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State Street Corp (STT)

State Street Corp (STT)
87.57 x 1 90.40 x 1
Post-market by (Cboe BZX)
89.04 -2.74 (-2.99%) 03/28/25 [NYSE]
87.57 x 1 90.40 x 1
Post-market 89.00 -0.04 (-0.04%) 16:56 ET
Cash Flow for Fri, Mar 28th, 2025
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Fiscal Year End Date: 12/31

(Values in U.S. thousands)
  12-2024 12-2023 12-2022 12-2021 12-2020
Cash Flows From Operating Activities
Net Income 2,687,000 1,944,000 2,774,000 2,693,000 2,420,000
Depreciation Amortization 605,000 882,000 1,156,000 1,557,000 1,510,000
Income taxes - deferred 145,000 -184,000 -62,000 -162,000 -194,000
Other Working Capital -17,104,000 -2,549,000 7,626,000 -11,109,000 -649,000
Other Operating Activity 457,000 597,000 460,000 311,000 445,000
Operating Cash Flow $-13,210,000 $690,000 $11,954,000 $-6,710,000 $3,532,000
Cash Flows From Investing Activities
Change In Deposits -25,279,000 12,451,000 2,562,000 10,696,000 -49,614,000
PPE Investments -926,000 -816,000 -734,000 -811,000 -560,000
Net Acquisitions -194,000 -61,000 N/A -333,000 N/A
Purchase Of Investment -44,449,000 -24,807,000 -26,843,000 -62,549,000 -82,532,000
Sale Of Investment 38,820,000 30,094,000 31,661,000 55,191,000 67,452,000
Net Loans -7,123,000 -4,240,000 119,000 -4,607,000 -1,615,000
Other Investing Activity -332,000 117,000 51,000 241,000 1,335,000
Investing Cash Flow $-39,483,000 $12,738,000 $6,816,000 $-2,172,000 $-65,534,000
Cash Flows From Financing Activities
Change In Short Term Borrowing 6,180,000 1,563,000 1,969,000 -3,859,000 3,148,000
Debt Issued 8,337,000 6,911,000 3,333,000 -495,000 4,800,000
Debt Repayment -2,046,000 -2,545,000 -1,567,000 -1,443,000 -1,724,000
Common Stock Issued N/A N/A N/A 1,900,000 N/A
Common Stock Repurchased -1,402,000 -3,876,000 -1,623,000 -939,000 -593,000
Dividend Paid -1,033,000 -970,000 -972,000 -866,000 -889,000
Other Financing Activity 803,000 57,000 0 -500,000 -500,000
Financing Cash Flow $51,791,000 $-13,351,000 $-18,431,000 $9,046,000 $62,167,000
Beginning Cash Position 4,047,000 3,970,000 3,631,000 3,467,000 3,302,000
End Cash Position 3,145,000 4,047,000 3,970,000 3,631,000 3,467,000
Net Cash Flow $-902,000 $77,000 $339,000 $164,000 $165,000
Free Cash Flow
Operating Cash Flow -13,210,000 690,000 11,954,000 -6,710,000 3,532,000
Capital Expenditure -926,000 -816,000 -734,000 -811,000 -560,000
Free Cash Flow -14,136,000 -126,000 11,220,000 -7,521,000 2,972,000
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