US Stock MarketDetailed Quotes

Royal Caribbean (RCL)

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  • 265.840
  • +5.410+2.08%
Close Apr 24 16:00 ET
  • 266.450
  • +0.610+0.23%
Post 20:01 ET
71.30BMarket Cap17.03P/E (TTM)

Royal Caribbean (RCL) 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
22.79%6.47B
10.63%1.62B
63.77%1.47B
11.00%1.75B
22.52%1.63B
17.60%5.27B
31.45%1.47B
36.12%897M
13.00%1.57B
1.37%1.33B
Net income from continuing operations
48.17%4.29B
36.31%762M
41.61%1.58B
41.49%1.21B
102.20%736M
69.95%2.9B
100.36%559M
10.40%1.12B
85.31%858M
858.33%364M
Operating gains losses
-259.64%-447M
-621.05%-99M
-179.46%-147M
-373.53%-161M
-136.36%-40M
385.71%280M
131.15%19M
2,742.86%185M
-70.00%-34M
1,200.00%110M
Depreciation and amortization
7.38%1.72B
10.49%453M
6.34%436M
6.11%417M
6.46%412M
9.97%1.6B
11.41%410M
12.02%410M
8.86%393M
7.50%387M
Deferred tax
--18M
120.00%3M
10.00%11M
0.00%5M
---1M
--0
-200.00%-15M
233.33%10M
0.00%5M
--0
Other non cash items
672.73%63M
132.56%28M
17.95%46M
-12.07%51M
-181.82%-62M
-109.48%-11M
-253.57%-86M
--39M
314.29%58M
-147.83%-22M
Change In working capital
87.75%383M
3.81%436M
16.61%-763M
-29.02%181M
19.14%529M
-82.58%204M
-0.24%420M
-26.03%-915M
-51.80%255M
-53.12%444M
-Change in receivables
-105.77%-3M
-52.31%31M
466.67%17M
-36.59%26M
-35.09%-77M
-47.47%52M
303.13%65M
400.00%3M
355.56%41M
-146.34%-57M
-Change in inventory
--0
--4M
8.70%-21M
233.33%8M
-25.00%9M
29.17%-17M
--0
11.54%-23M
-220.00%-6M
300.00%12M
-Change in prepaid assets
27.01%-100M
-114.81%-58M
16.28%100M
74.14%-30M
-40.00%-112M
25.54%-137M
80.71%-27M
-9.47%86M
-90.16%-116M
-2.56%-80M
-Change in payables and accrued expense
102.50%243M
55.02%324M
-40.00%-84M
0.76%132M
19.38%-129M
-12.41%120M
-34.69%209M
60.00%-60M
-23.39%131M
21.57%-160M
-Change in other working capital
30.65%243M
-21.97%135M
15.85%-775M
-78.05%45M
14.95%838M
-83.73%186M
-37.99%173M
-43.01%-921M
-49.38%205M
-33.91%729M
Cash from discontinued investing activities
Operating cash flow
22.79%6.47B
10.63%1.62B
63.77%1.47B
11.00%1.75B
22.52%1.63B
17.60%5.27B
31.45%1.47B
36.12%897M
13.00%1.57B
1.37%1.33B
Investing cash flow
Cash flow from continuing investing activities
-45.44%-5.01B
-130.73%-1.48B
-667.52%-2.39B
67.88%-706M
-48.65%-440M
12.16%-3.45B
75.10%-641M
5.18%-311M
-179.29%-2.2B
-26.50%-296M
Net PPE purchase and sale
-60.01%-5.23B
-173.01%-1.51B
-635.93%-2.46B
60.93%-836M
-76.86%-428M
16.14%-3.27B
78.50%-552M
-18.86%-334M
-168.84%-2.14B
3.97%-242M
Net business purchase and sale
-58.21%-106M
40.00%-12M
-18.52%-32M
-227.27%-36M
-188.89%-26M
-116.13%-67M
-122.22%-20M
-22.73%-27M
---11M
---9M
Net investment purchase and sale
251.72%176M
163.77%44M
-3.03%32M
326.67%102M
94.29%-2M
-127.45%-116M
-762.50%-69M
170.21%33M
-1,000.00%-45M
-3,400.00%-35M
Net other investing changes
2,840.00%147M
---4M
317.65%71M
3,300.00%64M
260.00%16M
-91.07%5M
--0
-22.73%17M
-150.00%-2M
-152.63%-10M
Cash from discontinued investing activities
Investing cash flow
-45.44%-5.01B
-130.73%-1.48B
-667.52%-2.39B
