US Stock MarketDetailed Quotes

NOV Inc (NOV)

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  • 20.370
  • -0.240-1.16%
Close May 15 16:00 ET
  • 20.628
  • +0.258+1.27%
Post 18:50 ET
7.31BMarket Cap81.48P/E (TTM)

NOV Inc (NOV) 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
-119.26%-26M
-4.06%1.25B
-3.05%573M
-1.95%352M
-55.79%191M
273.08%135M
811.89%1.3B
56.76%591M
797.50%359M
700.00%432M
Net income from continuing operations
-72.97%20M
-76.22%151M
-150.31%-81M
-66.15%44M
-48.88%114M
-38.84%74M
-35.53%635M
-72.94%161M
20.37%130M
42.04%223M
Operating gains losses
----
109.64%16M
200.00%6M
--11M
----
----
-39.50%-166M
111.11%2M
--0
-275.68%-139M
Depreciation and amortization
3.37%92M
3.50%355M
2.27%90M
3.49%89M
1.16%87M
7.23%89M
13.58%343M
14.29%88M
11.69%86M
21.13%86M
Deferred tax
-89.19%4M
89.80%93M
1,450.00%54M
208.70%25M
-145.10%-23M
48.00%37M
110.02%49M
99.18%-4M
-2,400.00%-23M
5,200.00%51M
Other non cash items
61.54%21M
18.92%88M
--0
131.25%37M
80.95%38M
-7.14%13M
511.11%74M
27.78%23M
188.89%16M
231.25%21M
Change In working capital
-101.06%-189M
90.23%409M
36.84%416M
-3.76%128M
-146.07%-41M
69.77%-94M
136.82%215M
52.00%304M
195.00%133M
132.60%89M
-Change in receivables
-97.44%1M
-20.39%203M
-21.28%148M
186.84%109M
-365.71%-93M
750.00%39M
178.70%255M
344.16%188M
156.72%38M
118.52%35M
-Change in inventory
-333.33%-91M
-64.07%97M
-60.85%74M
115.79%41M
-96.34%3M
-5.00%-21M
174.79%270M
60.17%189M
122.09%19M
147.67%82M
-Change in prepaid assets
-1,066.67%-35M
141.18%41M
163.16%50M
-300.00%-6M
--0
90.63%-3M
142.50%17M
205.56%19M
-78.57%3M
203.85%27M
-Change in payables and accrued expense
42.08%-106M
89.51%-15M
735.29%142M
-136.76%-25M
37.84%51M
30.94%-183M
-13.49%-143M
-26.09%17M
383.33%68M
23.33%37M
-Change in other working capital
-43.24%42M
145.11%83M
101.83%2M
80.00%9M
97.83%-2M
516.67%74M
-168.91%-184M
-170.78%-109M
-78.26%5M
-209.52%-92M
Cash from discontinued investing activities
Operating cash flow
-119.26%-26M
-4.06%1.25B
-3.05%573M
-1.95%352M
-55.79%191M
273.08%135M
811.89%1.3B
56.76%591M
797.50%359M
700.00%432M
Investing cash flow
Cash flow from continuing investing activities
20.99%-64M
23.14%-362M
41.10%-96M
-26.83%-104M
-195.29%-81M
73.95%-81M
-60.75%-471M
-98.78%-163M
1.20%-82M
211.84%85M
Net PPE purchase and sale
22.62%-65M
-6.84%-375M
14.41%-101M
-30.49%-107M
-1.22%-83M
-21.74%-84M
-24.03%-351M
-55.26%-118M
-10.81%-82M
-7.89%-82M
Net business purchase and sale
----
--0
--0
--0
--0
--0
-454.55%-122M
-475.00%-46M
--0
--167M
Net other investing changes
-66.67%1M
550.00%13M
400.00%5M
--3M
--2M
200.00%3M
-83.33%2M
-50.00%1M
--0
--0
Cash from discontinued investing activities
Investing cash flow
20.99%-64M
23.14%-362M
41.10%-96M
-26.83%-104M
-195.29%-81M
73.95%-81M
-60.75%-471M
-98.78%-163M
1.20%-82M
211.84%85M
Financing cash flow
