US Stock MarketDetailed Quotes

Baxter International Inc (BAX)

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  • 17.300
  • -0.480-2.70%
Close May 15 16:00 ET
  • 17.450
  • +0.150+0.87%
Post 20:01 ET
8.93BMarket Cap-8.05P/E (TTM)

Baxter International Inc (BAX) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2026
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
315.15%213M
16.12%951M
34.54%596M
-31.50%237M
686.49%217M
-247.76%-99M
-32.15%819M
6.75%443M
2,783.33%346M
-111.90%-37M
Net income from continuing operations
-126.56%-17M
-176.07%-900M
-112.09%-1.04B
-183.61%-51M
28.42%122M
966.67%64M
-280.11%-326M
-322.83%-488M
-60.65%61M
149.22%95M
Operating gains losses
50.00%-4M
-71.43%-48M
-242.86%-24M
-60.00%-8M
11.11%-8M
-14.29%-8M
3.45%-28M
30.00%-7M
54.55%-5M
-125.00%-9M
Depreciation and amortization
-4.05%237M
-1.60%981M
-2.04%240M
-6.69%237M
13.22%257M
-8.86%247M
1.32%997M
-7.20%245M
176.09%254M
-27.94%227M
Deferred tax
120.42%29M
129.39%77M
252.38%192M
213.64%50M
32.35%-23M
-144.83%-142M
-2.34%-262M
-641.18%-126M
46.99%-44M
64.21%-34M
Other non cash items
116.67%13M
-26.83%30M
-61.90%8M
140.00%2M
-30.00%14M
20.00%6M
-33.87%41M
-43.24%21M
16.67%-5M
17.65%20M
Change In working capital
81.54%-55M
54.24%-108M
41.84%400M
-660.00%-28M
48.88%-182M
-78.44%-298M
-246.58%-236M
416.85%282M
-95.24%5M
-862.16%-356M
-Change in receivables
484.62%152M
-277.14%-132M
-388.89%-88M
80.95%-4M
45.45%-66M
-79.20%26M
7.89%-35M
80.00%-18M
58.00%-21M
-163.04%-121M
-Change in inventory
22.13%-95M
40.80%-119M
1,247.62%241M
-912.50%-81M
-481.48%-157M
15.86%-122M
-57.03%-201M
-162.50%-21M
-108.99%-8M
41.30%-27M
-Change in prepaid assets
108.33%2M
157.60%72M
262.50%104M
-13.51%-42M
270.00%34M
-500.00%-24M
-177.78%-125M
-1,500.00%-64M
-1,750.00%-37M
-150.00%-20M
-Change in payables and accrued expense
20.47%-101M
-2.56%152M
-54.49%157M
8.70%125M
98.36%-3M
-4.96%-127M
-59.48%156M
1,032.43%345M
9.52%115M
-438.89%-183M
-Change in other working capital
74.51%-13M
-161.29%-81M
-135.00%-14M
40.91%-26M
300.00%10M
-131.82%-51M
-138.46%-31M
-20.00%40M
-18.92%-44M
-155.56%-5M
Cash from discontinued investing activities
0
-153.00%-106M
-126.67%-12M
0
0
-197.92%-94M
-61.46%200M
-61.21%45M
-126.35%-93M
280.00%152M
Operating cash flow
210.36%213M
-17.08%845M
19.67%584M
-6.32%237M
88.70%217M
-218.40%-193M
-40.96%1.02B
-8.10%488M
-30.68%253M
-67.24%115M
Investing cash flow
Cash flow from continuing investing activities
-7.26%-133M
-13.17%-464M
11.63%-114M
20.14%-111M
-173.81%-115M
-24.00%-124M
0.00%-410M
-51.76%-129M
-14,000.00%-139M
74.23%-42M
Capital expenditure reported
-12.30%-137M
-15.02%-513M
-6.06%-140M
17.16%-111M
-100.00%-140M
-10.91%-122M
-3.24%-446M
-43.48%-132M
-1,016.67%-134M
57.06%-70M
Net intangibles purchase and sale
----
35.71%-9M
--0
--0
----
----
-250.00%-14M
---5M
-400.00%-5M
---1M
Net investment purchase and sale
----
--0
--0
--0
----
----
--34M
--0
--0
--18M
Net other investing changes
300.00%4M
262.50%58M
225.00%26M
--0
1,800.00%34M
-120.00%-2M
-38.46%16M
14.29%8M
--0
---2M
Cash from discontinued investing activities
Investing cash flow
-104.07%-133M
553.83%2.84B
3.41%-198M
32.32%-111M
-26.37%-115M
2,066.87%3.27B
-119.48%-626M
10.87%-205M
