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ConocoPhillips (COP)

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  • 121.760
  • -2.610-2.10%
Close Apr 24 16:00 ET
  • 121.755
  • -0.0060.00%
Post 20:01 ET
148.41BMarket Cap19.17P/E (TTM)

ConocoPhillips (COP) 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
-1.63%19.8B
-3.12%4.32B
2.00%5.88B
-29.15%3.49B
22.67%6.12B
0.80%20.12B
-15.31%4.46B
5.84%5.76B
27.63%4.92B
-7.74%4.99B
Net income from continuing operations
-13.60%7.99B
-37.47%1.44B
-16.17%1.73B
-15.37%1.97B
11.68%2.85B
-15.62%9.25B
-23.31%2.31B
-26.41%2.06B
4.35%2.33B
-12.64%2.55B
Operating gains losses
-1,333.33%-731M
-1,048.57%-332M
-250.00%-3M
-6,440.00%-317M
15.05%-79M
77.63%-51M
103.69%35M
-99.75%2M
400.00%5M
0.00%-93M
Depreciation and amortization
21.11%11.68B
17.44%3.13B
20.75%2.88B
21.12%2.86B
25.87%2.81B
14.39%9.65B
19.34%2.67B
11.29%2.39B
15.61%2.36B
10.95%2.23B
Deferred tax
49.59%549M
-0.85%117M
831.58%354M
20.16%149M
-181.61%-71M
-67.95%367M
-69.90%118M
-85.61%38M
-24.85%124M
-73.15%87M
Other non cash items
-65.05%159M
-66.09%79M
-190.38%-47M
-5.13%148M
-250.00%-21M
622.22%455M
248.41%233M
-42.86%52M
62.50%156M
-57.58%14M
Change In working capital
58.01%-76M
--0
-50.82%512M
-735.14%-1.24B
678.57%648M
86.90%-181M
-316.45%-962M
4,626.09%1.04B
82.49%-148M
60.42%-112M
-Change in receivables
406.49%803M
87.15%-118M
-110.24%-52M
209.38%693M
468.42%280M
-119.65%-262M
-593.55%-918M
146.22%508M
-58.90%224M
-104.47%-76M
-Change in inventory
-70.59%-116M
-615.63%-165M
409.30%133M
-2,800.00%-58M
52.73%-26M
33.98%-68M
190.91%32M
52.75%-43M
-109.09%-2M
-22.22%-55M
-Change in prepaid assets
-130.38%-24M
-29.55%93M
19.15%112M
57.01%-95M
-281.08%-134M
-76.56%79M
188.59%132M
-50.79%94M
-652.50%-221M
-70.98%74M
-Change in payables and accrued expense
-1,155.71%-739M
191.35%190M
-33.82%319M
-1,091.95%-1.78B
1,060.00%528M
102.37%70M
25.45%-208M
-50.61%482M
89.74%-149M
97.49%-55M
Cash from discontinued investing activities
Operating cash flow
-1.63%19.8B
-3.12%4.32B
2.00%5.88B
-29.15%3.49B
22.67%6.12B
0.80%20.12B
-15.31%4.46B
5.84%5.76B
27.63%4.92B
-7.74%4.99B
Investing cash flow
Cash flow from continuing investing activities
20.75%-8.84B
61.36%-850M
-19.60%-3.18B
40.71%-2.46B
-9.57%-2.35B
7.08%-11.15B
62.41%-2.2B
-11.49%-2.66B
-79.23%-4.15B
-47.86%-2.14B
Capital expenditure reported
-3.59%-12.55B
8.86%-3.02B
1.71%-2.87B
-10.68%-3.29B
-15.84%-3.38B
-7.73%-12.12B
-15.05%-3.32B
-14.58%-2.92B
-1.57%-2.97B
-0.66%-2.92B
Net business purchase and sale
--0
--0
--0
--0
--0
99.12%-24M
97.32%-73M
--0
--0
--49M
Net investment purchase and sale
-113.25%-55M
-50.59%501M
-381.03%-548M
132.69%392M
-198.77%-400M
-69.77%415M
308.21%1.01B
-37.30%195M
-347.73%-1.2B
-61.97%405M
Net other investing changes
553.73%3.77B
850.00%1.67B
273.02%235M
2,447.06%433M
346.11%1.43B
-3.67%577M
-27.27%176M
142.00%63M
-86.18%17M
-16.41%321M
Cash from discontinued investing activities
Investing cash flow
20.75%-8.84B
61.36%-850M
-19.60%-3.18B
40.71%-2.46B
-9.57%-2.35B
7.08%-11.15B
62.41%-2.2B
-11.49%-2.66B
-79.23%-4.15B
