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Investor Relations

Cash Flows Statements

(In millions) (Unaudited)

Three Months Ended
March 31,
Nine Months Ended
March 31,
2025 2024 2025 2024
Operations
Net income
$ 25,824
$ 21,939
$ 74,599
$ 66,100
Adjustments to reconcile net income to net cash from operations:
Depreciation, amortization, and other
8,740
6,027
22,950
15,907
Stock-based compensation expense
2,980
2,703
8,901
8,038
Net recognized losses (gains) on investments and derivatives
(298)
49
553
261
Deferred income taxes
(2,244)
(1,323)
(4,835)
(3,593)
Changes in operating assets and liabilities:
Accounts receivable
(2,461)
(2,028)
5,598
6,055
Inventories
52
260
390
1,229
Other current assets
1,076
951
642
880
Other long-term assets
(518)
(2,137)
(3,368)
(5,577)
Accounts payable
1,179
648
1,221
(659)
Unearned revenue
(1,032)
(645)
(12,923)
(10,309)
Income taxes
1,298
2,622
(1,081)
2,493
Other current liabilities
2,839
2,803
576
215
Other long-term liabilities
(391)
48
292
313
Net cash from operations
37,044
31,917
93,515
81,353
Financing
Proceeds from issuance (repayments) of debt, maturities of 90 days or less, net
0
(3,810)
(5,746)
6,392
Proceeds from issuance of debt
0
6,352
0
24,198
Repayments of debt
(2,250)
(11,589)
(3,216)
(16,005)
Common stock issued
546
522
1,508
1,468
Common stock repurchased
(4,781)
(4,213)
(13,874)
(13,044)
Common stock cash dividends paid
(6,169)
(5,572)
(17,913)
(16,197)
Other, net
(382)
(498)
(1,614)
(1,006)
Net cash used in financing
(13,036)
(18,808)
(40,855)
(14,194)
Investing
Additions to property and equipment
(16,745)
(10,952)
(47,472)
(30,604)
Acquisition of companies, net of cash acquired and divestitures, and purchases of intangible and other assets
(981)
(1,575)
(4,235)
(67,790)
Purchases of investments
(4,474)
(2,183)
(8,144)
(14,901)
Maturities of investments
6,721
3,350
11,461
23,218
Sales of investments
2,161
1,941
6,688
8,871
Other, net
604
(1,281)
(325)
(916)
Net cash used in investing
(12,714)
(10,700)
(42,027)
(82,122)
Effect of foreign exchange rates on cash and cash equivalents
52
(80)
(120)
(107)
Net change in cash and cash equivalents
11,346
2,329
10,513
(15,070)
Cash and cash equivalents, beginning of period
17,482
17,305
18,315
34,704
Cash and cash equivalents, end of period
$ 28,828
$ 19,634
$ 28,828
$ 19,634
IMPORTANT NOTICE TO USERS (summary only, click here for full text of notice) All information is unaudited unless otherwise noted or accompanied by an audit opinion and is subject to the more comprehensive information contained in our SEC reports and filings. We do not endorse third-party information. All information speaks as of the last fiscal quarter or year for which we have filed a Form 10-K or 10-Q, or for historical information the date or period expressly indicated in or with such information. We undertake no duty to update the information. Forward-looking statements are subject to risks and uncertainties described in our Forms 10-Q and 10-K.
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