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Thomson Reuters (TRI)

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  • 87.265
  • -1.955-2.19%
Close May 12 16:00 ET
38.06BMarket Cap25.28P/E (TTM)

Thomson Reuters (TRI) 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
13.20%506M
7.37%2.65B
31.88%757M
-6.75%705M
5.10%742M
3.23%447M
6.10%2.47B
-19.72%574M
16.13%756M
1.44%706M
Net income from continuing operations
12.24%477M
-32.34%1.48B
-45.14%333M
54.51%428M
-64.81%297M
-8.41%425M
-17.16%2.19B
-6.62%607M
-25.14%277M
-5.06%844M
Operating gains losses
16.67%7M
170.86%107M
122.33%48M
-239.47%-106M
415.15%104M
-64.71%6M
85.95%-151M
-115.00%-215M
-13.64%76M
94.74%-33M
Depreciation and amortization
8.41%245M
13.14%930M
15.38%240M
15.84%234M
11.65%230M
9.71%226M
13.38%822M
10.05%208M
9.78%202M
15.08%206M
Deferred tax
89.47%36M
109.38%60M
-80.85%9M
312.50%33M
99.82%-1M
112.67%19M
-64.95%-640M
347.37%47M
103.19%8M
-6,155.56%-545M
Other non cash items
-28.13%46M
-60.00%28M
66.67%5M
169.23%9M
-88.89%5M
64.10%64M
284.21%70M
106.67%3M
-533.33%-13M
650.00%45M
Change In working capital
-4.10%-305M
-75.57%43M
260.53%122M
-48.06%107M
-43.39%107M
-104.90%-293M
-61.49%176M
-290.00%-76M
-19.84%206M
-21.25%189M
-Change in receivables
----
-169.23%-18M
15.12%-73M
-58.82%28M
56.14%-25M
-48.51%52M
131.33%26M
34.85%-86M
277.78%68M
3.39%-57M
-Change in prepaid assets
----
-3,350.00%-65M
-185.29%-97M
-65.96%16M
92.86%-1M
466.67%17M
-96.08%2M
-580.00%-34M
113.64%47M
-240.00%-14M
-Change in payables and accrued expense
----
-92.81%10M
517.24%179M
13.25%94M
-90.61%17M
-81.82%-280M
-70.80%139M
-81.41%29M
-65.84%83M
-12.14%181M
-Change in other working capital
----
1,188.89%116M
653.33%113M
-487.50%-31M
46.84%116M
11.83%-82M
-30.77%9M
-28.57%15M
130.77%8M
-4.82%79M
Cash from discontinued investing activities
50.00%-1M
0
90.00%-1M
-1M
500.00%4M
-100.00%-2M
-185.71%-12M
0.00%-10M
0
0.00%-1M
Operating cash flow
13.48%505M
7.90%2.65B
34.04%756M
-6.88%704M
5.82%746M
3.01%445M
4.96%2.46B
-20.00%564M
12.17%756M
1.44%705M
Investing cash flow
Cash flow from continuing investing activities
51.46%-367M
-288.82%-1.28B
-197.10%-205M
31.55%-141M
-156.17%-182M
-219.81%-756M
-80.65%680M
69.06%-69M
-147.36%-206M
-80.17%324M
Capital expenditure reported
-3.31%-156M
-4.45%-634M
1.86%-158M
-8.72%-162M
-7.24%-163M
-4.14%-151M
-11.58%-607M
-21.97%-161M
-2.76%-149M
-19.69%-152M
Net business purchase and sale
65.18%-211M
-137.80%-589M
-110.78%-18M
575.00%54M
-103.21%-19M
-176.52%-606M
-66.32%1.56B
943.75%167M
-99.05%8M
-69.97%591M
Net other investing changes
----
77.49%-61M
61.33%-29M
49.23%-33M
----
106.25%1M
52.29%-271M
29.91%-75M
74.90%-65M
44.44%-115M
Cash from discontinued investing activities
Investing cash flow
51.46%-367M
-288.82%-1.28B
-197.10%-205M
31.55%-141M
-156.17%-182M
-219.81%-756M
-80.64%680M
69.06%-69M
-147.36%-206M
-80.16%324M