-47.86%-2.14B
Financing cash flow
Cash flow from continuing financing activities
-14.34%-10.1B
-21.99%-2.16B
-5.73%-2.32B
-21.54%-2.48B
-11.04%-3.14B
-2.01%-8.84B
32.97%-1.77B
-7,679.31%-2.2B
25.03%-2.04B
15.06%-2.83B
Net issuance payments of debt
-249.67%-913M
-105.09%-62M
-2.27%-45M
-346.55%-259M
-8.32%-547M
-74.67%610M
994.85%1.22B
-101.66%-44M
9.38%-58M
-1,074.42%-505M
Net common stock issuance
7.63%-5.12B
46.13%-1.06B
-9.18%-1.28B
-20.45%-1.23B
-11.98%-1.55B
-1.63%-5.54B
-79.18%-1.96B
6.81%-1.18B
21.65%-1.02B
22.87%-1.39B
Cash dividends paid
-9.57%-4B
-15.72%-1.04B
-7.14%-975M
-7.54%-984M
-8.01%-998M
34.69%-3.65B
36.29%-897M
31.94%-910M
32.22%-915M
37.90%-924M
Net other financing activities
70.54%-76M
99.21%-1M
70.59%-20M
71.70%-15M
-300.00%-40M
-658.82%-258M
---127M
-195.65%-68M
-307.69%-53M
-600.00%-10M
Cash from discontinued financing activities
Financing cash flow
-14.34%-10.1B
-21.99%-2.16B
-5.73%-2.32B
-21.54%-2.48B
-11.04%-3.14B
-2.01%-8.84B
32.97%-1.77B
-7,679.31%-2.2B
25.03%-2.04B
15.06%-2.83B
Net cash flow
Beginning cash position
0.10%5.91B
1.39%5.6B
14.25%5.23B
13.26%6.62B
0.10%5.91B
-11.88%5.9B
-39.16%5.52B
-23.43%4.57B
-19.03%5.85B
-11.88%5.9B
Current changes in cash
517.27%858M
168.44%1.31B
-58.65%375M
-14.43%-1.46B
3,226.32%632M
119.97%139M
115.12%488M
-70.65%907M
-7.41%-1.28B
-96.98%19M
Effect of exchange rate changes
215.04%153M
106.67%7M
-104.88%-2M
1,525.00%65M
213.70%83M
-34.34%-133M
-305.88%-105M
241.67%41M
106.90%4M
29.81%-73M
End cash Position
17.12%6.92B
17.12%6.92B
1.39%5.6B
14.25%5.23B
13.26%6.62B
0.10%5.91B
0.10%5.91B
-39.16%5.52B
-23.43%4.57B
-19.03%5.85B
Free cash flow
-9.53%7.24B
13.60%1.3B
5.80%3.01B
-89.79%199M
32.29%2.74B
-8.16%8.01B
-52.10%1.14B
-1.83%2.85B
109.45%1.95B
-17.44%2.07B
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 -1.63%19.8B-3.12%4.32B2.00%5.88B-29.15%3.49B22.67%6.12B0.80%20.12B-15.31%4.46B5.84%5.76B27.63%4.92B-7.74%4.99B
Net income from continuing operations -13.60%7.99B-37.47%1.44B-16.17%1.73B-15.37%1.97B11.68%2.85B-15.62%9.25B-23.31%2.31B-26.41%2.06B4.35%2.33B-12.64%2.55B
Operating gains losses -1,333.33%-731M-1,048.57%-332M-250.00%-3M-6,440.00%-317M15.05%-79M77.63%-51M103.69%35M-99.75%2M400.00%5M0.00%-93M
Depreciation and amortization 21.11%11.68B17.44%3.13B20.75%2.88B21.12%2.86B25.87%2.81B14.39%9.65B19.34%2.67B11.29%2.39B15.61%2.36B10.95%2.23B
Deferred tax 49.59%549M-0.85%117M831.58%354M20.16%149M-181.61%-71M-67.95%367M-69.90%118M-85.61%38M-24.85%124M-73.15%87M
Other non cash items -65.05%159M-66.09%79M-190.38%-47M-5.13%148M-250.00%-21M622.22%455M248.41%233M-42.86%52M62.50%156M-57.58%14M
Change In working capital 58.01%-76M--0-50.82%512M-735.14%-1.24B678.57%648M86.90%-181M-316.45%-962M4,626.09%1.04B82.49%-148M60.42%-112M
-Change in receivables 406.49%803M87.15%-118M-110.24%-52M209.38%693M468.42%280M-119.65%-262M-593.55%-918M146.22%508M-58.90%224M-104.47%-76M
-Change in inventory -70.59%-116M-615.63%-165M409.30%133M-2,800.00%-58M52.73%-26M33.98%-68M190.91%32M52.75%-43M-109.09%-2M-22.22%-55M