Cash flow from continuing financing activities
14.81%-115M
-43.84%-584M
22.22%-133M
3.28%-118M
-26.92%-198M
-413.95%-135M
-294.17%-406M
-5,800.00%-171M
-269.70%-122M
-387.50%-156M
Net issuance payments of debt
-9.09%-12M
-30.77%-51M
5.88%-16M
-33.33%-8M
82.80%-16M
-114.29%-11M
-25.81%-39M
-54.55%-17M
0.00%-6M
-933.33%-93M
Net common stock issuance
17.28%-67M
-37.55%-315M
24.11%-85M
0.00%-80M
-86.49%-69M
---81M
---229M
---112M
---80M
---37M
Cash dividends paid
-17.86%-33M
-75.93%-190M
6.90%-27M
3.45%-28M
-256.67%-107M
-40.00%-28M
-36.71%-108M
-52.63%-29M
-45.00%-29M
-50.00%-30M
Net other financing activities
80.00%-3M
6.67%-28M
61.54%-5M
71.43%-2M
-250.00%-6M
-7.14%-15M
-528.57%-30M
-139.39%-13M
0.00%-7M
233.33%4M
Cash from discontinued financing activities
Financing cash flow
14.81%-115M
-43.84%-584M
22.22%-133M
3.28%-118M
-26.92%-198M
-413.95%-135M
-294.17%-406M
-5,800.00%-171M
-269.70%-122M
-387.50%-156M
Net cash flow
Beginning cash position
26.18%1.55B
50.74%1.23B
22.54%1.21B
30.59%1.08B
147.22%1.16B
50.74%1.23B
-23.67%816M
92.01%985M
39.70%827M
-39.53%468M
Current changes in cash
-153.09%-205M
-28.57%305M
33.85%344M
-16.13%130M
-124.38%-88M
76.59%-81M
268.77%427M
-13.76%257M
303.95%155M
300.56%361M
Effect of exchange rate changes
-162.50%-5M
230.77%17M
108.33%1M
-200.00%-3M
650.00%11M
500.00%8M
---13M
-340.00%-12M
200.00%3M
0.00%-2M
End cash Position
15.99%1.34B
26.18%1.55B
26.18%1.55B
22.54%1.21B
30.59%1.08B
147.22%1.16B
50.74%1.23B
50.74%1.23B
92.01%985M
39.70%827M
Free cash flow
-278.43%-91M
-8.08%876M
-0.21%472M
-11.55%245M
-69.14%108M
134.69%51M
780.71%953M
57.14%473M
914.71%277M
336.49%350M
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 -119.26%-26M-4.06%1.25B-3.05%573M-1.95%352M-55.79%191M273.08%135M811.89%1.3B56.76%591M797.50%359M700.00%432M
Net income from continuing operations -72.97%20M-76.22%151M-150.31%-81M-66.15%44M-48.88%114M-38.84%74M-35.53%635M-72.94%161M20.37%130M42.04%223M
Operating gains losses ----109.64%16M200.00%6M--11M---------39.50%-166M111.11%2M--0-275.68%-139M
Depreciation and amortization 3.37%92M3.50%355M2.27%90M3.49%89M1.16%87M7.23%89M13.58%343M14.29%88M11.69%86M21.13%86M
Deferred tax -89.19%4M89.80%93M1,450.00%54M208.70%25M-145.10%-23M48.00%37M110.02%49M99.18%-4M-2,400.00%-23M5,200.00%51M
Other non cash items 61.54%21M18.92%88M--0131.25%37M80.95%38M-7.14%13M511.11%74M27.78%23M188.89%16M231.25%21M
Change In working capital -101.06%-189M90.23%409M36.84%416M-3.76%128M-146.07%-41M69.77%-94M136.82%215M52.00%304M195.00%133M132.60%89M
-Change in receivables -97.44%1M-20.39%203M-21.28%148M186.84%109M-365.71%-93M750.00%39M178.70%255M344.16%188M156.72%38M118.52%35M
-Change in inventory -333.33%-91M-64.07%97M-60.85%74M115.79%41M-96.34%3M-5.00%-21M174.79%270M60.17%189M122.09%19M147.67%82M
-Change in prepaid assets -1,066.67%-35M141.18%41M163.16%50M-300.00%-6M--090.63%-3M142.50%17M205.56%19M-78.57%3M203.85%27M
