US Stock MarketDetailed Quotes

Blackrock (BLK)

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  • 1061.680
  • -3.920-0.37%
Close May 1 16:00 ET
  • 1061.130
  • -0.550-0.05%
Post 16:54 ET
164.95BMarket Cap26.72P/E (TTM)

Blackrock (BLK) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q1)Mar 31, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-20.76%3.93B
-13.03%2.28B
2.39%1.41B
-0.07%1.36B
-176.47%-1.13B
18.99%4.96B
31.03%2.62B
-12.37%1.38B
38.58%1.37B
-3.55%-408M
Net income from continuing operations
-8.75%5.94B
-25.65%1.24B
-9.70%1.53B
8.33%1.67B
-6.65%1.52B
14.73%6.51B
11.55%1.66B
6.02%1.69B
8.01%1.54B
38.84%1.62B
Operating gains losses
-88.07%-820M
-94.85%7M
52.99%-118M
-320.00%-609M
43.18%-100M
42.48%-436M
140.24%136M
-304.84%-251M
36.96%-145M
-37.50%-176M
Depreciation and amortization
112.85%1.13B
84.50%369M
214.55%346M
100.93%217M
74.77%194M
23.89%529M
80.18%200M
1.85%110M
5.88%108M
4.72%111M
Deferred tax
-495.28%-631M
-3,472.73%-393M
-966.67%-160M
-138.46%-93M
136.59%15M
-185.48%-106M
-113.25%-11M
11.76%-15M
-880.00%-39M
-177.36%-41M
Other non cash items
-25.51%-3.24B
32.99%-262M
-55.16%-1.23B
-80.23%-775M
-0.41%-968M
-57.54%-2.58B
-9.22%-391M
-94.13%-794M
1.38%-430M
-122.12%-964M
Change In working capital
-207.39%-189M
-18.17%626M
48.93%624M
337.96%600M
-78.08%-2.04B
150.87%176M
-8.16%765M
108.46%419M
391.49%137M
14.10%-1.15B
-Change in receivables
-39.73%-619M
-972.73%-354M
-22.26%-379M
66.67%-9M
268.49%123M
24.40%-443M
-257.14%-33M
-129.63%-310M
86.63%-27M
72.96%-73M
-Change in payables and accrued expense
-71.04%75M
182.35%96M
-257.36%-203M
198.00%98M
-57.14%84M
1,096.15%259M
-17.07%34M
200.00%129M
-426.32%-100M
315.38%196M
-Change in other current assets
-241.07%-529M
105.98%2B
-124.56%-125M
447.83%1.04B
-327.58%-3.44B
247.64%375M
-12.14%970M
-47.36%509M
81.67%-299M
-15.99%-805M
-Change in other current liabilities
158.90%225M
-148.74%-2.16B
195.71%536M
-761.05%-1.14B
241.32%2.99B
-201.87%-382M
9.09%-870M
47.66%-560M
-88.03%172M
-9.22%876M
-Change in other working capital
79.56%659M
58.13%1.05B
22.12%795M
55.50%608M
-33.98%-1.79B
153.10%367M
6.41%664M
64.39%651M
6.25%391M
-7.72%-1.34B
Cash from discontinued investing activities
Operating cash flow
-20.76%3.93B
-13.03%2.28B
2.39%1.41B
-0.07%1.36B
-176.47%-1.13B
18.99%4.96B
31.03%2.62B
-12.37%1.38B
38.58%1.37B
-3.55%-408M
Investing cash flow
Cash flow from continuing investing activities
-47.07%-4.42B
93.10%-212M
-1,147.30%-923M
-67.48%53M
-15,063.64%-3.34B
-213.24%-3B
-1,551.08%-3.07B
72.59%-74M
158.01%163M
90.09%-22M
Net PPE purchase and sale
-47.06%-375M
-44.44%-130M
17.02%-78M
-1,171.43%-89M
-21.88%-78M
25.87%-255M
27.42%-90M
-20.51%-94M
88.52%-7M
20.99%-64M
Net business purchase and sale
-19.07%-3.5B
--0
---390M
122.97%17M
---3.12B
-1,453.44%-2.94B
---2.86B
--0
---74M
--0
Net investment purchase and sale
-423.46%-937M
-24.11%-175M
-6,900.00%-490M
-239.33%-124M
-23.33%-148M
62.08%-179M
-71.95%-141M
41.67%-7M
138.86%89M
19.46%-120M
Cash from discontinued investing activities
Investing cash flow
-47.07%-4.42B
93.10%-212M
-1,147.30%-923M
-67.48%53M
-15,063.64%-3.34B
-213.24%-3B
-1,551.08%-3.07B
72.59%-74M
158.01%163M
90.09%-22M
Financing cash flow
Cash flow from continuing financing activities
-150.40%-1.13B
-1.73%-588M
