US Stock MarketDetailed Quotes

United Parcel Service (UPS)

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  • 98.420
  • -0.030-0.03%
Close May 14 15:59 ET
  • 98.500
  • +0.080+0.08%
Post 17:44 ET
83.66BMarket Cap15.93P/E (TTM)

United Parcel Service (UPS) 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
-4.06%2.22B
-16.52%8.45B
-0.39%3.3B
65.69%2.48B
-82.54%348M
-30.10%2.32B
-1.13%10.12B
37.49%3.32B
-32.92%1.5B
-38.43%1.99B
Net income from continuing operations
-27.21%864M
-3.63%5.57B
4.07%1.79B
-14.81%1.31B
-8.94%1.28B
6.65%1.19B
-13.80%5.78B
7.23%1.72B
36.56%1.54B
-32.29%1.41B
Operating gains losses
-28.42%136M
-302.30%-352M
-73.26%223M
83.66%-168M
-475.47%-597M
-9.09%190M
376.19%174M
46.06%834M
-594.23%-1.03B
-17.19%159M
Depreciation and amortization
8.00%985M
3.80%3.75B
5.77%972M
2.32%926M
5.52%936M
1.56%912M
7.22%3.61B
6.00%919M
8.12%905M
7.13%887M
Deferred tax
212.50%45M
46.67%-8M
166.67%26M
204.17%50M
-188.00%-44M
-281.82%-40M
-107.54%-15M
69.53%-39M
-130.19%-48M
-55.36%50M
Other non cash items
-72.73%15M
-27.42%180M
38.52%338M
-29.63%-210M
-108.11%-3M
-57.36%55M
101.63%248M
110.34%244M
-257.28%-162M
172.55%37M
Change In working capital
1,837.50%139M
-489.45%-997M
45.33%-240M
143.73%641M
-170.96%-1.39B
-100.85%-8M
168.82%256M
30.32%-439M
210.04%263M
-968.75%-513M
-Change in receivables
13.02%1.09B
32.51%-382M
36.97%-1.24B
339.69%314M
-1,335.29%-420M
-35.66%960M
-145.06%-566M
-20.75%-1.96B
-627.78%-131M
-94.72%34M
-Change in payables and accrued expense
25.71%-948M
-121.36%-163M
-32.48%840M
-270.15%-114M
61.92%387M
-62.13%-1.28B
145.61%763M
130.37%1.24B
-72.43%67M
185.36%239M
-Change in other current assets
-485.71%-27M
-7.14%65M
415.22%145M
39.53%60M
-916.67%-147M
-87.27%7M
-19.54%70M
-113.57%-46M
109.79%43M
-85.60%18M
-Change in other current liabilities
-90.37%29M
-4,600.00%-517M
-96.60%11M
34.15%381M
-50.50%-1.21B
62.70%301M
73.81%-11M
181.74%324M
1,236.00%284M
-49.72%-804M
Cash from discontinued investing activities
Operating cash flow
-4.06%2.22B
-16.52%8.45B
-0.39%3.3B
65.69%2.48B
-82.54%348M
-30.10%2.32B
-1.13%10.12B
37.49%3.32B
-32.92%1.5B
-38.43%1.99B
Investing cash flow
Cash flow from continuing investing activities
30.33%-944M
-2,082.03%-4.74B
-89.31%-2B
-343.85%-456M
-1.10%-923M
-186.53%-1.36B
96.96%-217M
67.01%-1.06B
117.48%187M
12.72%-913M
Capital expenditure reported
-17.69%-1.03B
5.73%-3.69B
34.79%-716M
-15.07%-970M
-20.36%-1.12B
15.36%-876M
24.21%-3.91B
46.41%-1.1B
34.60%-843M
22.96%-933M
Net business purchase and sale
119.85%82M
-221.46%-1.27B
-3,535.00%-1.37B
-52.59%494M
457.14%25M
-1,232.26%-413M
191.90%1.04B
103.16%40M
830.36%1.04B
-115.56%-7M
Net investment purchase and sale
--0
-92.40%203M
6,500.00%64M
140.00%24M
905.88%171M
-102.12%-56M
425.85%2.67B
-100.77%-1M
-91.45%10M
-86.40%17M
Net other investing changes
150.00%5M
162.50%15M
1,150.00%25M
81.82%-4M
-60.00%4M
28.57%-10M
-26.32%-24M
109.52%2M
-120.00%-22M
300.00%10M
Cash from discontinued investing activities
Investing cash flow
30.33%-944M
-2,082.03%-4.74B
-89.31%-2B
-343.85%-456M
-1.10%-923M
-186.53%-1.36B
96.96%-217M
67.01%-1.06B
