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Uber Technologies (UBER)

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  • 68.850
  • -0.700-1.01%
Close Jun 12 15:59 ET
  • 68.800
  • -0.050-0.07%
Post 20:01 ET
140.15BMarket Cap17.08P/E (TTM)

Uber Technologies (UBER) 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
1.16%2.35B
41.50%10.1B
64.74%2.88B
8.23%2.33B
40.88%2.56B
64.12%2.32B
99.08%7.14B
112.64%1.75B
122.67%2.15B
52.94%1.82B
Net income from continuing operations
-84.10%282M
2.52%10.09B
-95.41%317M
155.94%6.65B
33.93%1.35B
367.57%1.77B
356.63%9.85B
305.94%6.9B
1,086.76%2.6B
155.84%1.01B
Operating gains losses
109.80%5M
-138.96%-120M
-92.59%10M
161.11%22M
-271.19%-101M
-134.00%-51M
123.19%308M
375.51%135M
-152.94%-36M
-18.06%59M
Depreciation and amortization
7.30%191M
1.36%747M
9.66%193M
4.84%195M
0.00%181M
-8.25%178M
-10.45%737M
-13.30%176M
-9.27%186M
-12.98%181M
Deferred tax
125.73%106M
20.71%-4.78B
95.32%-287M
-3,460.48%-4.17B
1,342.86%87M
-2,475.00%-412M
-23,280.77%-6.03B
-102,033.33%-6.13B
675.00%124M
-216.67%-7M
Other non cash items
174.07%20M
112.50%8M
-283.33%-55M
-128.57%-16M
282.76%106M
6.90%-27M
-33.33%-64M
230.43%30M
80.00%-7M
-1,066.67%-58M
Change In working capital
-141.84%-200M
-6.19%2.23B
-15.65%652M
26.81%648M
-12.82%449M
-16.87%478M
1,338.79%2.37B
333.53%773M
552.21%511M
46.72%515M
-Change in receivables
39.84%-74M
-228.17%-466M
-144.31%-109M
-111.22%-22M
-30.86%-212M
70.85%-123M
81.27%-142M
162.28%246M
137.84%196M
-1,146.15%-162M
-Change in prepaid assets
57.34%-212M
-48.13%-1.03B
-413.33%-154M
46.15%-126M
-132.41%-251M
-54.35%-497M
52.53%-694M
89.32%-30M
75.32%-234M
5.26%-108M
-Change in payables and accrued expense
-181.88%-357M
16.01%3.75B
10.17%3B
201.44%212M
19.32%105M
-31.12%436M
36.27%3.24B
39.36%2.72B
-130.96%-209M
183.02%88M
-Change in other current assets
44.19%62M
-9.69%177M
-28.81%42M
4.55%46M
-2.13%46M
-6.52%43M
2.62%196M
18.00%59M
-6.38%44M
11.90%47M
-Change in other current liabilities
-10.71%-62M
5.43%-209M
25.00%-48M
28.95%-54M
-104.00%-51M
0.00%-56M
-22.78%-221M
-48.84%-64M
-61.70%-76M
45.65%-25M
-Change in other working capital
-34.37%443M
----
----
-25.06%592M
20.30%812M
-3.02%675M
----
----
16.52%790M
14.80%675M
Cash from discontinued investing activities
Operating cash flow
1.16%2.35B
41.50%10.1B
64.74%2.88B
8.23%2.33B
40.88%2.56B
64.12%2.32B
99.08%7.14B
112.64%1.75B
122.67%2.15B
52.94%1.82B
Investing cash flow
Cash flow from continuing investing activities
-42.62%-773M
-12.18%-3.56B
-212.63%-1.61B
101.97%53M
12.83%-1.46B
-123.97%-542M
1.52%-3.18B
274.97%1.43B
-11.42%-2.69B
-510.78%-1.68B
Net PPE purchase and sale
12.16%-65M
-38.84%-336M
-70.45%-75M
-133.33%-98M
10.10%-89M
-29.82%-74M
-8.52%-242M
20.00%-44M
31.15%-42M
-98.00%-99M
Net business purchase and sale
---6M
-4,894.12%-815M
-164.71%-11M
--0
-10,150.00%-804M
--0
-97.64%17M
--17M
--0
-98.86%8M
Net investment purchase and sale
-102.21%-732M
27.12%-2.08B
-198.38%-1.39B
104.24%109M
71.74%-431M
-109.25%-362M
24.14%-2.85B
282.01%1.42B
-7.04%-2.57B
-551.71%-1.53B
Net other investing changes
128.30%30M
-229.41%-336M
-406.82%-135M
151.22%42M
-163.46%-137M
-783.33%-106M
-409.09%-102M
214.29%44M
-415.38%-82M
-372.73%-52M
Cash from discontinued investing activities
Investing cash flow
-42.62%-773M
-12.18%-3.56B