67.88%-706M
-48.65%-440M
12.16%-3.45B
75.10%-641M
5.18%-311M
-179.29%-2.2B
-26.50%-296M
Financing cash flow
Cash flow from continuing financing activities
47.03%-1.02B
129.81%254M
210.02%615M
-220.00%-696M
-9.17%-1.19B
3.56%-1.92B
-162.97%-852M
-22.32%-559M
152.49%580M
38.85%-1.09B
Net issuance payments of debt
169.85%1.14B
245.03%1.05B
349.90%1.3B
-172.70%-474M
28.00%-743M
18.95%-1.63B
-148.49%-724M
-14.00%-521M
160.26%652M
47.32%-1.03B
Net common stock issuance
---1.16B
---504M
---414M
--0
---241M
--0
--0
--0
--0
--0
Cash dividends paid
-670.09%-824M
-154.21%-272M
---204M
---200M
---148M
---107M
---107M
--0
--0
--0
Net other financing activities
10.53%-170M
4.76%-20M
-81.58%-69M
69.44%-22M
0.00%-59M
-1,683.33%-190M
85.00%-21M
---38M
-213.04%-72M
-133.71%-59M
Cash from discontinued financing activities
Financing cash flow
47.03%-1.02B
129.81%254M
210.02%615M
-220.00%-696M
-9.17%-1.19B
3.56%-1.92B
-162.97%-852M
-22.32%-559M
152.49%580M
38.85%-1.09B
Net cash flow
Beginning cash position
-21.93%388M
3.35%432M
87.98%735M
-11.67%386M
-21.93%388M
-74.32%497M
-30.33%418M
-46.14%391M
-64.38%437M
-74.32%497M
Current changes in cash
522.33%435M
1,630.77%398M
-1,222.22%-303M
864.44%344M
93.22%-4M
92.84%-103M
75.24%-26M
121.60%27M
91.02%-45M
91.67%-59M
Effect of exchange rate changes
133.33%2M
-25.00%-5M
--0
600.00%5M
300.00%2M
-700.00%-6M
-300.00%-4M
--0
---1M
---1M
End cash Position
112.63%825M
112.63%825M
3.35%432M
87.98%735M
-11.67%386M
-21.93%388M
-21.93%388M
-30.33%418M
-46.14%391M
-64.38%437M
Free cash flow
-38.11%1.24B
-87.32%116M
-275.67%-989M
260.49%910M
10.41%1.2B
244.31%2B
163.02%915M
48.94%563M
-195.13%-567M
2.65%1.09B
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 with Explanatory Notes
--
--
--
--
(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 22.79%6.47B10.63%1.62B63.77%1.47B11.00%1.75B22.52%1.63B17.60%5.27B31.45%1.47B36.12%897M13.00%1.57B1.37%1.33B
Net income from continuing operations 48.17%4.29B36.31%762M41.61%1.58B41.49%1.21B102.20%736M69.95%2.9B100.36%559M10.40%1.12B85.31%858M858.33%364M
Operating gains losses -259.64%-447M-621.05%-99M-179.46%-147M-373.53%-161M-136.36%-40M385.71%280M131.15%19M2,742.86%185M-70.00%-34M1,200.00%110M
Depreciation and amortization 7.38%1.72B10.49%453M6.34%436M6.11%417M6.46%412M9.97%1.6B11.41%410M12.02%410M8.86%393M7.50%387M
Deferred tax --18M120.00%3M10.00%11M0.00%5M---1M--0-200.00%-15M233.33%10M0.00%5M--0
Other non cash items 672.73%63M132.56%28M17.95%46M-12.07%51M-181.82%-62M-109.48%-11M-253.57%-86M--39M314.29%58M-147.83%-22M
Change In working capital 87.75%383M3.81%436M16.61%-763M-29.02%181M19.14%529M-82.58%204M-0.24%420M-26.03%-915M-51.80%255M-53.12%444M
-Change in receivables -105.77%-3M-52.31%31M466.67%17M-36.59%26M-35.09%-77M-47.47%52M303.13%65M400.00%3M355.56%41M-146.34%-57M
-Change in inventory --0--4M8.70%-21M233.33%8M-25.00%9M29.17%-17M--011.54%-23M-220.00%-6M300.00%12M
-Change in prepaid assets 27.01%-100M-114.81%-58M16.28%100M74.14%-30M-40.00%-112M25.54%-137M80.71%-27M-9.47%86M-90.16%-116M-2.56%-80M