-Change in prepaid assets -130.38%-24M-29.55%93M19.15%112M57.01%-95M-281.08%-134M-76.56%79M188.59%132M-50.79%94M-652.50%-221M-70.98%74M
-Change in payables and accrued expense -1,155.71%-739M191.35%190M-33.82%319M-1,091.95%-1.78B1,060.00%528M102.37%70M25.45%-208M-50.61%482M89.74%-149M97.49%-55M
Cash from discontinued investing activities
Operating cash flow -1.63%19.8B-3.12%4.32B2.00%5.88B-29.15%3.49B22.67%6.12B0.80%20.12B-15.31%4.46B5.84%5.76B27.63%4.92B-7.74%4.99B
Investing cash flow
Cash flow from continuing investing activities 20.75%-8.84B61.36%-850M-19.60%-3.18B40.71%-2.46B-9.57%-2.35B7.08%-11.15B62.41%-2.2B-11.49%-2.66B-79.23%-4.15B-47.86%-2.14B
Capital expenditure reported -3.59%-12.55B8.86%-3.02B1.71%-2.87B-10.68%-3.29B-15.84%-3.38B-7.73%-12.12B-15.05%-3.32B-14.58%-2.92B-1.57%-2.97B-0.66%-2.92B
Net business purchase and sale --0--0--0--0--099.12%-24M97.32%-73M--0--0--49M
Net investment purchase and sale -113.25%-55M-50.59%501M-381.03%-548M132.69%392M-198.77%-400M-69.77%415M308.21%1.01B-37.30%195M-347.73%-1.2B-61.97%405M
Net other investing changes 553.73%3.77B850.00%1.67B273.02%235M2,447.06%433M346.11%1.43B-3.67%577M-27.27%176M142.00%63M-86.18%17M-16.41%321M
Cash from discontinued investing activities
Investing cash flow 20.75%-8.84B61.36%-850M-19.60%-3.18B40.71%-2.46B-9.57%-2.35B7.08%-11.15B62.41%-2.2B-11.49%-2.66B-79.23%-4.15B-47.86%-2.14B
Financing cash flow
Cash flow from continuing financing activities -14.34%-10.1B-21.99%-2.16B-5.73%-2.32B-21.54%-2.48B-11.04%-3.14B-2.01%-8.84B32.97%-1.77B-7,679.31%-2.2B25.03%-2.04B15.06%-2.83B
Net issuance payments of debt -249.67%-913M-105.09%-62M-2.27%-45M-346.55%-259M-8.32%-547M-74.67%610M994.85%1.22B-101.66%-44M9.38%-58M-1,074.42%-505M
Net common stock issuance 7.63%-5.12B46.13%-1.06B-9.18%-1.28B-20.45%-1.23B-11.98%-1.55B-1.63%-5.54B-79.18%-1.96B6.81%-1.18B21.65%-1.02B22.87%-1.39B
Cash dividends paid -9.57%-4B-15.72%-1.04B-7.14%-975M-7.54%-984M-8.01%-998M34.69%-3.65B36.29%-897M31.94%-910M32.22%-915M37.90%-924M
Net other financing activities 70.54%-76M99.21%-1M70.59%-20M71.70%-15M-300.00%-40M-658.82%-258M---127M-195.65%-68M-307.69%-53M-600.00%-10M
Cash from discontinued financing activities
Financing cash flow -14.34%-10.1B-21.99%-2.16B-5.73%-2.32B-21.54%-2.48B-11.04%-3.14B-2.01%-8.84B32.97%-1.77B-7,679.31%-2.2B25.03%-2.04B15.06%-2.83B
Net cash flow
Beginning cash position 0.10%5.91B1.39%5.6B14.25%5.23B13.26%6.62B0.10%5.91B-11.88%5.9B-39.16%5.52B-23.43%4.57B-19.03%5.85B-11.88%5.9B
Current changes in cash 517.27%858M168.44%1.31B-58.65%375M-14.43%-1.46B3,226.32%632M119.97%139M115.12%488M-70.65%907M-7.41%-1.28B-96.98%19M
Effect of exchange rate changes 215.04%153M106.67%7M-104.88%-2M1,525.00%65M213.70%83M-34.34%-133M-305.88%-105M241.67%41M106.90%4M29.81%-73M
End cash Position 17.12%6.92B17.12%6.92B1.39%5.6B14.25%5.23B13.26%6.62B0.10%5.91B0.10%5.91B-39.16%5.52B-23.43%4.57B-19.03%5.85B
Free cash flow -9.53%7.24B13.60%1.3B5.80%3.01B-89.79%199M32.29%2.74B-8.16%8.01B-52.10%1.14B-1.83%2.85B109.45%1.95B-17.44%2.07B
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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