US Stock MarketDetailed Quotes

Centene (CNC)

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  • 58.230
  • -0.040-0.07%
Close May 18 15:59 ET
  • 58.200
  • -0.030-0.05%
Post 17:44 ET
28.75BMarket Cap-4.46P/E (TTM)

Centene (CNC) 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
189.14%4.37B
3,203.90%5.09B
174.45%437M
238.65%1.36B
-17.93%1.79B
431.14%1.51B
-98.09%154M
-370.51%-587M
-195.79%-978M
-14.57%2.18B
Net income from continuing operations
17.12%1.54B
-302.70%-6.68B
-492.86%-1.1B
-1,034.08%-6.63B
-122.60%-259M
13.47%1.31B
22.05%3.29B
617.95%280M
49.47%710M
8.63%1.15B
Operating gains losses
-50.00%5M
97.50%-3M
23.53%-13M
--0
--0
110.20%10M
21.05%-120M
-185.00%-17M
--0
94.62%-5M
Depreciation and amortization
-4.46%300M
2.74%1.28B
4.78%329M
1.28%317M
2.94%315M
1.95%314M
-4.02%1.24B
-0.32%314M
-4.57%313M
-5.85%306M
Deferred tax
-96.30%-53M
-561.54%-60M
-7,200.00%-73M
596.15%129M
-39.06%-89M
-125.96%-27M
116.67%13M
98.91%-1M
-114.94%-26M
-6,300.00%-64M
Other non cash items
----
----
----
----
222.22%11M
350.00%5M
-90.70%16M
28.57%18M
-90.00%9M
-114.75%-9M
Change In working capital
1,667.50%2.51B
167.53%3.04B
160.55%723M
137.49%763M
131.66%1.71B
92.04%-160M
-226.88%-4.5B
-16,957.14%-1.19B
-279.66%-2.04B
-34.31%739M
-Change in receivables
49.59%-1.35B
134.16%1.48B
401.88%4.82B
8.40%-1.54B
480.92%883M
-121.64%-2.68B
-82.06%-4.33B
-3,029.41%-1.6B
16.52%-1.68B
-90.61%152M
-Change in payables and accrued expense
415.99%2.91B
-24.43%-657M
-13,252.00%-3.34B
105.83%2.47B
-20.82%-354M
139.90%563M
-115.54%-528M
-109.23%-25M
-52.13%1.2B
68.49%-293M
-Change in other current assets
71.90%-188M
-600.00%-230M
146.88%15M
-38.17%298M
80.00%126M
-41.14%-669M
820.00%46M
-129.63%-32M
117.12%482M
800.00%70M
-Change in other current liabilities
-60.94%944M
668.46%2.29B
-338.76%-924M
78.48%-452M
40.34%1.25B
115.61%2.42B
-85.92%298M
-65.84%387M
-69.90%-2.1B
81.26%890M
-Change in other working capital
-6.10%200M
761.11%155M
111.11%152M
-130.00%-18M
-140.00%-192M
726.47%213M
-95.57%18M
104.90%72M
385.71%60M
-77.78%-80M
Cash from discontinued investing activities
Operating cash flow
189.14%4.37B
3,203.90%5.09B
174.45%437M
238.65%1.36B
-17.93%1.79B
431.14%1.51B
-98.09%154M
-370.51%-587M
-195.79%-978M
-14.57%2.18B
Investing cash flow
Cash flow from continuing investing activities
116.82%89M
144.87%472M
547.06%660M
247.79%1.24B
22.96%-899M
-162.09%-529M
11.67%-1.05B
110.75%102M
-292.87%-839M
-175.24%-1.17B
Capital expenditure reported
-48.15%-200M
-19.10%-767M
-38.31%-213M
-37.91%-211M
-11.83%-208M
10.60%-135M
19.40%-644M
30.94%-154M
-12.50%-153M
13.49%-186M
Net business purchase and sale
----
--0
--0
--0
--0
--0
40.03%990M
82.35%31M
--0
-64.60%80M
Net investment purchase and sale
173.35%289M
188.63%1.24B
288.00%873M
311.52%1.45B
34.87%-691M
-417.74%-394M
-27.21%-1.4B
130.28%225M
-224.73%-686M
-143.91%-1.06B
Cash from discontinued investing activities
Investing cash flow
116.82%89M
144.87%472M
547.06%660M
247.79%1.24B
