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Xerox Holdings Corporation

XRX Stock Analysis

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Breakdown
2014
2015
2016
2017
2018
2019
2020
2021
2022
2023
Net Income
992.000M506.000M627.000M204.000M374.000M651.000M192.000M-455.000m-322.000m1.000M
Depreciation & Amortization
1.426B1.190B563.000M527.000M526.000M430.000M368.000M327.000M270.000M260.000M
Change in Working Capital
-718.000m-246.000m-595.000m-242.000m95.000M53.000M-136.000m123.000M-172.000m256.000M
Operating Cash Flow
2.063B1.611B1.018B34.000M1.140B1.333B548.000M629.000M159.000M686.000M
Capital Expenditure
-452.000m-342.000m-138.000m-105.000m-90.000m-65.000m-74.000m-68.000m-57.000m-37.000m
Free Cash Flow
1.611B1.269B880.000M-71.000m1.050B1.268B474.000M561.000M102.000M649.000M
Debt Repayment
-175.000m-1.302b-988.000m-1.832b-307.000m-950.000m-2.226b-519.000m-529.000m-478.000m
Dividends Paid
-313.000m-326.000m-331.000m-291.000m-269.000m-243.000m-230.000m-206.000m-174.000m-165.000m
Common Stock Issued
55.000M19.000M9.000M1.010B0.0000.0002.359B311.000M0.0000.000
Common Stock Repurchased
-1.112b-1.353b-1.000m-15.000m-700.000m-600.000m-300.000m-888.000m-113.000m-544.000m
Net Change in Cash
-353.000m-43.000m995.000M-930.000m-220.000m1.647B-104.000m-782.000m-770.000m-511.000m