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Citizens Financial Group, Inc.

CFG-PE Stock Analysis

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Breakdown
2014
2015
2016
2017
2018
2019
2020
2021
2022
2023
Net Income
865.000M840.000M1.045B1.652B1.721B1.791B1.057B2.319B2.073B1.608B
Depreciation & Amortization
386.000M471.000M523.000M502.000M489.000M633.000M578.000M625.000M565.000M478.000M
Change in Working Capital
-56.000m-628.000m-333.000m-621.000m-914.000m-525.000m-2.978b-962.000m-858.000m273.000M
Operating Cash Flow
1.390B1.229B1.490B1.883B1.767B1.697B111.000M2.275B4.119B2.961B
Capital Expenditure
-311.000m-299.000m-303.000m-440.000m-485.000m-366.000m-118.000m-124.000m-126.000m-172.000m
Free Cash Flow
1.079B930.000M1.187B1.443B1.282B1.331B-7.000m2.151B3.993B2.789B
Debt Repayment
-6.000m-766.000m-8.429b-12.751b-14.837b-14.857b-14.061b-1.506b-19.786b-28.418b
Dividends Paid
-806.000m-221.000m-255.000m-336.000m-485.000m-682.000m-770.000m-783.000m-892.000m-928.000m
Common Stock Issued
0.00027.000M22.000M15.356B22.712B18.270B30.569B7.493B0.00023.103B
Common Stock Repurchased
-334.000m-500.000m-430.000m-820.000m-1.025b-1.220b-270.000m-545.000m-153.000m-906.000m
Net Change in Cash
519.000M-191.000m619.000M-672.000m1.042B-688.000m9.347B-3.575b1.389B1.081B