-Change in payables and accrued expense 102.50%243M55.02%324M-40.00%-84M0.76%132M19.38%-129M-12.41%120M-34.69%209M60.00%-60M-23.39%131M21.57%-160M
-Change in other working capital 30.65%243M-21.97%135M15.85%-775M-78.05%45M14.95%838M-83.73%186M-37.99%173M-43.01%-921M-49.38%205M-33.91%729M
Cash from discontinued investing activities
Operating cash flow 22.79%6.47B10.63%1.62B63.77%1.47B11.00%1.75B22.52%1.63B17.60%5.27B31.45%1.47B36.12%897M13.00%1.57B1.37%1.33B
Investing cash flow
Cash flow from continuing investing activities -45.44%-5.01B-130.73%-1.48B-667.52%-2.39B67.88%-706M-48.65%-440M12.16%-3.45B75.10%-641M5.18%-311M-179.29%-2.2B-26.50%-296M
Net PPE purchase and sale -60.01%-5.23B-173.01%-1.51B-635.93%-2.46B60.93%-836M-76.86%-428M16.14%-3.27B78.50%-552M-18.86%-334M-168.84%-2.14B3.97%-242M
Net business purchase and sale -58.21%-106M40.00%-12M-18.52%-32M-227.27%-36M-188.89%-26M-116.13%-67M-122.22%-20M-22.73%-27M---11M---9M
Net investment purchase and sale 251.72%176M163.77%44M-3.03%32M326.67%102M94.29%-2M-127.45%-116M-762.50%-69M170.21%33M-1,000.00%-45M-3,400.00%-35M
Net other investing changes 2,840.00%147M---4M317.65%71M3,300.00%64M260.00%16M-91.07%5M--0-22.73%17M-150.00%-2M-152.63%-10M
Cash from discontinued investing activities
Investing cash flow -45.44%-5.01B-130.73%-1.48B-667.52%-2.39B67.88%-706M-48.65%-440M12.16%-3.45B75.10%-641M5.18%-311M-179.29%-2.2B-26.50%-296M
Financing cash flow
Cash flow from continuing financing activities 47.03%-1.02B129.81%254M210.02%615M-220.00%-696M-9.17%-1.19B3.56%-1.92B-162.97%-852M-22.32%-559M152.49%580M38.85%-1.09B
Net issuance payments of debt 169.85%1.14B245.03%1.05B349.90%1.3B-172.70%-474M28.00%-743M18.95%-1.63B-148.49%-724M-14.00%-521M160.26%652M47.32%-1.03B
Net common stock issuance ---1.16B---504M---414M--0---241M--0--0--0--0--0
Cash dividends paid -670.09%-824M-154.21%-272M---204M---200M---148M---107M---107M--0--0--0
Net other financing activities 10.53%-170M4.76%-20M-81.58%-69M69.44%-22M0.00%-59M-1,683.33%-190M85.00%-21M---38M-213.04%-72M-133.71%-59M
Cash from discontinued financing activities
Financing cash flow 47.03%-1.02B129.81%254M210.02%615M-220.00%-696M-9.17%-1.19B3.56%-1.92B-162.97%-852M-22.32%-559M152.49%580M38.85%-1.09B
Net cash flow
Beginning cash position -21.93%388M3.35%432M87.98%735M-11.67%386M-21.93%388M-74.32%497M-30.33%418M-46.14%391M-64.38%437M-74.32%497M
Current changes in cash 522.33%435M1,630.77%398M-1,222.22%-303M864.44%344M93.22%-4M92.84%-103M75.24%-26M121.60%27M91.02%-45M91.67%-59M
Effect of exchange rate changes 133.33%2M-25.00%-5M--0600.00%5M300.00%2M-700.00%-6M-300.00%-4M--0---1M---1M
End cash Position 112.63%825M112.63%825M3.35%432M87.98%735M-11.67%386M-21.93%388M-21.93%388M-30.33%418M-46.14%391M-64.38%437M
Free cash flow -38.11%1.24B-87.32%116M-275.67%-989M260.49%910M10.41%1.2B244.31%2B163.02%915M48.94%563M-195.13%-567M2.65%1.09B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion with Explanatory Notes--------
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