-Change in payables and accrued expense 42.08%-106M89.51%-15M735.29%142M-136.76%-25M37.84%51M30.94%-183M-13.49%-143M-26.09%17M383.33%68M23.33%37M
-Change in other working capital -43.24%42M145.11%83M101.83%2M80.00%9M97.83%-2M516.67%74M-168.91%-184M-170.78%-109M-78.26%5M-209.52%-92M
Cash from discontinued investing activities
Operating cash flow -119.26%-26M-4.06%1.25B-3.05%573M-1.95%352M-55.79%191M273.08%135M811.89%1.3B56.76%591M797.50%359M700.00%432M
Investing cash flow
Cash flow from continuing investing activities 20.99%-64M23.14%-362M41.10%-96M-26.83%-104M-195.29%-81M73.95%-81M-60.75%-471M-98.78%-163M1.20%-82M211.84%85M
Net PPE purchase and sale 22.62%-65M-6.84%-375M14.41%-101M-30.49%-107M-1.22%-83M-21.74%-84M-24.03%-351M-55.26%-118M-10.81%-82M-7.89%-82M
Net business purchase and sale ------0--0--0--0--0-454.55%-122M-475.00%-46M--0--167M
Net other investing changes -66.67%1M550.00%13M400.00%5M--3M--2M200.00%3M-83.33%2M-50.00%1M--0--0
Cash from discontinued investing activities
Investing cash flow 20.99%-64M23.14%-362M41.10%-96M-26.83%-104M-195.29%-81M73.95%-81M-60.75%-471M-98.78%-163M1.20%-82M211.84%85M
Financing cash flow
Cash flow from continuing financing activities 14.81%-115M-43.84%-584M22.22%-133M3.28%-118M-26.92%-198M-413.95%-135M-294.17%-406M-5,800.00%-171M-269.70%-122M-387.50%-156M
Net issuance payments of debt -9.09%-12M-30.77%-51M5.88%-16M-33.33%-8M82.80%-16M-114.29%-11M-25.81%-39M-54.55%-17M0.00%-6M-933.33%-93M
Net common stock issuance 17.28%-67M-37.55%-315M24.11%-85M0.00%-80M-86.49%-69M---81M---229M---112M---80M---37M
Cash dividends paid -17.86%-33M-75.93%-190M6.90%-27M3.45%-28M-256.67%-107M-40.00%-28M-36.71%-108M-52.63%-29M-45.00%-29M-50.00%-30M
Net other financing activities 80.00%-3M6.67%-28M61.54%-5M71.43%-2M-250.00%-6M-7.14%-15M-528.57%-30M-139.39%-13M0.00%-7M233.33%4M
Cash from discontinued financing activities
Financing cash flow 14.81%-115M-43.84%-584M22.22%-133M3.28%-118M-26.92%-198M-413.95%-135M-294.17%-406M-5,800.00%-171M-269.70%-122M-387.50%-156M
Net cash flow
Beginning cash position 26.18%1.55B50.74%1.23B22.54%1.21B30.59%1.08B147.22%1.16B50.74%1.23B-23.67%816M92.01%985M39.70%827M-39.53%468M
Current changes in cash -153.09%-205M-28.57%305M33.85%344M-16.13%130M-124.38%-88M76.59%-81M268.77%427M-13.76%257M303.95%155M300.56%361M
Effect of exchange rate changes -162.50%-5M230.77%17M108.33%1M-200.00%-3M650.00%11M500.00%8M---13M-340.00%-12M200.00%3M0.00%-2M
End cash Position 15.99%1.34B26.18%1.55B26.18%1.55B22.54%1.21B30.59%1.08B147.22%1.16B50.74%1.23B50.74%1.23B92.01%985M39.70%827M
Free cash flow -278.43%-91M-8.08%876M-0.21%472M-11.55%245M-69.14%108M134.69%51M780.71%953M57.14%473M914.71%277M336.49%350M
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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