-95.93%96M
104.06%26M
-160.37%-661M
212.25%2.24B
-14.91%-578M
421.09%2.36B
-245.68%-641M
191.71%1.1B
Net issuance payments of debt
-96.11%172M
-106.06%-68M
-100.63%-15M
224.42%279M
-101.22%-24M
274.55%4.42B
-57.14%-33M
16,086.67%2.4B
-93.03%86M
10,442.11%1.97B
Net common stock issuance
-1.09%-1.95B
-33.16%-514M
1.79%-384M
23.70%-396M
-3.63%-657M
-2.44%-1.93B
-0.52%-386M
1.26%-391M
-35.51%-519M
12.07%-634M
Cash dividends paid
-7.93%-3.35B
-7.46%-850M
-12.42%-851M
-6.60%-808M
-5.41%-838M
-2.17%-3.1B
-6.46%-791M
-1.20%-757M
-1.34%-758M
0.13%-795M
Proceeds from stock option exercised by employees
-64.01%167M
-93.55%14M
-34.52%55M
147.37%47M
-64.58%51M
388.42%464M
393.18%217M
250.00%84M
--19M
433.33%144M
Net other financing activities
60.54%3.83B
100.00%830M
25.83%1.29B
70.24%904M
94.46%807M
44.40%2.39B
-30.95%415M
156.50%1.03B
57.57%531M
31.75%415M
Cash from discontinued financing activities
Financing cash flow
-150.40%-1.13B
-1.73%-588M
-95.93%96M
104.06%26M
-160.37%-661M
212.25%2.24B
-14.91%-578M
421.09%2.36B
-245.68%-641M
191.71%1.1B
Net cash flow
Beginning cash position
46.00%12.78B
-28.84%10B
-7.32%9.5B
-17.33%7.76B
46.00%12.78B
17.76%8.75B
91.65%14.05B
49.54%10.25B
65.89%9.39B
17.76%8.75B
Current changes in cash
-138.63%-1.62B
243.26%1.48B
-83.99%587M
62.68%1.44B
-870.68%-5.13B
244.98%4.19B
-178.76%-1.03B
542.21%3.67B
-22.47%887M
136.74%665M
Effect of exchange rate changes
303.09%329M
104.92%12M
-157.04%-81M
972.73%288M
507.41%110M
-252.83%-162M
-319.82%-244M
259.55%142M
-171.74%-33M
-171.05%-27M
End cash Position
-10.09%11.49B
-10.09%11.49B
-28.84%10B
-7.32%9.5B
-17.33%7.76B
46.00%12.78B
46.00%12.78B
91.65%14.05B
49.54%10.25B
65.89%9.39B
Free cash flow
-24.44%3.55B
-15.07%2.15B
3.81%1.34B
-6.11%1.28B
-155.51%-1.21B
23.03%4.7B
34.90%2.53B
-14.09%1.29B
46.97%1.36B
0.63%-472M
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
--
--
--
--
(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(Q1)Mar 31, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -20.76%3.93B-13.03%2.28B2.39%1.41B-0.07%1.36B-176.47%-1.13B18.99%4.96B31.03%2.62B-12.37%1.38B38.58%1.37B-3.55%-408M
Net income from continuing operations -8.75%5.94B-25.65%1.24B-9.70%1.53B8.33%1.67B-6.65%1.52B14.73%6.51B11.55%1.66B6.02%1.69B8.01%1.54B38.84%1.62B
Operating gains losses -88.07%-820M-94.85%7M52.99%-118M-320.00%-609M43.18%-100M42.48%-436M140.24%136M-304.84%-251M36.96%-145M-37.50%-176M
Depreciation and amortization 112.85%1.13B84.50%369M214.55%346M100.93%217M74.77%194M23.89%529M80.18%200M1.85%110M5.88%108M4.72%111M
Deferred tax -495.28%-631M-3,472.73%-393M-966.67%-160M-138.46%-93M136.59%15M-185.48%-106M-113.25%-11M11.76%-15M-880.00%-39M-177.36%-41M
Other non cash items -25.51%-3.24B32.99%-262M-55.16%-1.23B-80.23%-775M-0.41%-968M-57.54%-2.58B-9.22%-391M-94.13%-794M1.38%-430M-122.12%-964M
Change In working capital -207.39%-189M-18.17%626M48.93%624M337.96%600M-78.08%-2.04B150.87%176M-8.16%765M108.46%419M391.49%137M14.10%-1.15B
-Change in receivables -39.73%-619M-972.73%-354M-22.26%-379M66.67%-9M268.49%123M24.40%-443M-257.14%-33M-129.63%-310M86.63%-27M72.96%-73M
-Change in payables and accrued expense -71.04%75M182.35%96M-257.36%-203M198.00%98M-57.14%84M1,096.15%259M-17.07%34M200.00%129M-426.32%-100M315.38%196M