22.96%-899M
-162.09%-529M
11.67%-1.05B
110.75%102M
-292.87%-839M
-175.24%-1.17B
Financing cash flow
Cash flow from continuing financing activities
-325.20%-1.06B
32.63%-1.62B
-1,338.46%-187M
99.20%-10M
-0.26%-1.17B
-1,186.96%-250M
-45.11%-2.41B
93.53%-13M
-137.60%-1.25B
-56.13%-1.17B
Net issuance payments of debt
-402.88%-1.05B
-268.88%-1.15B
-120.28%-187M
96.55%-1M
-98.15%-749M
-227.61%-208M
3,468.42%678M
609.39%922M
-112.03%-29M
-15.24%-378M
Net common stock issuance
38.71%-19M
85.77%-438M
100.64%6M
100.91%11M
46.46%-424M
77.37%-31M
-93.71%-3.08B
-4,815.79%-934M
-59.24%-1.22B
-100.00%-792M
Net other financing activities
118.18%2M
-533.33%-38M
-500.00%-6M
-1,900.00%-20M
0.00%-1M
-266.67%-11M
93.18%-6M
0.00%-1M
50.00%-1M
96.15%-1M
Cash from discontinued financing activities
Financing cash flow
-325.20%-1.06B
32.63%-1.62B
-1,338.46%-187M
99.20%-10M
-0.26%-1.17B
-1,186.96%-250M
-45.11%-2.41B
93.53%-13M
-137.60%-1.25B
-56.13%-1.17B
Net cash flow
Beginning cash position
26.85%17.96B
-18.89%14.16B
17.30%17.19B
-17.59%14.6B
-16.73%14.89B
-18.89%14.16B
41.54%17.45B
-20.60%14.65B
1.07%17.72B
10.59%17.88B
Current changes in cash
364.02%3.39B
219.22%3.94B
282.73%910M
184.45%2.59B
-76.69%-288M
74.46%731M
-163.49%-3.3B
46.62%-498M
-428.54%-3.06B
-111.88%-163M
Effect of exchange rate changes
----
--0
--0
--0
--0
--0
125.00%8M
101.96%1M
--0
111.11%1M
End cash Position
43.43%21.35B
26.85%17.96B
26.85%17.96B
17.30%17.19B
-17.59%14.6B
-16.73%14.89B
-18.89%14.16B
-18.89%14.16B
-20.60%14.65B
1.07%17.72B
Free cash flow
202.98%4.17B
981.84%4.32B
130.23%224M
201.24%1.15B
-20.71%1.58B
326.52%1.38B
-106.75%-490M
-12,250.00%-741M
-227.80%-1.13B
-14.67%1.99B
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 189.14%4.37B3,203.90%5.09B174.45%437M238.65%1.36B-17.93%1.79B431.14%1.51B-98.09%154M-370.51%-587M-195.79%-978M-14.57%2.18B
Net income from continuing operations 17.12%1.54B-302.70%-6.68B-492.86%-1.1B-1,034.08%-6.63B-122.60%-259M13.47%1.31B22.05%3.29B617.95%280M49.47%710M8.63%1.15B
Operating gains losses -50.00%5M97.50%-3M23.53%-13M--0--0110.20%10M21.05%-120M-185.00%-17M--094.62%-5M
Depreciation and amortization -4.46%300M2.74%1.28B4.78%329M1.28%317M2.94%315M1.95%314M-4.02%1.24B-0.32%314M-4.57%313M-5.85%306M
Deferred tax -96.30%-53M-561.54%-60M-7,200.00%-73M596.15%129M-39.06%-89M-125.96%-27M116.67%13M98.91%-1M-114.94%-26M-6,300.00%-64M
Other non cash items ----------------222.22%11M350.00%5M-90.70%16M28.57%18M-90.00%9M-114.75%-9M
Change In working capital 1,667.50%2.51B167.53%3.04B160.55%723M137.49%763M131.66%1.71B92.04%-160M-226.88%-4.5B-16,957.14%-1.19B-279.66%-2.04B-34.31%739M
-Change in receivables 49.59%-1.35B134.16%1.48B401.88%4.82B8.40%-1.54B480.92%883M-121.64%-2.68B-82.06%-4.33B-3,029.41%-1.6B16.52%-1.68B-90.61%152M
-Change in payables and accrued expense 415.99%2.91B-24.43%-657M-13,252.00%-3.34B105.83%2.47B-20.82%-354M139.90%563M-115.54%-528M-109.23%-25M-52.13%1.2B68.49%-293M