-212.63%-1.61B
101.97%53M
12.83%-1.46B
-123.97%-542M
1.52%-3.18B
274.97%1.43B
-11.42%-2.69B
-510.78%-1.68B
Financing cash flow
Cash flow from continuing financing activities
-66.00%-3.09B
-173.74%-5.71B
8.21%-3.12B
-133.60%-538M
-2.09%-195M
-1,762.00%-1.86B
-2,096.84%-2.09B
-7,484.78%-3.4B
2,206.58%1.6B
-554.76%-191M
Net issuance payments of debt
14.89%-40M
558.06%852M
41.71%-1.2B
-49.08%995M
2,716.67%1.1B
2.08%-47M
-745.45%-186M
-1,466.67%-2.05B
3,016.42%1.95B
14.29%-42M
Net common stock issuance
-68.68%-3.01B
-421.01%-6.52B
-244.50%-1.91B
-293.28%-1.46B
-319.38%-1.36B
---1.79B
---1.25B
---555M
---372M
---325M
Proceeds from stock option exercised by employees
----
17.31%183M
18.87%63M
--0
----
----
20.00%156M
17.78%53M
--0
----
Net other financing activities
-33.33%-40M
72.05%-225M
91.24%-74M
-468.42%-70M
-169.86%-51M
42.31%-30M
-296.55%-805M
-467.11%-845M
311.11%19M
1,116.67%73M
Cash from discontinued financing activities
Financing cash flow
-66.00%-3.09B
-173.74%-5.71B
8.21%-3.12B
-133.60%-538M
-2.09%-195M
-1,762.00%-1.86B
-2,096.84%-2.09B
-7,484.78%-3.4B
2,206.58%1.6B
-554.76%-191M
Net cash flow
Beginning cash position
12.04%9.65B
22.93%8.61B
27.55%11.48B
22.66%9.67B
7.72%8.6B
22.93%8.61B
4.90%7B
31.14%9B
-6.84%7.88B
17.53%7.98B
Current changes in cash
-1,791.25%-1.51B
-56.11%822M
-764.02%-1.85B
73.87%1.84B
2,031.91%908M
-107.45%-80M
609.47%1.87B
-528.00%-214M
169.46%1.06B
-102.87%-47M
Effect of exchange rate changes
-134.29%-24M
180.52%215M
107.26%13M
-143.55%-27M
383.93%159M
174.47%70M
-523.81%-267M
-301.12%-179M
189.86%62M
-307.41%-56M
End cash Position
-5.70%8.11B
12.04%9.65B
12.04%9.65B
27.55%11.48B
22.66%9.67B
7.72%8.6B
22.93%8.61B
22.93%8.61B
31.14%9B
-6.84%7.88B
Free cash flow
1.60%2.29B
41.60%9.76B
64.60%2.81B
5.74%2.23B
43.81%2.48B
65.56%2.25B
105.09%6.9B
122.14%1.71B
133.04%2.11B
50.96%1.72B
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
--
--
--
(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 1.16%2.35B41.50%10.1B64.74%2.88B8.23%2.33B40.88%2.56B64.12%2.32B99.08%7.14B112.64%1.75B122.67%2.15B52.94%1.82B
Net income from continuing operations -84.10%282M2.52%10.09B-95.41%317M155.94%6.65B33.93%1.35B367.57%1.77B356.63%9.85B305.94%6.9B1,086.76%2.6B155.84%1.01B
Operating gains losses 109.80%5M-138.96%-120M-92.59%10M161.11%22M-271.19%-101M-134.00%-51M123.19%308M375.51%135M-152.94%-36M-18.06%59M
Depreciation and amortization 7.30%191M1.36%747M9.66%193M4.84%195M0.00%181M-8.25%178M-10.45%737M-13.30%176M-9.27%186M-12.98%181M
Deferred tax 125.73%106M20.71%-4.78B95.32%-287M-3,460.48%-4.17B1,342.86%87M-2,475.00%-412M-23,280.77%-6.03B-102,033.33%-6.13B675.00%124M-216.67%-7M
Other non cash items 174.07%20M112.50%8M-283.33%-55M-128.57%-16M282.76%106M6.90%-27M-33.33%-64M230.43%30M80.00%-7M-1,066.67%-58M
Change In working capital -141.84%-200M-6.19%2.23B-15.65%652M26.81%648M-12.82%449M-16.87%478M1,338.79%2.37B333.53%773M552.21%511M46.72%515M
-Change in receivables 39.84%-74M-228.17%-466M-144.31%-109M-111.22%-22M-30.86%-212M70.85%-123M81.27%-142M162.28%246M137.84%196M-1,146.15%-162M
-Change in prepaid assets 57.34%-212M-48.13%-1.03B-413.33%-154M46.15%-126M-132.41%-251M-54.35%-497M52.53%-694M89.32%-30M75.32%-234M5.26%-108M
-Change in payables and accrued expense -181.88%-357M16.01%3.75B10.17%3B201.44%212M19.32%105M-31.12%436M36.27%3.24B39.36%2.72B-130.96%-209M183.02%88M