-Change in other current assets -241.07%-529M105.98%2B-124.56%-125M447.83%1.04B-327.58%-3.44B247.64%375M-12.14%970M-47.36%509M81.67%-299M-15.99%-805M
-Change in other current liabilities 158.90%225M-148.74%-2.16B195.71%536M-761.05%-1.14B241.32%2.99B-201.87%-382M9.09%-870M47.66%-560M-88.03%172M-9.22%876M
-Change in other working capital 79.56%659M58.13%1.05B22.12%795M55.50%608M-33.98%-1.79B153.10%367M6.41%664M64.39%651M6.25%391M-7.72%-1.34B
Cash from discontinued investing activities
Operating cash flow -20.76%3.93B-13.03%2.28B2.39%1.41B-0.07%1.36B-176.47%-1.13B18.99%4.96B31.03%2.62B-12.37%1.38B38.58%1.37B-3.55%-408M
Investing cash flow
Cash flow from continuing investing activities -47.07%-4.42B93.10%-212M-1,147.30%-923M-67.48%53M-15,063.64%-3.34B-213.24%-3B-1,551.08%-3.07B72.59%-74M158.01%163M90.09%-22M
Net PPE purchase and sale -47.06%-375M-44.44%-130M17.02%-78M-1,171.43%-89M-21.88%-78M25.87%-255M27.42%-90M-20.51%-94M88.52%-7M20.99%-64M
Net business purchase and sale -19.07%-3.5B--0---390M122.97%17M---3.12B-1,453.44%-2.94B---2.86B--0---74M--0
Net investment purchase and sale -423.46%-937M-24.11%-175M-6,900.00%-490M-239.33%-124M-23.33%-148M62.08%-179M-71.95%-141M41.67%-7M138.86%89M19.46%-120M
Cash from discontinued investing activities
Investing cash flow -47.07%-4.42B93.10%-212M-1,147.30%-923M-67.48%53M-15,063.64%-3.34B-213.24%-3B-1,551.08%-3.07B72.59%-74M158.01%163M90.09%-22M
Financing cash flow
Cash flow from continuing financing activities -150.40%-1.13B-1.73%-588M-95.93%96M104.06%26M-160.37%-661M212.25%2.24B-14.91%-578M421.09%2.36B-245.68%-641M191.71%1.1B
Net issuance payments of debt -96.11%172M-106.06%-68M-100.63%-15M224.42%279M-101.22%-24M274.55%4.42B-57.14%-33M16,086.67%2.4B-93.03%86M10,442.11%1.97B
Net common stock issuance -1.09%-1.95B-33.16%-514M1.79%-384M23.70%-396M-3.63%-657M-2.44%-1.93B-0.52%-386M1.26%-391M-35.51%-519M12.07%-634M
Cash dividends paid -7.93%-3.35B-7.46%-850M-12.42%-851M-6.60%-808M-5.41%-838M-2.17%-3.1B-6.46%-791M-1.20%-757M-1.34%-758M0.13%-795M
Proceeds from stock option exercised by employees -64.01%167M-93.55%14M-34.52%55M147.37%47M-64.58%51M388.42%464M393.18%217M250.00%84M--19M433.33%144M
Net other financing activities 60.54%3.83B100.00%830M25.83%1.29B70.24%904M94.46%807M44.40%2.39B-30.95%415M156.50%1.03B57.57%531M31.75%415M
Cash from discontinued financing activities
Financing cash flow -150.40%-1.13B-1.73%-588M-95.93%96M104.06%26M-160.37%-661M212.25%2.24B-14.91%-578M421.09%2.36B-245.68%-641M191.71%1.1B
Net cash flow
Beginning cash position 46.00%12.78B-28.84%10B-7.32%9.5B-17.33%7.76B46.00%12.78B17.76%8.75B91.65%14.05B49.54%10.25B65.89%9.39B17.76%8.75B
Current changes in cash -138.63%-1.62B243.26%1.48B-83.99%587M62.68%1.44B-870.68%-5.13B244.98%4.19B-178.76%-1.03B542.21%3.67B-22.47%887M136.74%665M
Effect of exchange rate changes 303.09%329M104.92%12M-157.04%-81M972.73%288M507.41%110M-252.83%-162M-319.82%-244M259.55%142M-171.74%-33M-171.05%-27M
End cash Position -10.09%11.49B-10.09%11.49B-28.84%10B-7.32%9.5B-17.33%7.76B46.00%12.78B46.00%12.78B91.65%14.05B49.54%10.25B65.89%9.39B
Free cash flow -24.44%3.55B-15.07%2.15B3.81%1.34B-6.11%1.28B-155.51%-1.21B23.03%4.7B34.90%2.53B-14.09%1.29B46.97%1.36B0.63%-472M
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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