Financing cash flow
Cash flow from continuing financing activities
13.89%-248M
-15.01%-2.83B
-161.11%-658M
-23.37%-607M
-2.41%-1.28B
38.72%-288M
56.29%-2.46B
85.19%-252M
66.05%-492M
-7.33%-1.25B
Net issuance payments of debt
1,900.00%306M
-57.11%-773M
-282.35%-65M
226.07%324M
-41.17%-1.02B
-103.39%-17M
69.52%-492M
98.49%-17M
79.05%-257M
-164.37%-719M
Net common stock issuance
---262M
-56.49%-1B
---330M
---670M
--0
--0
79.55%-639M
--0
--0
85.97%-287M
Cash dividends paid
-8.08%-281M
-9.48%-1.04B
-8.44%-257M
-10.13%-261M
-10.13%-261M
-9.24%-260M
-6.39%-949M
-9.72%-237M
-8.22%-237M
-2.16%-237M
Net other financing activities
0.00%-11M
95.78%-16M
-400.00%-6M
----
150.00%1M
97.11%-11M
-9,575.00%-379M
0.00%2M
166.67%2M
---2M
Cash from discontinued financing activities
Financing cash flow
13.89%-248M
-15.01%-2.83B
-161.11%-658M
-23.37%-607M
-2.41%-1.28B
38.72%-288M
56.29%-2.46B
85.19%-252M
66.05%-492M
-7.33%-1.25B
Net cash flow
Beginning cash position
-74.03%511M
51.62%1.97B
-64.30%618M
-60.24%664M
-27.42%1.37B
51.62%1.97B
21.42%1.3B
-31.20%1.73B
-41.57%1.67B
11.78%1.89B
Current changes in cash
81.64%-110M
-315.49%-1.46B
-144.03%-107M
-175.86%-44M
-229.17%-711M
-201.01%-599M
197.37%678M
119.92%243M
117.06%58M
-118.49%-216M
Effect of exchange rate changes
-150.00%-1M
150.00%4M
--0
-166.67%-2M
233.33%4M
200.00%2M
-900.00%-8M
-400.00%-6M
250.00%3M
---3M
End cash Position
-70.82%400M
-74.03%511M
-74.03%511M
-64.30%618M
-60.24%664M
-27.42%1.37B
51.62%1.97B
51.62%1.97B
-31.20%1.73B
-41.57%1.67B
Free cash flow
18.71%349M
9.03%2.02B
48.39%598M
-10.71%542M
5.42%583M
2.44%294M
2.95%1.85B
-29.67%403M
14.74%607M
-2.64%553M
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 13.20%506M7.37%2.65B31.88%757M-6.75%705M5.10%742M3.23%447M6.10%2.47B-19.72%574M16.13%756M1.44%706M
Net income from continuing operations 12.24%477M-32.34%1.48B-45.14%333M54.51%428M-64.81%297M-8.41%425M-17.16%2.19B-6.62%607M-25.14%277M-5.06%844M
Operating gains losses 16.67%7M170.86%107M122.33%48M-239.47%-106M415.15%104M-64.71%6M85.95%-151M-115.00%-215M-13.64%76M94.74%-33M
Depreciation and amortization 8.41%245M13.14%930M15.38%240M15.84%234M11.65%230M9.71%226M13.38%822M10.05%208M9.78%202M15.08%206M
Deferred tax 89.47%36M109.38%60M-80.85%9M312.50%33M99.82%-1M112.67%19M-64.95%-640M347.37%47M103.19%8M-6,155.56%-545M
Other non cash items -28.13%46M-60.00%28M66.67%5M169.23%9M-88.89%5M64.10%64M284.21%70M106.67%3M-533.33%-13M650.00%45M
Change In working capital -4.10%-305M-75.57%43M260.53%122M-48.06%107M-43.39%107M-104.90%-293M-61.49%176M-290.00%-76M-19.84%206M-21.25%189M
-Change in receivables -----169.23%-18M15.12%-73M-58.82%28M56.14%-25M-48.51%52M131.33%26M34.85%-86M277.78%68M3.39%-57M
-Change in prepaid assets -----3,350.00%-65M-185.29%-97M-65.96%16M92.86%-1M466.67%17M-96.08%2M-580.00%-34M113.64%47M-240.00%-14M