-Change in other current assets 44.19%62M-9.69%177M-28.81%42M4.55%46M-2.13%46M-6.52%43M2.62%196M18.00%59M-6.38%44M11.90%47M
-Change in other current liabilities -10.71%-62M5.43%-209M25.00%-48M28.95%-54M-104.00%-51M0.00%-56M-22.78%-221M-48.84%-64M-61.70%-76M45.65%-25M
-Change in other working capital -34.37%443M---------25.06%592M20.30%812M-3.02%675M--------16.52%790M14.80%675M
Cash from discontinued investing activities
Operating cash flow 1.16%2.35B41.50%10.1B64.74%2.88B8.23%2.33B40.88%2.56B64.12%2.32B99.08%7.14B112.64%1.75B122.67%2.15B52.94%1.82B
Investing cash flow
Cash flow from continuing investing activities -42.62%-773M-12.18%-3.56B-212.63%-1.61B101.97%53M12.83%-1.46B-123.97%-542M1.52%-3.18B274.97%1.43B-11.42%-2.69B-510.78%-1.68B
Net PPE purchase and sale 12.16%-65M-38.84%-336M-70.45%-75M-133.33%-98M10.10%-89M-29.82%-74M-8.52%-242M20.00%-44M31.15%-42M-98.00%-99M
Net business purchase and sale ---6M-4,894.12%-815M-164.71%-11M--0-10,150.00%-804M--0-97.64%17M--17M--0-98.86%8M
Net investment purchase and sale -102.21%-732M27.12%-2.08B-198.38%-1.39B104.24%109M71.74%-431M-109.25%-362M24.14%-2.85B282.01%1.42B-7.04%-2.57B-551.71%-1.53B
Net other investing changes 128.30%30M-229.41%-336M-406.82%-135M151.22%42M-163.46%-137M-783.33%-106M-409.09%-102M214.29%44M-415.38%-82M-372.73%-52M
Cash from discontinued investing activities
Investing cash flow -42.62%-773M-12.18%-3.56B-212.63%-1.61B101.97%53M12.83%-1.46B-123.97%-542M1.52%-3.18B274.97%1.43B-11.42%-2.69B-510.78%-1.68B
Financing cash flow
Cash flow from continuing financing activities -66.00%-3.09B-173.74%-5.71B8.21%-3.12B-133.60%-538M-2.09%-195M-1,762.00%-1.86B-2,096.84%-2.09B-7,484.78%-3.4B2,206.58%1.6B-554.76%-191M
Net issuance payments of debt 14.89%-40M558.06%852M41.71%-1.2B-49.08%995M2,716.67%1.1B2.08%-47M-745.45%-186M-1,466.67%-2.05B3,016.42%1.95B14.29%-42M
Net common stock issuance -68.68%-3.01B-421.01%-6.52B-244.50%-1.91B-293.28%-1.46B-319.38%-1.36B---1.79B---1.25B---555M---372M---325M
Proceeds from stock option exercised by employees ----17.31%183M18.87%63M--0--------20.00%156M17.78%53M--0----
Net other financing activities -33.33%-40M72.05%-225M91.24%-74M-468.42%-70M-169.86%-51M42.31%-30M-296.55%-805M-467.11%-845M311.11%19M1,116.67%73M
Cash from discontinued financing activities
Financing cash flow -66.00%-3.09B-173.74%-5.71B8.21%-3.12B-133.60%-538M-2.09%-195M-1,762.00%-1.86B-2,096.84%-2.09B-7,484.78%-3.4B2,206.58%1.6B-554.76%-191M
Net cash flow
Beginning cash position 12.04%9.65B22.93%8.61B27.55%11.48B22.66%9.67B7.72%8.6B22.93%8.61B4.90%7B31.14%9B-6.84%7.88B17.53%7.98B
Current changes in cash -1,791.25%-1.51B-56.11%822M-764.02%-1.85B73.87%1.84B2,031.91%908M-107.45%-80M609.47%1.87B-528.00%-214M169.46%1.06B-102.87%-47M
Effect of exchange rate changes -134.29%-24M180.52%215M107.26%13M-143.55%-27M383.93%159M174.47%70M-523.81%-267M-301.12%-179M189.86%62M-307.41%-56M
End cash Position -5.70%8.11B12.04%9.65B12.04%9.65B27.55%11.48B22.66%9.67B7.72%8.6B22.93%8.61B22.93%8.61B31.14%9B-6.84%7.88B
Free cash flow 1.60%2.29B41.60%9.76B64.60%2.81B5.74%2.23B43.81%2.48B65.56%2.25B105.09%6.9B122.14%1.71B133.04%2.11B50.96%1.72B
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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