117.48%187M
12.72%-913M
Financing cash flow
Cash flow from continuing financing activities
42.59%-1.33B
39.55%-4.14B
-18.79%-2.19B
36.14%-1.43B
99.56%1.79B
36.91%-2.31B
-23.78%-6.85B
-429.23%-1.85B
-39.49%-2.24B
125.07%899M
Net issuance payments of debt
-557.14%-46M
313.96%2.08B
-70.17%-924M
80.96%-83M
40.63%3.1B
99.68%-7M
-142.87%-974M
-158.01%-543M
-201.63%-436M
243.89%2.2B
Net common stock issuance
102.96%28M
-213.81%-841M
-45.83%26M
106.94%31M
-38.96%47M
-1,850.00%-945M
86.61%-268M
-17.24%48M
34.36%-447M
111.37%77M
Cash dividends paid
-0.30%-1.35B
0.02%-5.4B
-0.22%-1.35B
0.00%-1.35B
0.30%-1.35B
0.00%-1.35B
-0.50%-5.4B
-0.90%-1.35B
-0.52%-1.35B
-0.59%-1.35B
Net other financing activities
423.08%42M
106.70%14M
2,950.00%57M
-460.00%-28M
92.86%-2M
92.53%-13M
51.62%-209M
60.00%-2M
50.00%-5M
15.15%-28M
Cash from discontinued financing activities
Financing cash flow
42.59%-1.33B
39.55%-4.14B
-18.79%-2.19B
36.14%-1.43B
99.56%1.79B
36.91%-2.31B
-23.78%-6.85B
-429.23%-1.85B
-39.49%-2.24B
125.07%899M
Net cash flow
Beginning cash position
-3.68%5.89B
90.64%6.11B
15.53%6.76B
-1.98%6.19B
9.79%4.8B
90.64%6.11B
-42.77%3.21B
35.82%5.86B
31.32%6.32B
-29.34%4.37B
Current changes in cash
96.44%-48M
-113.94%-426M
-317.27%-893M
208.53%598M
-38.40%1.22B
-211.02%-1.35B
225.77%3.06B
135.99%411M
-25.23%-551M
241.86%1.98B
Effect of exchange rate changes
-192.50%-37M
234.90%201M
110.39%16M
-136.36%-28M
820.83%173M
183.33%40M
-551.52%-149M
-516.22%-154M
226.23%77M
-241.18%-24M
End cash Position
20.82%5.8B
-3.68%5.89B
-3.68%5.89B
15.53%6.76B
-1.98%6.19B
9.79%4.8B
90.64%6.11B
90.64%6.11B
35.82%5.86B
31.32%6.32B
Free cash flow
-17.27%1.19B
-23.31%4.77B
16.64%2.59B
130.84%1.51B
-173.11%-775M
-36.78%1.44B
22.30%6.21B
512.43%2.22B
-30.61%655M
-47.68%1.06B
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 -4.06%2.22B-16.52%8.45B-0.39%3.3B65.69%2.48B-82.54%348M-30.10%2.32B-1.13%10.12B37.49%3.32B-32.92%1.5B-38.43%1.99B
Net income from continuing operations -27.21%864M-3.63%5.57B4.07%1.79B-14.81%1.31B-8.94%1.28B6.65%1.19B-13.80%5.78B7.23%1.72B36.56%1.54B-32.29%1.41B
Operating gains losses -28.42%136M-302.30%-352M-73.26%223M83.66%-168M-475.47%-597M-9.09%190M376.19%174M46.06%834M-594.23%-1.03B-17.19%159M
Depreciation and amortization 8.00%985M3.80%3.75B5.77%972M2.32%926M5.52%936M1.56%912M7.22%3.61B6.00%919M8.12%905M7.13%887M
Deferred tax 212.50%45M46.67%-8M166.67%26M204.17%50M-188.00%-44M-281.82%-40M-107.54%-15M69.53%-39M-130.19%-48M-55.36%50M
Other non cash items -72.73%15M-27.42%180M38.52%338M-29.63%-210M-108.11%-3M-57.36%55M101.63%248M110.34%244M-257.28%-162M172.55%37M
Change In working capital 1,837.50%139M-489.45%-997M45.33%-240M143.73%641M-170.96%-1.39B-100.85%-8M168.82%256M30.32%-439M210.04%263M-968.75%-513M
-Change in receivables 13.02%1.09B32.51%-382M36.97%-1.24B339.69%314M-1,335.29%-420M-35.66%960M-145.06%-566M-20.75%-1.96B-627.78%-131M-94.72%34M
-Change in payables and accrued expense 25.71%-948M-121.36%-163M-32.48%840M-270.15%-114M61.92%387M-62.13%-1.28B145.61%763M130.37%1.24B-72.43%67M185.36%239M
