bf/NASDAQ:CSX_icon.jpeg

COM:CSX

CSX

  • Stock

Last Close

35.34

22/11 21:00

Market Cap

64.36B

Beta: -

Volume Today

9.40M

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
1.86B
-
1.93B
3.38%
1.97B
2.13%
1.71B
12.91%
5.47B
219.19%
3.31B
39.52%
3.33B
0.66%
2.77B
16.99%
3.78B
36.75%
4.17B
10.18%
3.71B
10.83%
depreciation and amortization
1.10B
-
1.15B
4.26%
1.21B
4.95%
1.30B
7.70%
1.31B
1.08%
1.33B
1.22%
1.35B
1.35%
1.38B
2.52%
1.42B
2.68%
1.50B
5.63%
1.64B
9.33%
deferred income tax
300M
-
298M
0.67%
456M
53.02%
405M
11.18%
-3.23B
898.27%
279M
108.63%
273M
2.15%
180M
34.07%
167M
7.22%
117M
29.94%
140M
19.66%
stock based compensation
-174M
-
25M
114.37%
104M
316%
-197M
289.42%
-272M
38.07%
-258M
5.15%
-359M
39.15%
-37M
89.69%
-627M
1,594.59%
74M
111.80%
-3.25B
4,489.19%
change in working capital
104M
-
-36M
134.62%
-194M
438.89%
69M
135.57%
35M
49.28%
8M
77.14%
117M
1,362.50%
2M
98.29%
173M
8,550%
91M
47.40%
122M
34.07%
accounts receivables
-6M
-
-119M
1,883.33%
149M
225.21%
84M
43.62%
-70M
183.33%
-46M
34.29%
45M
197.83%
83M
84.44%
-141M
269.88%
-101M
28.37%
-51M
49.50%
inventory
accounts payables
28M
-
1M
96.43%
-79M
8,000%
40M
150.63%
41M
2.50%
104M
153.66%
98M
5.77%
-20M
120.41%
128M
740%
140M
9.38%
83M
40.71%
other working capital
82M
-
82M
0%
-264M
421.95%
-55M
79.17%
64M
216.36%
-50M
178.13%
-26M
48%
-61M
134.62%
186M
404.92%
52M
72.04%
90M
73.08%
other non cash items
69M
-
-22M
131.88%
-172M
681.82%
-251M
45.93%
156M
162.15%
-28M
117.95%
139M
596.43%
-30M
121.58%
185M
716.67%
-329M
277.84%
3.18B
1,066.57%
net cash provided by operating activities
3.27B
-
3.34B
2.33%
3.37B
0.81%
3.04B
9.76%
3.47B
14.17%
4.64B
33.67%
4.85B
4.50%
4.26B
12.10%
5.10B
19.61%
5.62B
10.20%
5.55B
1.25%
investments in property plant and equipment
-2.31B
-
-2.45B
5.88%
-2.56B
4.61%
-2.40B
6.40%
-2.04B
14.93%
-1.75B
14.46%
-1.66B
5.04%
-1.63B
1.87%
-1.79B
10.15%
-2.13B
19.10%
-2.28B
6.94%
acquisitions net
53M
-
62M
16.98%
147M
137.10%
195M
32.65%
319M
-
254M
20.38%
56M
77.95%
-541M
1,066.07%
-227M
58.04%
21M
109.25%
purchases of investments
-1.26B
-
-1.43B
14.09%
-1.74B
21.35%
-929M
46.58%
-782M
15.82%
-736M
5.88%
-2.84B
285.60%
-426M
84.99%
-75M
82.39%
-59M
21.33%
-104M
76.27%
sales maturities of investments
1.40B
-
1.67B
19.49%
1.23B
26.82%
1.32B
8.16%
1.19B
9.96%
505M
57.67%
2.11B
317.43%
1.42B
32.45%
5M
99.65%
9M
80%
153M
1,600%
other investing activites
-112M
-
-37M
66.96%
37M
200%
9M
75.68%
134M
1,388.89%
-27M
120.15%
31M
214.81%
-77M
348.39%
525M
781.82%
279M
46.86%
-76M
127.24%
net cash used for investing activites
-2.23B
-
-2.18B
1.98%
-2.89B
32.48%
-1.80B
37.83%
-1.50B
16.85%
-1.68B
12.64%
-2.10B
24.82%
-649M
69.12%
-1.88B
189.21%
-2.13B
13.53%
-2.29B
7.32%
debt repayment
-780M
-
-933M
19.62%
-229M
75.46%
-1.42B
519.65%
-333M
76.53%
-19M
94.29%
-518M
2,626.32%
-745M
43.82%
-426M
42.82%
-186M
56.34%
-447M
140.32%
common stock issued
500M
-
1B
100%
2.20B
-
850M
61.36%
3B
252.94%
2B
33.33%
1B
50%
422M
-
894M
111.85%
common stock repurchased
-353M
-
-517M
46.46%
-804M
55.51%
-1.06B
31.34%
-1.97B
86.55%
-4.67B
137.11%
-3.37B
27.79%
-867M
74.30%
-2.89B
232.87%
-4.73B
63.93%
-3.48B
26.40%
dividends paid
-600M
-
-629M
4.83%
-686M
9.06%
-680M
0.87%
-708M
4.12%
-751M
6.07%
-763M
1.60%
-797M
4.46%
-839M
5.27%
-852M
1.55%
-882M
3.52%
other financing activites
1M
-
-4M
500%
1.20B
30,100%
-313M
126.08%
-18M
94.25%
-59M
227.78%
6M
110.17%
-34M
666.67%
39M
214.71%
1.58B
3,946.15%
50M
96.83%
net cash used provided by financing activities
-1.23B
-
-1.08B
12.09%
-519M
52.08%
-1.27B
144.32%
-2.18B
71.85%
-2.50B
14.73%
-2.65B
5.92%
-1.44B
45.51%
-4.11B
184.96%
-3.77B
8.34%
-3.87B
2.60%
effect of forex changes on cash
net change in cash
-192M
-
77M
140.10%
-41M
153.25%
-25M
39.02%
-202M
708%
457M
326.24%
100M
78.12%
2.17B
2,071%
-890M
140.99%
-281M
68.43%
-605M
115.30%
cash at beginning of period
784M
-
592M
24.49%
669M
13.01%
628M
6.13%
603M
3.98%
401M
33.50%
858M
113.97%
958M
11.66%
3.13B
226.62%
2.24B
28.44%
1.96B
12.55%
cash at end of period
592M
-
669M
13.01%
628M
6.13%
603M
3.98%
401M
33.50%
858M
113.97%
958M
11.66%
3.13B
226.62%
2.24B
28.44%
1.96B
12.55%
1.35B
30.90%
operating cash flow
3.27B
-
3.34B
2.33%
3.37B
0.81%
3.04B
9.76%
3.47B
14.17%
4.64B
33.67%
4.85B
4.50%
4.26B
12.10%
5.10B
19.61%
5.62B
10.20%
5.55B
1.25%
capital expenditure
-2.31B
-
-2.45B
5.88%
-2.56B
4.61%
-2.40B
6.40%
-2.04B
14.93%
-1.75B
14.46%
-1.66B
5.04%
-1.63B
1.87%
-1.79B
10.15%
-2.13B
19.10%
-2.28B
6.94%
free cash flow
954M
-
894M
6.29%
808M
9.62%
643M
20.42%
1.43B
122.71%
2.90B
102.23%
3.19B
10.26%
2.64B
17.41%
3.31B
25.45%
3.49B
5.38%
3.27B
6.25%

All numbers in (except ratios and percentages)