-104.33%-164M
47.40%-91M
Financing cash flow
Cash flow from continuing financing activities
99.66%-11M
-290.01%-4.22B
-204.26%-147M
44.52%-81M
18.59%-762M
-2,204.29%-3.23B
69.02%-1.08B
104.80%141M
-135.48%-146M
-680.00%-936M
Net issuance payments of debt
--0
-613.94%-3.79B
-95.27%14M
--0
15.95%-680M
-20,733.33%-3.13B
81.91%-531M
110.59%296M
-105.56%-3M
-1,471.19%-809M
Net common stock issuance
----
----
----
----
----
----
--0
----
----
----
Cash dividends paid
94.25%-5M
41.02%-348M
40.82%-87M
41.22%-87M
41.22%-87M
40.82%-87M
-0.68%-590M
0.00%-147M
-0.68%-148M
-1.37%-148M
Proceeds from stock option exercised by employees
-20.00%8M
-57.75%30M
-37.50%5M
-18.18%9M
-50.00%6M
-75.00%10M
-25.26%71M
-11.11%8M
-65.63%11M
-33.33%12M
Net other financing activities
41.67%-14M
-245.16%-107M
-393.75%-79M
50.00%-3M
-111.11%-1M
-33.33%-24M
50.79%-31M
-1,500.00%-16M
-500.00%-6M
117.65%9M
Cash from discontinued financing activities
Financing cash flow
99.66%-11M
-290.01%-4.22B
-204.26%-147M
44.52%-81M
18.59%-762M
-2,204.29%-3.23B
69.02%-1.08B
104.80%141M
-135.48%-146M
-680.00%-936M
Net cash flow
Beginning cash position
-18.48%1.97B
-24.52%2.41B
-16.92%1.73B
-19.47%1.69B
-24.22%2.3B
-24.52%2.41B
85.71%3.2B
-64.09%2.08B
21.44%2.1B
80.68%3.03B
Current changes in cash
144.81%69M
22.97%-530M
-43.63%239M
178.95%45M
27.63%-660M
-7.69%-154M
-147.45%-688M
116.10%424M
-101.39%-57M
-1,672.41%-912M
Effect of exchange rate changes
-150.00%-18M
187.50%84M
101.11%1M
-112.20%-5M
336.36%52M
244.00%36M
-469.23%-96M
-325.00%-90M
278.26%41M
-144.44%-22M
End cash Position
-12.06%2.02B
-18.48%1.97B
-18.48%1.97B
-16.92%1.73B
-19.47%1.69B
-24.22%2.3B
-24.52%2.41B
-24.52%2.41B
-64.09%2.08B
21.44%2.1B
Free cash flow
124.13%76M
-42.22%323M
26.50%444M
10.53%126M
65.85%68M
-694.34%-315M
-56.67%559M
-20.05%351M
-67.61%114M
-78.19%41M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Mar 31, 2026(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 315.15%213M16.12%951M34.54%596M-31.50%237M686.49%217M-247.76%-99M-32.15%819M6.75%443M2,783.33%346M-111.90%-37M
Net income from continuing operations -126.56%-17M-176.07%-900M-112.09%-1.04B-183.61%-51M28.42%122M966.67%64M-280.11%-326M-322.83%-488M-60.65%61M149.22%95M
Operating gains losses 50.00%-4M-71.43%-48M-242.86%-24M-60.00%-8M11.11%-8M-14.29%-8M3.45%-28M30.00%-7M54.55%-5M-125.00%-9M
Depreciation and amortization -4.05%237M-1.60%981M-2.04%240M-6.69%237M13.22%257M-8.86%247M1.32%997M-7.20%245M176.09%254M-27.94%227M
Deferred tax 120.42%29M129.39%77M252.38%192M213.64%50M32.35%-23M-144.83%-142M-2.34%-262M-641.18%-126M46.99%-44M64.21%-34M
Other non cash items 116.67%13M-26.83%30M-61.90%8M140.00%2M-30.00%14M20.00%6M-33.87%41M-43.24%21M16.67%-5M17.65%20M
Change In working capital 81.54%-55M54.24%-108M41.84%400M-660.00%-28M48.88%-182M-78.44%-298M-246.58%-236M416.85%282M-95.24%5M-862.16%-356M
-Change in receivables 484.62%152M-277.14%-132M-388.89%-88M80.95%-4M45.45%-66M-79.20%26M7.89%-35M80.00%-18M58.00%-21M-163.04%-121M
-Change in inventory 22.13%-95M40.80%-119M1,247.62%241M-912.50%-81M-481.48%-157M15.86%-122M-57.03%-201M-162.50%-21M-108.99%-8M41.30%-27M
-Change in prepaid assets 108.33%2M157.60%72M262.50%104M-13.51%-42M270.00%34M-500.00%-24M-177.78%-125M-1,500.00%-64M-1,750.00%-37M-150.00%-20M