-Change in other current assets -485.71%-27M-7.14%65M415.22%145M39.53%60M-916.67%-147M-87.27%7M-19.54%70M-113.57%-46M109.79%43M-85.60%18M
-Change in other current liabilities -90.37%29M-4,600.00%-517M-96.60%11M34.15%381M-50.50%-1.21B62.70%301M73.81%-11M181.74%324M1,236.00%284M-49.72%-804M
Cash from discontinued investing activities
Operating cash flow -4.06%2.22B-16.52%8.45B-0.39%3.3B65.69%2.48B-82.54%348M-30.10%2.32B-1.13%10.12B37.49%3.32B-32.92%1.5B-38.43%1.99B
Investing cash flow
Cash flow from continuing investing activities 30.33%-944M-2,082.03%-4.74B-89.31%-2B-343.85%-456M-1.10%-923M-186.53%-1.36B96.96%-217M67.01%-1.06B117.48%187M12.72%-913M
Capital expenditure reported -17.69%-1.03B5.73%-3.69B34.79%-716M-15.07%-970M-20.36%-1.12B15.36%-876M24.21%-3.91B46.41%-1.1B34.60%-843M22.96%-933M
Net business purchase and sale 119.85%82M-221.46%-1.27B-3,535.00%-1.37B-52.59%494M457.14%25M-1,232.26%-413M191.90%1.04B103.16%40M830.36%1.04B-115.56%-7M
Net investment purchase and sale --0-92.40%203M6,500.00%64M140.00%24M905.88%171M-102.12%-56M425.85%2.67B-100.77%-1M-91.45%10M-86.40%17M
Net other investing changes 150.00%5M162.50%15M1,150.00%25M81.82%-4M-60.00%4M28.57%-10M-26.32%-24M109.52%2M-120.00%-22M300.00%10M
Cash from discontinued investing activities
Investing cash flow 30.33%-944M-2,082.03%-4.74B-89.31%-2B-343.85%-456M-1.10%-923M-186.53%-1.36B96.96%-217M67.01%-1.06B117.48%187M12.72%-913M
Financing cash flow
Cash flow from continuing financing activities 42.59%-1.33B39.55%-4.14B-18.79%-2.19B36.14%-1.43B99.56%1.79B36.91%-2.31B-23.78%-6.85B-429.23%-1.85B-39.49%-2.24B125.07%899M
Net issuance payments of debt -557.14%-46M313.96%2.08B-70.17%-924M80.96%-83M40.63%3.1B99.68%-7M-142.87%-974M-158.01%-543M-201.63%-436M243.89%2.2B
Net common stock issuance 102.96%28M-213.81%-841M-45.83%26M106.94%31M-38.96%47M-1,850.00%-945M86.61%-268M-17.24%48M34.36%-447M111.37%77M
Cash dividends paid -0.30%-1.35B0.02%-5.4B-0.22%-1.35B0.00%-1.35B0.30%-1.35B0.00%-1.35B-0.50%-5.4B-0.90%-1.35B-0.52%-1.35B-0.59%-1.35B
Net other financing activities 423.08%42M106.70%14M2,950.00%57M-460.00%-28M92.86%-2M92.53%-13M51.62%-209M60.00%-2M50.00%-5M15.15%-28M
Cash from discontinued financing activities
Financing cash flow 42.59%-1.33B39.55%-4.14B-18.79%-2.19B36.14%-1.43B99.56%1.79B36.91%-2.31B-23.78%-6.85B-429.23%-1.85B-39.49%-2.24B125.07%899M
Net cash flow
Beginning cash position -3.68%5.89B90.64%6.11B15.53%6.76B-1.98%6.19B9.79%4.8B90.64%6.11B-42.77%3.21B35.82%5.86B31.32%6.32B-29.34%4.37B
Current changes in cash 96.44%-48M-113.94%-426M-317.27%-893M208.53%598M-38.40%1.22B-211.02%-1.35B225.77%3.06B135.99%411M-25.23%-551M241.86%1.98B
Effect of exchange rate changes -192.50%-37M234.90%201M110.39%16M-136.36%-28M820.83%173M183.33%40M-551.52%-149M-516.22%-154M226.23%77M-241.18%-24M
End cash Position 20.82%5.8B-3.68%5.89B-3.68%5.89B15.53%6.76B-1.98%6.19B9.79%4.8B90.64%6.11B90.64%6.11B35.82%5.86B31.32%6.32B
Free cash flow -17.27%1.19B-23.31%4.77B16.64%2.59B130.84%1.51B-173.11%-775M-36.78%1.44B22.30%6.21B512.43%2.22B-30.61%655M-47.68%1.06B
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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