-Change in other current assets 71.90%-188M-600.00%-230M146.88%15M-38.17%298M80.00%126M-41.14%-669M820.00%46M-129.63%-32M117.12%482M800.00%70M
-Change in other current liabilities -60.94%944M668.46%2.29B-338.76%-924M78.48%-452M40.34%1.25B115.61%2.42B-85.92%298M-65.84%387M-69.90%-2.1B81.26%890M
-Change in other working capital -6.10%200M761.11%155M111.11%152M-130.00%-18M-140.00%-192M726.47%213M-95.57%18M104.90%72M385.71%60M-77.78%-80M
Cash from discontinued investing activities
Operating cash flow 189.14%4.37B3,203.90%5.09B174.45%437M238.65%1.36B-17.93%1.79B431.14%1.51B-98.09%154M-370.51%-587M-195.79%-978M-14.57%2.18B
Investing cash flow
Cash flow from continuing investing activities 116.82%89M144.87%472M547.06%660M247.79%1.24B22.96%-899M-162.09%-529M11.67%-1.05B110.75%102M-292.87%-839M-175.24%-1.17B
Capital expenditure reported -48.15%-200M-19.10%-767M-38.31%-213M-37.91%-211M-11.83%-208M10.60%-135M19.40%-644M30.94%-154M-12.50%-153M13.49%-186M
Net business purchase and sale ------0--0--0--0--040.03%990M82.35%31M--0-64.60%80M
Net investment purchase and sale 173.35%289M188.63%1.24B288.00%873M311.52%1.45B34.87%-691M-417.74%-394M-27.21%-1.4B130.28%225M-224.73%-686M-143.91%-1.06B
Cash from discontinued investing activities
Investing cash flow 116.82%89M144.87%472M547.06%660M247.79%1.24B22.96%-899M-162.09%-529M11.67%-1.05B110.75%102M-292.87%-839M-175.24%-1.17B
Financing cash flow
Cash flow from continuing financing activities -325.20%-1.06B32.63%-1.62B-1,338.46%-187M99.20%-10M-0.26%-1.17B-1,186.96%-250M-45.11%-2.41B93.53%-13M-137.60%-1.25B-56.13%-1.17B
Net issuance payments of debt -402.88%-1.05B-268.88%-1.15B-120.28%-187M96.55%-1M-98.15%-749M-227.61%-208M3,468.42%678M609.39%922M-112.03%-29M-15.24%-378M
Net common stock issuance 38.71%-19M85.77%-438M100.64%6M100.91%11M46.46%-424M77.37%-31M-93.71%-3.08B-4,815.79%-934M-59.24%-1.22B-100.00%-792M
Net other financing activities 118.18%2M-533.33%-38M-500.00%-6M-1,900.00%-20M0.00%-1M-266.67%-11M93.18%-6M0.00%-1M50.00%-1M96.15%-1M
Cash from discontinued financing activities
Financing cash flow -325.20%-1.06B32.63%-1.62B-1,338.46%-187M99.20%-10M-0.26%-1.17B-1,186.96%-250M-45.11%-2.41B93.53%-13M-137.60%-1.25B-56.13%-1.17B
Net cash flow
Beginning cash position 26.85%17.96B-18.89%14.16B17.30%17.19B-17.59%14.6B-16.73%14.89B-18.89%14.16B41.54%17.45B-20.60%14.65B1.07%17.72B10.59%17.88B
Current changes in cash 364.02%3.39B219.22%3.94B282.73%910M184.45%2.59B-76.69%-288M74.46%731M-163.49%-3.3B46.62%-498M-428.54%-3.06B-111.88%-163M
Effect of exchange rate changes ------0--0--0--0--0125.00%8M101.96%1M--0111.11%1M
End cash Position 43.43%21.35B26.85%17.96B26.85%17.96B17.30%17.19B-17.59%14.6B-16.73%14.89B-18.89%14.16B-18.89%14.16B-20.60%14.65B1.07%17.72B
Free cash flow 202.98%4.17B981.84%4.32B130.23%224M201.24%1.15B-20.71%1.58B326.52%1.38B-106.75%-490M-12,250.00%-741M-227.80%-1.13B-14.67%1.99B
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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