-Change in payables and accrued expense -----92.81%10M517.24%179M13.25%94M-90.61%17M-81.82%-280M-70.80%139M-81.41%29M-65.84%83M-12.14%181M
-Change in other working capital ----1,188.89%116M653.33%113M-487.50%-31M46.84%116M11.83%-82M-30.77%9M-28.57%15M130.77%8M-4.82%79M
Cash from discontinued investing activities 50.00%-1M090.00%-1M-1M500.00%4M-100.00%-2M-185.71%-12M0.00%-10M00.00%-1M
Operating cash flow 13.48%505M7.90%2.65B34.04%756M-6.88%704M5.82%746M3.01%445M4.96%2.46B-20.00%564M12.17%756M1.44%705M
Investing cash flow
Cash flow from continuing investing activities 51.46%-367M-288.82%-1.28B-197.10%-205M31.55%-141M-156.17%-182M-219.81%-756M-80.65%680M69.06%-69M-147.36%-206M-80.17%324M
Capital expenditure reported -3.31%-156M-4.45%-634M1.86%-158M-8.72%-162M-7.24%-163M-4.14%-151M-11.58%-607M-21.97%-161M-2.76%-149M-19.69%-152M
Net business purchase and sale 65.18%-211M-137.80%-589M-110.78%-18M575.00%54M-103.21%-19M-176.52%-606M-66.32%1.56B943.75%167M-99.05%8M-69.97%591M
Net other investing changes ----77.49%-61M61.33%-29M49.23%-33M----106.25%1M52.29%-271M29.91%-75M74.90%-65M44.44%-115M
Cash from discontinued investing activities
Investing cash flow 51.46%-367M-288.82%-1.28B-197.10%-205M31.55%-141M-156.17%-182M-219.81%-756M-80.64%680M69.06%-69M-147.36%-206M-80.16%324M
Financing cash flow
Cash flow from continuing financing activities 13.89%-248M-15.01%-2.83B-161.11%-658M-23.37%-607M-2.41%-1.28B38.72%-288M56.29%-2.46B85.19%-252M66.05%-492M-7.33%-1.25B
Net issuance payments of debt 1,900.00%306M-57.11%-773M-282.35%-65M226.07%324M-41.17%-1.02B-103.39%-17M69.52%-492M98.49%-17M79.05%-257M-164.37%-719M
Net common stock issuance ---262M-56.49%-1B---330M---670M--0--079.55%-639M--0--085.97%-287M
Cash dividends paid -8.08%-281M-9.48%-1.04B-8.44%-257M-10.13%-261M-10.13%-261M-9.24%-260M-6.39%-949M-9.72%-237M-8.22%-237M-2.16%-237M
Net other financing activities 0.00%-11M95.78%-16M-400.00%-6M----150.00%1M97.11%-11M-9,575.00%-379M0.00%2M166.67%2M---2M
Cash from discontinued financing activities
Financing cash flow 13.89%-248M-15.01%-2.83B-161.11%-658M-23.37%-607M-2.41%-1.28B38.72%-288M56.29%-2.46B85.19%-252M66.05%-492M-7.33%-1.25B
Net cash flow
Beginning cash position -74.03%511M51.62%1.97B-64.30%618M-60.24%664M-27.42%1.37B51.62%1.97B21.42%1.3B-31.20%1.73B-41.57%1.67B11.78%1.89B
Current changes in cash 81.64%-110M-315.49%-1.46B-144.03%-107M-175.86%-44M-229.17%-711M-201.01%-599M197.37%678M119.92%243M117.06%58M-118.49%-216M
Effect of exchange rate changes -150.00%-1M150.00%4M--0-166.67%-2M233.33%4M200.00%2M-900.00%-8M-400.00%-6M250.00%3M---3M
End cash Position -70.82%400M-74.03%511M-74.03%511M-64.30%618M-60.24%664M-27.42%1.37B51.62%1.97B51.62%1.97B-31.20%1.73B-41.57%1.67B
Free cash flow 18.71%349M9.03%2.02B48.39%598M-10.71%542M5.42%583M2.44%294M2.95%1.85B-29.67%403M14.74%607M-2.64%553M
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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