-Change in payables and accrued expense 20.47%-101M-2.56%152M-54.49%157M8.70%125M98.36%-3M-4.96%-127M-59.48%156M1,032.43%345M9.52%115M-438.89%-183M
-Change in other working capital 74.51%-13M-161.29%-81M-135.00%-14M40.91%-26M300.00%10M-131.82%-51M-138.46%-31M-20.00%40M-18.92%-44M-155.56%-5M
Cash from discontinued investing activities 0-153.00%-106M-126.67%-12M00-197.92%-94M-61.46%200M-61.21%45M-126.35%-93M280.00%152M
Operating cash flow 210.36%213M-17.08%845M19.67%584M-6.32%237M88.70%217M-218.40%-193M-40.96%1.02B-8.10%488M-30.68%253M-67.24%115M
Investing cash flow
Cash flow from continuing investing activities -7.26%-133M-13.17%-464M11.63%-114M20.14%-111M-173.81%-115M-24.00%-124M0.00%-410M-51.76%-129M-14,000.00%-139M74.23%-42M
Capital expenditure reported -12.30%-137M-15.02%-513M-6.06%-140M17.16%-111M-100.00%-140M-10.91%-122M-3.24%-446M-43.48%-132M-1,016.67%-134M57.06%-70M
Net intangibles purchase and sale ----35.71%-9M--0--0---------250.00%-14M---5M-400.00%-5M---1M
Net investment purchase and sale ------0--0--0----------34M--0--0--18M
Net other investing changes 300.00%4M262.50%58M225.00%26M--01,800.00%34M-120.00%-2M-38.46%16M14.29%8M--0---2M
Cash from discontinued investing activities
Investing cash flow -104.07%-133M553.83%2.84B3.41%-198M32.32%-111M-26.37%-115M2,066.87%3.27B-119.48%-626M10.87%-205M-104.33%-164M47.40%-91M
Financing cash flow
Cash flow from continuing financing activities 99.66%-11M-290.01%-4.22B-204.26%-147M44.52%-81M18.59%-762M-2,204.29%-3.23B69.02%-1.08B104.80%141M-135.48%-146M-680.00%-936M
Net issuance payments of debt --0-613.94%-3.79B-95.27%14M--015.95%-680M-20,733.33%-3.13B81.91%-531M110.59%296M-105.56%-3M-1,471.19%-809M
Net common stock issuance --------------------------0------------
Cash dividends paid 94.25%-5M41.02%-348M40.82%-87M41.22%-87M41.22%-87M40.82%-87M-0.68%-590M0.00%-147M-0.68%-148M-1.37%-148M
Proceeds from stock option exercised by employees -20.00%8M-57.75%30M-37.50%5M-18.18%9M-50.00%6M-75.00%10M-25.26%71M-11.11%8M-65.63%11M-33.33%12M
Net other financing activities 41.67%-14M-245.16%-107M-393.75%-79M50.00%-3M-111.11%-1M-33.33%-24M50.79%-31M-1,500.00%-16M-500.00%-6M117.65%9M
Cash from discontinued financing activities
Financing cash flow 99.66%-11M-290.01%-4.22B-204.26%-147M44.52%-81M18.59%-762M-2,204.29%-3.23B69.02%-1.08B104.80%141M-135.48%-146M-680.00%-936M
Net cash flow
Beginning cash position -18.48%1.97B-24.52%2.41B-16.92%1.73B-19.47%1.69B-24.22%2.3B-24.52%2.41B85.71%3.2B-64.09%2.08B21.44%2.1B80.68%3.03B
Current changes in cash 144.81%69M22.97%-530M-43.63%239M178.95%45M27.63%-660M-7.69%-154M-147.45%-688M116.10%424M-101.39%-57M-1,672.41%-912M
Effect of exchange rate changes -150.00%-18M187.50%84M101.11%1M-112.20%-5M336.36%52M244.00%36M-469.23%-96M-325.00%-90M278.26%41M-144.44%-22M
End cash Position -12.06%2.02B-18.48%1.97B-18.48%1.97B-16.92%1.73B-19.47%1.69B-24.22%2.3B-24.52%2.41B-24.52%2.41B-64.09%2.08B21.44%2.1B
Free cash flow 124.13%76M-42.22%323M26.50%444M10.53%126M65.85%68M-694.34%-315M-56.67%559M-20.05%351M-67.61%114M-78.19%41M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------
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