6.33B
8.46%
7.20B
13.77%
7.77B
7.89%
12.88B
65.92%
investments in property plant and equipment
-4.45B
-
-3.38B
24.00%
-3.26B
3.49%
-2.93B
10.21%
-2.34B
20.22%
-2.92B
24.83%
-2.67B
8.47%
-2.12B
20.76%
-2.47B
16.88%
-2.60B
5.14%
-3.09B
18.97%
acquisitions net
365M
-
199M
45.48%
178M
10.55%
-210M
217.98%
100M
147.62%
16M
84%
41M
156.25%
25M
39.02%
36M
44%
1M
97.22%
702M
70,100%
purchases of investments
-597M
-
-855M
43.22%
-885M
3.51%
-582M
34.24%
-1.11B
90.21%
-898M
18.88%
-644M
28.29%
-749M
16.30%
-2.26B
201.20%
-3.17B
40.29%
-4.41B
39.18%
sales maturities of investments
449M
-
810M
80.40%
351M
56.67%
694M
97.72%
932M
34.29%
442M
52.58%
574M
29.86%
345M
39.90%
785M
127.54%
2.38B
203.57%
1.89B
20.65%
other investing activites
-817M
-
-402M
50.80%
100M
124.88%
1.27B
1,166%
1.42B
11.93%
144M
89.84%
770M
434.72%
1.01B
31.04%
823M
18.43%
839M
1.94%
-967M
215.26%
net cash used for investing activites
-5.05B
-
-3.63B
28.12%
-3.52B
3.03%
-1.76B
49.96%
-994M
43.52%
-3.21B
223.14%
-1.93B
39.98%
-1.49B
22.98%
-3.08B
107.68%
-2.54B
17.61%
-5.87B
131.05%
debt repayment
-10.87B
-
-9.25B
14.92%
-8.29B
10.34%
-6.57B
20.83%
-8.38B
27.71%
-7.83B
6.62%
-8.30B
5.98%
-8.24B
0.72%
-9.80B
18.93%
-7.73B
21.11%
-594M
92.31%
common stock issued
128M
-
239M
86.72%
33M
86.19%
5.25B
15,824.24%
566M
89.23%
313M
44.70%
238M
23.96%
229M
3.78%
135M
41.05%
51M
62.22%
12M
76.47%
common stock repurchased
-2B
-
-4.24B
111.90%
-2.02B
52.22%
-23M
98.86%
6.00B
26,208.70%
-3.80B
163.25%
-4.05B
6.56%
-1.13B
72.08%
-2.67B
136.11%
-4.23B
58.55%
-4.97B
17.61%
dividends paid
-1.11B
-
-1.62B
45.81%
-1.76B
8.46%
-1.80B
2.39%
-1.83B
1.78%
-1.95B
6.55%
-2.13B
9.28%
-2.24B
5.21%
-2.33B
3.97%
-2.44B
4.63%
-2.56B
5.04%
other financing activites
9.34B
-
11.87B
27.07%
8.17B
31.17%
20M
99.76%
-9M
145%
9.62B
106,933.33%
9.70B
0.88%
7.63B
21.38%
10.47B
37.33%
7.07B
32.53%
1.19B
83.19%
net cash used provided by financing activities
-4.51B
-
-3.00B
33.58%
-3.87B
29.17%
-3.11B
19.59%
-3.65B
17.38%
-3.65B
0.08%
-4.54B
24.33%
-3.75B
17.25%
-4.19B
11.53%
-7.28B
73.85%
-6.93B
4.79%
effect of forex changes on cash
-43M
-
-174M
304.65%
-169M
2.87%
-28M
83.43%
38M
235.71%
-126M
431.58%
-44M
65.08%
-13M
70.45%
-29M
123.08%
-194M
568.97%
-110M
43.30%
net change in cash
591M
-
1.26B
113.20%
-881M
169.92%
708M
180.36%
1.09B
54.38%
-430M
139.34%
402M
193.49%
1.07B
167.16%
-103M
109.59%
-2.25B
2,084.47%
-26M
98.84%
cash at beginning of period
5.49B
-
6.08B
10.77%
7.34B
20.72%
6.46B
12.00%
7.17B
10.96%
8.32B
16.07%
7.89B
5.17%
8.29B
5.10%
9.37B
12.95%
9.26B
1.10%
7.00B
24.39%
cash at end of period
6.08B
-
7.34B
20.72%
6.46B
12.00%
7.17B
10.96%
8.26B
15.25%
7.89B
4.49%
8.29B
5.10%
9.37B
12.95%
9.26B
1.10%
7.01B
24.29%
6.98B
0.50%
operating cash flow
10.19B
-
8.06B
20.94%
6.67B
17.15%
5.61B
15.99%
5.70B
1.68%
6.56B
15.01%
6.91B
5.40%
6.33B
8.46%
7.20B
13.77%
7.77B
7.89%
12.88B
65.92%
capital expenditure
-4.45B
-
-3.38B
24.00%
-3.26B
3.49%
-2.93B
10.21%
-2.34B
20.22%
-2.92B
24.83%
-2.67B
8.47%
-2.12B
20.76%
-2.47B
16.88%
-2.60B
5.14%
-3.09B
18.97%
free cash flow
5.75B
-
4.68B
18.57%
3.41B
27.02%
2.68B
21.50%
3.37B
25.60%
3.64B
8.20%
4.24B
16.50%
4.21B
0.73%
4.73B
12.20%
5.17B
9.33%
9.79B
89.53%

All numbers in (except ratios and percentages)