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Pre-market
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94.54000 EUR
1.13
1.21%
Last update Dec 30, 1:12 PM CET
Market closed
Day range
92.87000
94.81000
Previous close
93.41000
Open
93.86000
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Citigroup Inc.
94.54
1.13
1.21%

Financials

Cash flow

Fundamentals currency is USD
Fiscal date 2025 2024 2023 2022
Operating activities -78.0B -25.0B -83.2B 15.2B
Net income 14.3B 10.9B 9.2B 15.1B
Depreciation 4.4B 3.7B 4.6B 4.3B
Deferred taxes 452M -1.6B -2.4B -1.1B
StockBased compensation
Other non cash items -14.1B 12.0B 6.7B -18.1B
Accounts receivable
Accounts payable
Other assets liabilities -83B -50.0B -101.3B 15.1B
Investing activities 50.9B 31.7B 18.1B -23.8B
Capital expenditures 62M 190.4M 56M 63M
Net intangibles
Net acquisitions 0 0 -1.4B 5.7B
Purchase of investments -281.5B -229.3B -236.5B -261.7B
Sale of investments 330.2B 258.7B 255.2B 232.8B
Other investing activity 2.2B 2.2B 835M -791M
Financing activities 6.7B 7.9B -17.7B 58.2B
Long term debt issuance 122.0B 85.0B 65.8B 104.7B
Long term debt payments -103.3B -79.7B -65.0B -57.1B
Short term debt issuance 3.4B 9.5B -9.6B 19.1B
Common stock issuance 7.2B 4.5B 2.7B 0
Common stock repurchase -18.3B -6.5B -6.1B -3.3B
Common dividends -5.4B -4.5B -5.2B -5.0B
Other financing charges 1.1B -389.3M -329M -344M
End cash position 349.6B 237.1B 260.9B 342.0B
Income tax paid 6.5B 5.0B 5.7B 3.7B
Interest paid 81.0B 75.5B 73.0B 22.6B
Free cash flow -74.2B -22.4B -80.0B 19.4B
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